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Buoyant Capital

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Category AIF, AIF Category II
Company Buoyant Capital
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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?

  1. 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.
  2. 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.
  3. 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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