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BCAD BREAKOUT 20

Unifi Capital P Ltd

1,857.94 CR AUM

BCAD BREAKOUT 20

BCAD BREAKOUT 20

Unifi Capital P Ltd

1,857.94 CR AUM

BSE 500 TRI
Benchmark
4yr 3mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
BSE 500 TRI
Benchmark
4yr 3mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

baidik sarkar

Fund Manager
EQUITYStrategies

Baidik is a Chartered Accountant with 20 years of experience across consulting, research, and investment management. Since 2008, he has been a core member of Unifi's research and investment management team. Currently, he is Head of Unifi's Research (Equity), and manages the APJ, Green, and Spin-Off Investment approach. Prior to this, Baidik worked as a Strategy Consultant with the Government Reforms and Institutional Development arm of Price Waterhouse Coopers (PwC). Baidik brings deep, non-generalist insights to his research and investment management practice.

Baidik is a Chartered Accountant with 20 years of experience across consulting, research, and investment management. Since 2008, he has been a core member of Unifi's research and investment management team. Currently, he is Head of Unifi's Research (Equity), and manages the APJ, Green, and Spin-Off Investment approach. Prior to this, Baidik worked as a Strategy Consultant with the Government Reforms and Institutional Development arm of Price Waterhouse Coopers (PwC). Baidik brings deep, non-generalist insights to his research and investment management practice.

Purpose

BCAD follows the theme of Business Consolidations After Disruptions which aims to benefit from structural shifts in the Indian economy where market share migrates from unorganized to organized players driven by rising consumerism, demographic led consumption and increasing financialization of savings. The approach focuses on companies that demonstrate consistency in volume growth, growth rates higher than industry levels, operating leverage and improving capital efficiency. Investment selection is based on bottom up fundamental research supported by rigorous in house analysis and external validation. The strategy identifies businesses where premiumization, product leadership, cost optimization and execution strength create sustainable competitive advantages and long runways for growth. Portfolio construction follows a buy and hold approach with flexibility to redeploy capital when valuations exceed long term growth potential or better opportunities arise. Security selection combines qualitative and quantitative filters including earnings growth visibility, capital efficiency, margin of safety in valuations and governance standards. The opportunity universe spans consumer categories such as food products, beverages, apparel, personal care and footwear, housing related segments including appliances, paints, pipes, cables and building materials, along with services such as financialization, logistics, diagnostics, entertainment and travel that benefit from formalization of the economy. Sector agnostic. Small cap mid cap and large cap combination.

Investment Approach v/s Benchmark Metrics

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1M IA return
-12.36%
1M benchmark return
-11.37%
Alpha
-0.99%
1M Wealth multiple
0.88x

Investment Approach v/s Benchmark Performance

2026
2026
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Wealth Creation Calculator

1M IA return
-12.36%
1M benchmark return
-11.37%
Alpha
-0.99%
1M Wealth multiple
0.88x

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