About Company
Buoyant Capital
Established in 2016, Buoyant Capital is a SEBI-registered alternative asset manager renowned for consistently achieving superior risk-adjusted returns. Their investor-first approach is evident as they do not impose entry loads, exit loads, setup fees, or lock-in periods. Buoyant Capital stands out for its commitment to putting investors’ interests at the forefront.
Fund Snapshot
| Inception Date | 01.06.2016 |
| Investment Approach | Opportunities |
| Category | Flexicap |
Why invest in Buoyant Capital?
- They generate superior risk-adjusted returns
Buoyant Opportunities PMS has consistently generated superior returns. They also get the best ratings on risk scores done by external agencies. - They run a flexi-cap strategy with a non-model portfolio
They are a sector and market-cap agnostic fund. They do not believe a PMS account should be run as a model portfolio. - They believe Investors come first and have high skin in the game
Buoyant Capital does not charge entry loads, set-up fees, or exit loads, nor does it impose lock-in periods. Their fee structure is entirely variable, and both Buoyant Capital and its promoters invest alongside clients in the fund.
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