Alternative funds are mutual funds that focus on asset classes or strategies that are outside the typical long-only world of stocks and bonds. These can include asset classes or strategies such as currencies, managed futures, 130/30, M&A, market neutral, credit arbitrage, or global macro. The funds can choose to focus on one of the alternatives or on several at the same time.
To find out detailed information on Alternative Funds in the U.S. that are appropriately tagged by our analysts, click the tabs in the table below. The data that can be found in each tab includes historical performance, the different fees in each fund, the initial investment required, number of holdings, breakdown of weights by each sector and much more. Each ticker and name links to more detailed data about each fund, including graphs, fund descriptions, details about the fund managers, and other valuable information. The table can be resorted by clicking the first row of any column. Each fund may be in more than one table on our site because they usually have more than one tag associated with them; for instance, a European equity mutual fund may be tagged as “developed markets”, “equity” and “Europe”.
Last Updated 10/21/17