noteworthy news & announcements

fund-types News Items archive

  • Arrow Long/Short Alternative Class

    The Fund seeks to deliver consistent returns by investing in a portfolio of Canadian equity securities chosen from those industries that management believes offers the best opportunity for profitable returns at each stage of the economic and market cycle.

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  • Arrow Global Multi-Asset Alternative Class

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

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  • Arrow Opportunities Alternative Class

    The investment objective of the Fund is to achieve superior capital appreciation over both short and long term horizons primarily through the selection and management of long and short positions in Global equity securities and equity derivative securities.

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  • Arrow EC Equity Advantage Alternative Fund

    Fund Strategy The investment objective of the Arrow EC Equity Advantage Alternative Fund is to earn long-term returns and preserve capital by taking both long and short positions in a diversified portfolio of primarily North American equity securities. To achieve the investment objective, the Fund will employ market neutral strategies by generally taking balanced long and short positions in North America equity securities combined with an index exposure, such that […]

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  • Arrow EC Income Advantage Alternative Fund

    Fund Strategy The Fund seeks to generate attractive risk-adjusted returns with low volatility in all interest rate environments. Unlike traditional fixed income strategies, the Fund maintains attractive exposure to a diversified portfolio of Canadian investment grade corporate bonds, seeking to eliminate the interest rate risk associated with such bonds. Investor Profile Investors seeking to protect capital from rising interest rates and systemic market risk Investors seeking a monthly income stream […]

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  • WaveFront Global Diversified Investment Class

    Fund Strategy The Fund seeks long-term absolute, risk-adjusted returns with low correlation to global equity and fixed-income market returns. Investment Process In partnership with the University of Waterloo, the Fund’s manager has developed a systematic investment process to identify opportunities across all markets and manage risk. Using computer-driven systems to analyze market behaviour, they identify trends and position the portfolio to profit for as long as the trend persists, whether […]

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  • Catégorie alternatif Arrow acheteur/vendeur

    L’objectif du Portefeuille Exemplar axé sur le marché canadien consiste à procurer des rendements constants en investissant principalement en titres canadiens. Le Fonds investit dans un nombre limité de titres, parmi les secteurs qui recèlent (selon l’analyse du gestionnaire) des meilleures occasions en matière de rendement lors de chaque phase du cycle économique et boursier. Le Fonds investit dans les sociétés qui ont démontré une gestion efficace, des stratégies de croissance bien définies ainsi que des avantages concurrentiels clairs. Le gestionnaire recherche des occasions de placement sensibles aux évènements afin d’augmenter les rendements.

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  • Catégorie WaveFront placement diversifié mondial

    L’objectif de placement du Portefeuille diversifié Exemplar consiste à rechercher des rendements absolus supérieurs à long terme non corrélés qui soient indépendants des fluctuations des marchés boursiers et obligataires. Le Portefeuille est établi selon un processus quantitatif, qui génère des positions longues et courtes en options et en contrats à terme ainsi qu’en autres instruments financiers dérivés sur matières premières, métaux, énergie, devises, taux d’intérêt et indices boursiers.

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  • Fonds alternatif Arrow EC avantage revenue

    Stratégie Fonds The Fund seeks to generate attractive risk-adjusted returns with low volatility in all interest rate environments. Unlike traditional fixed income strategies, the Fund maintains attractive exposure to a diversified portfolio of Canadian investment grade corporate bonds, seeking to eliminate the interest rate risk associated with such bonds. Profil de l’investisseur Investors seeking to protect capital from rising interest rates and systemic market risk Investors seeking a monthly income […]

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