Arrow Global Advantage Alternative Class


Fund Strategy 

The Fund seeks to provide capital appreciation through active management of opportunities in global equity, debt, commodity and foreign exchange markets.


Investment Process

Opportunistic Approach

  • Not benchmark constrained
  • Long and short

Managed Risk Taking

  • Low to moderate concentration
  • Low to moderate leverage
  • Respectful of markets

Investor Profile

  • Investors looking for capital appreciation through active investing and trading opportunities.

  • Investors looking for generally low levels of correlation and volatility as compared to traditional equity indices.

  • Investors looking for absolute return strategies.


Portfolio Manager Videos

Video: 
Arrow Global Advantage Alternative Class

July 15, 2019


Monthly/Quarterly Commentaries

 

Portfolio Managers

Portfolio Manager
Portfolio Manager
Senior Portfolio Manager

How to Invest

Mutual Fund Solutions

Fund Overview

Growth of $1,000

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Risk Bar Description: 
Risk Rating

Portfolio Details

Fund Codes
A Class: AHP 2000
F Class: AHP 2010
U Class: AHP 2050 (USD)
G Class: AHP 2055 (USD)


Minimum Investment
$1,000


Management Fee
A/U Class: 1.95%
F/G Class: 0.95%


Performance Fee
15%


Hurdle Rate
5%

Investment Advisor

Arrow Capital Management


Liquidity
Daily


Custodian
CIBC World Markets Inc.


Auditor
PricewaterhouseCoopers


Administrator
RBC Investor & Treasury Services

 

Fund inception date is December 31, 2018.

Commissions, trailing commissions, management fees and expenses all may be associated with the Arrow Global Advantage Alternative Class. Please read the simplified prospectus and Fund Facts carefully before investing. Arrow Global Advantage Alternative Class is not insured or guaranteed by Canada Deposit Insurance Corporation (CDIC) or any other insurer. Arrow Global Advantage Alternative Class is subject to risks of loss of capital and income and their values change frequently. Past performance may not be repeated.