Portfolio management firm specializing in alternative investment funds and global equities
Unifi Capital is a 23-year-old portfolio manager with a lean, research-first operating model centered on alternative funds and global equities. The tech stack is finance-grade but conventional—Bloomberg, Excel, Windows/Linux infrastructure—with zero modern adopts or replacements in progress, suggesting operational stability paired with limited digital transformation. Current hiring focuses on research and finance roles at senior levels, aligned with their core competency in fund performance rather than platform scaling.
Founded in 2001, Unifi Capital operates as a specialized portfolio management firm offering alternative investment strategies and global equity funds to institutional clients. The organization is built around a core research team with 25+ years of average capital-markets experience and a track record of consistently outperforming fund benchmarks. Based in Chennai with 51–200 employees, Unifi runs a focused operation: portfolio construction, client relationship management, and regulatory compliance across SEBI, RBI, and ROC frameworks. The company prioritizes service continuity and research depth over technology-led growth.
Bloomberg for market data and trading, Excel/Word/PowerPoint for analysis and reporting, Windows Server and Ubuntu for infrastructure, Active Directory for identity management, and VMware/Hyper-V for virtualization.
Yes. Currently 6 active roles across research (2), finance (2), HR (1), and operations (1), with majority at senior level. All hiring is India-based.
SEBI compliance, internal controls streamlining, ISO 27001 certification, RBI returns filing, and ROC filing requirements. Also managing vulnerability remediation and disaster recovery operations.
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