Scheme Detail
Strategy Return v/s Benchmark -
(As on 30 Nov 2025)
Strategy Return v/s Benchmark -
(As on 30 Nov 2025)

Duration

Strategy

Benchmark: S&P BSE 500 Total Return Index

1 Month

0.77%

0.96%

3 Months

4.7%

6.57%

6 Months

1.84%

5.62%

1 Years

-0.13%

6.27%

2 Years

9.28%

16.17%

3 Years

13.44%

15.26%

5 Years

19.39%

18.62%

Since Inception (07 Jun 2017)

19.07%

14.4%

Scheme Details

Blended Rangoli Strategy Investments will be cherry picked from across the portfolio of companies that Unifi manages across each of the six distinct funds it manages. In effect, the endeavor is to be able to identify the best of the best. This fund aims in cutting down the investors switching cost and effort in migrating between best opportunities at any diverse point of time.


NAV

439.89456887134

as on 30 Nov 2025

AUM (in Cr.)
14045.6

as on 30 Nov 2025

Category
Equity: Flexi Cap

Inception Date
07 Jun 2017


Benchmark Name

S&P BSE 500 Total Return Index

Min. Investment

₹5,000,000

Fund Manager Name


Exit Load

1 Year: 0.00%, 2 Year: 0.00%, 3 Year: 0.00%
Top 5 Allocation
  • Scrips Percentage
  • Redington Ltd --
  • ITC Ltd --
  • Bank of Baroda --
  • Narayana Hrudayalaya Ltd --
  • Mahindra & Mahindra Ltd --
Composition

Information not available

  • Fund Composition Percentage
  • Code 500%
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  • Name Internal Server Error%
Fund Manager

Fund Manager - E. Prithvi Raj. The fund cherry picks the best businesses from across seven thematic funds that Unifi manages. The mandate is to participate in opportunities that arise from a mix of emergent themes, corporate actions and attractiveness of core fundamentals. The fund aims to thrive through market cycles and helps cutting down the investors switching cost and effort in migrating between different funds over time.


Fund Manager AMC Name

Unifi Capital Pvt Ltd

Fund Manager AUM

14045.6 Cr

Total funds being managed by the fund manager

1

Fund Manager started managing (From)

30 Apr 2021

Fund Manager started managing (To)

Till Date.
About AMC

UNIFI Capital, a specialized Portfolio Management company offering innovative investment strategies with superior risk adjusted returns. Thematic investment styles are designed around niche investment opportunities that exist in the Indian capital markets. Usually such specialties offer limited scope for scale-up in terms of the capital and deploy effectively. The focus is always upon discovering and taking advantage of an insight that can provide the edge, and then adding layers of research and due diligence to construct a portfolio. Unifi is essentially a value investor in growth businesses, place Value first but always also demand growth potential in a business portfolio holds. Unifi believe that stock performance, particularly in mid and small firms, needs a catalyst; and often the best catalyst is an attractive price combined with growth.


AMC Address

No 11, Kakani Towers,15 Khader Nawaz Khan Rd,Chennai,Tamil Nadu,India-600006

AMC SEBI registration number

INP000000613

Unifi Blended - Rangoli

Return for 1Year

Strategy
-0.13%

Benchmark
6.27%

Return for 1Year

Strategy
-0.13%

Benchmark
6.27%


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