Astor Macro Alternative

Astor Macro Alternative employs multiple strategies across diverse asset classes, including U.S. equity and fixed income, as well as global assets that are often beyond investors’ reach, such as global equities, international fixed income, currencies and commodities. The strategy seeks to potentially provide a smoother return stream, with lower volatility, across market cycles, than could generally be achieved by holding stocks alone.

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Strategy Highlights

Pursues what hedge funds attempt to deliver to portfolios, with the lower cost, greater transparency, and the daily liquidity associated with mutual funds

Aims to provide risk management at the asset, strategy, and fund level to guard against large adverse losses.

Uses asset and strategy level diversification, in pursuit of positive returns throughout the business cycle; can hold both long and short positions in many assets.

All information contained herein is for informational purposes only. This is not a solicitation to offer investment advice or services in any state where to do so would be unlawful. Analysis and research are provided for informational purposes only, not for trading or investing purposes. All opinions expressed are as of the date of publication and subject to change. Astor and its affiliates are not liable for the accuracy, usefulness or availability of any such information or liable for any trading or investing based on such information. Please refer to Astor’s Form ADV Part 2 for additional information regarding fees, risks and services.