Compliance And Audit

Unifi’s Portfolio Management Service is regulated by the Securities and Exchange Board of India (SEBI). Unifi is a member of the National Stock Exchange of India (NSE) and is licensed to offer Portfolio Management (PMS) and Brokerage Services in equities and derivatives.

At Unifi, all customer accounts are audited annually by one of India's reputed firm of accountants. An audit certificate along with detailed financial statements is provided to the client by the auditor, in time to file tax returns. Unifi is committed to strict adherence of various regulations and believes that a strong culture of compliance is a source of competitive advantage in the long run.

    Attention Investors

  • Prevent Unauthorised Transactions in your Trading/Demat A/c. Update your Mobile Number/Email IDs with your Broker/DP.
  • Receive Alerts & Information of your transactions directly from Exchange/CDSL on your Mobile/Email at the end of the day.
  • KYC is one time exercise while dealing in securities markets - once KYC is done through a SEBI registered intermediary (broker, DP, Mutual Fund etc.), you need not undergo the same process again when you approach another intermediary.
  • Beneficial Owners are advised to use ASBA facility while applying for IPOs. There is no need to issue cheques.

SEBI Registration Number

PMS  -   INP000000613
NSE  -   CM: INB231159634
F&O: INF231159634
CDS: INE231159634
BSE   -   CM - INB011159630
CDSL  - IN-DP-CDSL-300-2005
CDSL  -  IN-DP-18-2015
Permanent Registration No.
AIF  -   IN/AIF3/12-13/0026
AIF2  -   IN/AIF3/17-18/0327