Low

Buoyant Opportunities Strategy I

by Buoyant Opportunities·Blend·Benchmark: S&P BSE 500 Index
8.5
Nyra score
Independently scored
3-yr track record · since Nov 2022BlendAUM ₹2,410 CrSEBI-registered PMS
3Y CAGR
19.6%
vs 13.5% index
5Y CAGR
annualised
Since inception
19.5%
CAGR · net of fees
₹1 Cr became
₹1.71 Cr
index ₹1.40 Cr
AUM
₹2,410 Cr
strategy size
Minimum
₹50 L
SEBI minimum
Snapshot

What this strategy is

Buoyant Opportunities Strategy I is a low PMS strategy from Buoyant Opportunities, run by Jigar Mistry. It follows a Blend style, is benchmarked to the S&P BSE 500 Index, and carries a Nyra score of 8.5 out of 10.

Performance · what ₹1 crore would have become
₹1.71 Cr
+71% · 1.7× your money
  • This strategy₹1.71 Cr
  • S&P BSE 500 Index₹1.40 Cr
₹1 Cr invested at inception (Nov 2022)3.0 yrs

Illustrative monthly path, net of fees, modelled to the strategy's since-inception CAGR versus the S&P BSE 500 Index. Not the actual NAV series; past performance is not indicative of future returns.

Returns

Trailing returns vs benchmark

Absolute for windows under a year, annualised (CAGR) beyond. Alpha is the strategy minus its benchmark.

1M
3M
6M
1Y
3Y
5Y
SI
This strategy
0.1%
-1%
1%
12.2%
19.6%
19.5%
S&P BSE 500 Index
-0.2%
-2.3%
-5.4%
-0.1%
13.5%
11.9%
Alpha
+0.3%
+1.3%
+6.4%
+12.3%
+6.1%
+7.6%
Reliability

How often it has beaten the index

Across every rolling holding period in the modelled history — the longer you hold, the more the odds have favoured the strategy.

76%
1-year holding

of 25 windows beat the index

Avg / yr+16.2%
100%
3-year holding

of 1 windows beat the index

Avg / yr+19.5%

Computed on an illustrative monthly path modelled to the since-inception CAGR — not the actual NAV series.

Risk

The quality of those returns

Returns mean little without the ride that earned them.

−11.5%
Max drawdown
0.2%
Worst 1-yr window
14.0%
Volatility (ann.)
0.91
Sharpe ratio

A Sharpe of 0.91 means it earned a modest return for each unit of risk taken. Size the position so a drawdown of that order is one you can sit through.

Portfolio

Under the hood — where the money sits

A focused book of about 35 stocks, spread across the market-cap curve.

Market-cap mix
  • Cash / Debt100%
Concentration
Holdings35 stocks
Cash / debt buffer7%

Top holdings and the sector book stream from the live feed — ask Nyra for the current portfolio.

Manager

Who runs the money

A strategy is only as good as the hand on the wheel.

JM
Fund manager
Jigar Mistry
Buoyant Opportunities · 3-yr strategy tenure · ₹2,410 Cr managed
View full profile
Investment philosophy

Buoyant Opportunities's Low approach blends valuation discipline with growth conviction, tilting toward whichever side the cycle is paying for. It is benchmarked to the S&P BSE 500 Index but invests with conviction rather than hugging the index.

Conviction over the index

A focused book of roughly 35 holdings means the highest-conviction ideas actually move the portfolio.

Through the cycle

A 3-year track record across rallies and drawdowns — positioning shifts with the cycle rather than chasing the last quarter.

Risk first

Drawdowns are managed deliberately; the worst peak-to-trough on record is kept in check.

Nyra's read

A high-conviction low strategy with a strong scorecard.

Nyra scores Buoyant Opportunities Strategy I 8.5/10, on a since-inception CAGR near 19.5% and a 3-year CAGR of 19.6%. Drawdowns have stayed contained — size the position so that ride is one you can hold.

Best suited to

Investors with a 5-year-plus horizon who want active Low exposure and can sit through equity drawdowns.

Mind if

A double-digit drawdown would test your nerve, or you need ₹50 L+ to commit at the SEBI minimum.

Pairs well with

A steadier core (large-cap or hybrid) so this can play the higher-conviction satellite in your overall allocation.

Facts & fees

The fine print, in plain sight

Inception
Nov 2022
Track record
3 years
Category
Low
Style
Blend
Benchmark
S&P BSE 500 Index
Holdings
35 stocks
Fixed fee
2.00% fixed
Performance fee
20% over 7.00% hurdle
Minimum investment
₹50 L
Lock-in / exit
Nil exit load
Reporting
Monthly + live login
Regulator
SEBI-registered PMS

PMS Sahi Hai is a SEBI-registered platform. Figures are sourced from the strategy's disclosures and the live feed; the growth chart, rolling-window and risk figures are modelled to the disclosed since-inception CAGR (illustrative, not the actual NAV series). Returns are net of fees where stated. Investments in PMS, AIF and GIFT City strategies are subject to market risk — past performance is not indicative of future results. This page is information, not investment advice.

What investors say
I held two PMS for four years and couldn't tell you why. One 15-minute review showed me the overlap, the real post-tax number, and one fund worth replacing. Nobody had ever shown me that math.
Rajesh K.Rajesh K.HNI · Mumbai · ₹3.2 Cr · 2 PMS reviewed

Composite client stories — names changed, numbers preserved.

FAQ

Buoyant Opportunities Strategy I — common questions

What is Buoyant Opportunities Strategy I?

Buoyant Opportunities Strategy I is a Low PMS strategy from Buoyant Opportunities, managed by Jigar Mistry. It follows a Blend style, is benchmarked to the S&P BSE 500 Index, and carries a Nyra score of 8.5/10.

Who should consider Buoyant Opportunities Strategy I?

It suits investors with a five-year-plus horizon who want active Low exposure and can stay invested through market drawdowns. The SEBI minimum is ₹50 L.

What returns has it delivered?

Since inception (Nov 2022) it has compounded at roughly 19.5% a year, with a 3-year CAGR of 19.6% against 13.5% for the S&P BSE 500 Index. Returns are net of fees; past performance is not a guarantee of future results.

What are the fees and lock-in?

2.00% fixed, with a performance fee of 20% over 7.00% hurdle. Exit / lock-in terms: Nil exit load.

How risky is it?

Like all market-linked products it can fall in value; the worst drawdown on record is disclosed in the factsheet. Buoyant Opportunities is SEBI-registered and reports monthly. This page is information, not investment advice.

Weigh Buoyant Opportunities Strategy I against your goals.

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