SEBI's monthly PMS filings and AMFI NAVs for every scheme; benchmark Buoyant against any of them over any window.
Benchmark BSE 500 TRI. Factsheet: 20.77% p.a. since 31 May 2016 on the same TWRR basis.
| Scheme | Category | 1M | 3M | 6M | 1Y | 3Y ↓ | 5Y | 10Y | SI | Since | NAV date |
|---|
Absolute for periods under a year, CAGR from 1Y; * = absolute since inception (under a year old). Each scheme's figures are to its own latest NAV date.
AMFI daily NAVs (portal.amfiindia.com / api.mfapi.in mirror); open-ended growth options; returns = absolute for <1Y, CAGR for ≥1Y, as of each scheme's latest NAV date