Buoyant Opportunities Strategy AIF Strategy is a CAT III – LONG ONLY Alternative Investment Fund with a focused equity investment approach.
It follows the benchmark BSE 500 and has delivered a 1-year return of 9.64%. The strategy emphasises investing in high-quality businesses with long-term growth potential.
The total AUM of the fund stands at Rs.1367.57 Crore, reflecting strong investor confidence.
The Buoyant Opportunities Strategy AIF Investment Approach aims to generate sustainable returns by identifying businesses led by visionary founders.
This disciplined, research-driven strategy aligns with Buoyant’s philosophy of quality and conviction-based investing.
Buoyant Opportunities Strategy AIF Strategy or Investment Approach - AIF Details
Strategy Name
Start Date
Category
Benchmark
AUM (Rs.)
Min. Investment
Fund Manager
1 Yr. Return
3 Yr. Return
5 Yr. Return
Buoyant Opportunities Strategy Alternative Investment Fund - Fund Characteristics
No. of Stocks
Top 5 Stocks%
Top 5 Sectors%
Portfolio Age
SIP
STP
Average Market Cap
Buoyant Opportunities Strategy AIF Strategy - Cost or Charges
Fixed Fees
Variable AMC
Variable Profit Sharing
Exit Load 1st Year
Exit Load 2nd Year
Exit Load 3rd Year
Buoyant Opportunities Strategy AIF Investment Approach - Portfolio Composition
Large Cap
Mid Cap
Small Cap
Cash & Equivalent
Check out Business Opportunities with Similar Brands
Buoyant Opportunities Strategy Alternative Investment Fund Strategy - Top 5 Sectors
Healthcare
Automobile and Auto Components
Materials
Automobile
Film Production, Distribution & Entertainment