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.
FAQ:
How does Buoyant Capital align its interests with investors?
Buoyant Capital aligns interests by using a variable-only fee structure and ensuring fund managers, including promoters, co-invest alongside investors.
What is the investment philosophy of Buoyant Capital's flexi-cap strategy?
Buoyant Capital’s flexi-cap strategy is non-model, allowing flexibility in sector and market-cap allocation to seize opportunities across market conditions.
What regulatory certifications does Buoyant Capital hold?
Buoyant Capital is a SEBI-registered alternative asset manager, ensuring compliance with Indian regulatory standards for portfolio management services (PMS).
Meet the Investment Team
Jigar Mistry – Director
Jigar brings over 21 years of expertise in research and investing. He is an associate member of ICAI and a CFA charter holder. Before founding Buoyant Capital, he served as the Director of Research at HSBC.
Sachin Khivasara – Director/Portfolio Manager
Sachin has more than 24 years of experience in research and investing. He is an associate member of ICAI and ICWA. He is an associate member of ICAI and ICWA and was with Nippon Asset Management before founding Buoyant.
Viral Berawala – Director
Viral has over 23 years of experience in research and investing. He is an associate member of ICAI and an alumnus of IIM-Ahmedabad. Before joining Buoyant Capital, he served as the CIO at Nippon Life Insurance.
Dipen Sheth – Director
Dipen has over 32 years of diverse professional and entrepreneurial experience. He is an alumnus of IIT-Kand IIM-C. Before joining Buoyant Capital, he headed the Research department at HDFC.
For any queries, contact us on Mobile: +91 95616 10108, Landline: 020-48627339,Toll Free: 1800 210 1995, Email: [email protected]
Disclaimer: Investing Involves Risk. This document is for information purposes only and should not be viewed as a legal offering document or solicitation. Offers to invest in this fund are made only by the Discretionary Portfolio Management Services Agreement. Past performance does not guarantee future results and there is no assurance that the managed accounts will necessarily achieve their objectives. We do not guarantee any returns in the hand of investors not we take any sort of accountability for the performance of the scheme. The above-mentioned data is collected from the respected Fund house please verify the same at SEBI website.