Unifi Capital Pvt Ltd — PMS strategies
Unifi Capital Pvt Ltd is a SEBI-registered portfolio manager running 16 strategies in our tracker, holding ₹16,067 Cr in aggregate AUM. Every one of them is listed below with its 3-year annualised return, as on 31 Jul 2026. Figures come from the monthly APMI disclosures every registered manager is required to file — not from the manager's own marketing.
All 16 strategies from Unifi Capital Pvt Ltd
- BLENDED- RANGOLI₹11,465 CrAUM9.6%3Y
- BCAD BREAKOUT 20₹1,953 CrAUM8.3%3Y
- APJ (Formerly known as APJ 20)₹943 CrAUM12.8%3Y
- HIGH YIELD STRATEGYHybrid₹373 CrAUM9.2%3Y
- OTD-NDHybrid₹357 CrAUM0.0%3Y
- BCAD₹237 CrAUM7.3%3Y
- INDIVIDUALLY MANAGED ACCOUNTS₹193 CrAUM—3Y
- BLENDED- RANGOLI-ND₹161 CrAUM9.7%3Y
- INDIVIDUALLY MANAGED ACCOUNTS-ND₹117 CrAUM10.9%3Y
- OTHERS EQUITY₹103 CrAUM7.1%3Y
- INSIDER SHADOW STRATEGY₹86 CrAUM7.3%3Y
- BCAD BREAKOUT 20-ND₹45 CrAUM11.2%3Y
- OTHERS-EQUITY-ND₹21 CrAUM6.1%3Y
- APJ-ND (Formerly known as APJ 20)₹7 CrAUM9.0%3Y
- High Yield Strategy(Alternate Debt/EAF)Hybrid₹3 CrAUM9.5%3Y
- BCAD-ND₹3 CrAUM8.6%3Y
Returns are Time-Weighted Rate of Return at the strategy level, annualised beyond 1 year, as on 31 Jul 2026. Alpha is return minus S&P BSE 500 TRI for the same window (shown where a like-for-like benchmark exists). Figures are sourced from disclosures and are not verified by SEBI. Past performance is not indicative of future returns. Minimum investment ₹50 lakh (SEBI mandate). This is not investment advice.