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Release
August 2026 · rev 1
Opportunities PMS · Published
As at 31 Aug 2026 · IST₹ · ₹ cr · BSE 500 TRI
Present
Internal working platform. Published figures are extracted from the August 2026 source package and reviewed; reference prices and fundamentals are unlicensed working data, not for redistribution. Past performance is not indicative of future returns.
06 /Funds & peers

Every fund in India, on Buoyant's terms.

SEBI's monthly PMS filings and AMFI NAVs for every scheme; benchmark Buoyant against any of them over any window.

Buoyant Opportunities · as filed with SEBI · Aug 2026
1Y
+11.38%
vs +4.72% · +6.7 pp
3Y p.a.
+15.42%
vs +12.09% · +3.3 pp
5Y p.a.
+18.07%
vs +10.91% · +7.2 pp
Since inception
+20.77%
vs +14.09% · +6.7 pp
AUM filed
₹12,904 cr
FY net inflow
₹2,750 cr
Rank · equity PMS ≥ ₹100 cr
Y1 188/403Y3 127/403Y5 48/403SI 88/403

Benchmark BSE 500 TRI. Factsheet: 20.77% p.a. since 31 May 2016 on the same TWRR basis.

Coverage

What Buoyant is measured against

PMS managers
520
1640 strategies · 684 with monthly history
Mutual-fund schemes
2728
open-ended growth options · NAVs to 28 Sept 2026
PMS monthly history
Feb 2024 → Aug 2026
SEBI's strategy-level table starts March 2024
AIFs
Not published
SEBI discloses no AIF scheme returns; reviewed uploads only
Mutual funds · AMFI · to 28 Sept 2026

Every open-ended equity, hybrid, index and fund-of-funds scheme

1-year return, direct-plan equity schemes
-9%Buoyant PMS 11.4% · ahead of 84% of 59228%
3-year CAGR, direct-plan equity schemes
4%Buoyant PMS 15.4% · ahead of 73% of 44624%
loading AMFI schemes…
SchemeCategory1M3M6M1Y3Y ↓5Y10YSISinceNAV 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