Arrow
long/short
Alternative Class

Formerly Arrow Canadian Advantage Alternative Class

   

Fund Strategy

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.


Investment Process

The Fund invests in companies with proven management ability, well-defined growth strategies and distinct competitive advantages. Management also looks for event-driven trading opportunities to augment returns. The manager has the flexibility to vary market exposure to mitigate risk.


Investor Profile

  • Investors looking for capital appreciation through active management of an equity portfolio.
  • Investors looking to invest in companies with proven management teams, strong cash flows and earnings growth.
  • Investors who wish their portfolios to respond to varying market conditions.
  • Investors able to accept a moderate level of risk.

Investor Video

Arrow Liquid Alts Q2 Outlook Webinar Replay


Fund Performance

YearJanFebMarAprMayJunJulAugSepOctNovDecYear
20241.750.091.85
2023-0.59-1.06-0.150.66-1.15-1.820.410.321.530.330.17-0.54-1.92
2022-1.733.051.110.88-0.61-1.41-0.871.031.98-0.26-1.941.472.59
20214.037.53-0.032.220.172.08-1.661.00-0.261.71-0.140.6418.33
20202.65-1.69-8.285.202.831.713.972.410.041.028.335.6125.38
20194.333.111.931.231.230.190.181.32-1.38-0.062.191.0516.30
20180.71-0.660.170.581.710.770.211.53-0.57-5.41-0.97-3.54-5.56
20170.140.630.761.800.75-1.18-1.630.450.293.090.520.436.12
2016-3.06-1.301.58-0.170.650.252.110.95-0.21-0.36-0.220.370.50
20150.624.350.09-1.612.67-0.582.69-2.40-1.160.391.59-0.156.49
2014-0.303.122.130.980.772.61-0.061.69-1.261.671.51-0.8712.56
20133.822.011.160.451.21-0.191.341.072.223.234.401.8224.90
20123.203.03-1.79-1.26-2.460.071.061.633.100.49-0.701.247.65
20110.343.10-1.690.26-1.32-2.882.07-3.58-7.206.580.36-1.42-5.88
2010-4.295.512.622.61-2.74-1.001.743.773.502.634.132.8022.90
20090.06-0.501.95-0.053.64-1.920.181.564.33-0.444.642.4416.83
20084.65-1.350.140.88-0.290.401.035.48
YearJanFebMarAprMayJunJulAugSepOctNovDecYear
20241.650.001.65
2023-0.68-1.15-0.240.58-1.25-1.910.320.231.440.230.09-0.63-3.00
2022-1.822.981.040.81-0.48-1.75-0.960.931.89-0.35-2.031.371.49
20213.977.40-0.122.180.092.01-1.730.91-0.331.64-0.220.5317.24
20202.58-1.78-8.405.142.761.633.932.33-0.040.958.245.5224.22
20194.233.021.991.151.170.120.091.24-1.450.331.650.9715.40
20180.64-0.770.090.482.050.460.491.00-0.08-6.13-1.06-3.62-6.52
20170.040.550.951.580.67-1.44-1.790.350.203.560.980.356.07
2016-3.14-1.391.52-0.260.570.162.141.02-0.42-0.49-0.400.28-0.52
20150.554.300.04-1.652.59-0.682.57-2.49-0.930.141.430.216.04
2014-0.393.072.040.900.612.51-0.141.61-1.361.571.42-0.9511.32
20134.031.961.100.411.13-0.241.250.992.123.124.291.7224.08
20123.102.94-1.88-1.36-2.55-0.010.961.543.020.39-0.791.256.59
20110.273.04-1.790.19-1.40-3.041.99-3.67-7.286.490.27-1.51-6.90
2010-4.375.452.542.54-2.79-1.081.693.713.432.574.062.7321.95
2009-0.02-0.581.86-0.143.56-2.010.091.474.38-0.514.562.3615.83
20084.59-1.470.060.86-0.360.330.964.97

Growth of $1,000

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Risk Rating

  • Low

  • Medium

  • High


Portfolio Details

Fund Codes

Series A: AHP 1000
Series F: AHP 1010
Series L: AHP 1030

Minimum Investment

$1,000

Management Fee

Series A: 1.65%
Series F: 0.65%
Series L: 1.95%

Liquidity

Daily

Performance Fee

20%

High Water Mark

Perpetual, based on the highest calendar year-end adjusted NAV

Hurdle Rate

6%

Portfolio Advisor

Arrow Capital Management

Short term redemption charge

2% of NAV within the first 90 days

RSP Eligibility

Eligible

Auditor

PricewaterhouseCoopers

Custodian

CIBC World Markets and CIBC Mellon Trust Company

Valuation Agent

CIBC Mellon Global Securities Services

Administrator

RBC Investor Services Trust

Manager & Promoter

Arrow Capital Management Inc.




Investment Managers

Chung Kim, CIM

Portfolio Manager

Ashley Kennedy, CFA

Portfolio Manager


How to Invest

Mutual Fund Solutions


Effective June 15, 2023, the fund was renamed Arrow Long/Short Alternative Class (formerly Arrow Canadian Advantage Alternative Class).

FundGrade A+® is used with permission from Fundata Canada Inc., all rights reserved. The annual FundGrade A+® Awards are presented by Fundata Canada Inc. to recognize the “best of the best” among Canadian investment funds. The FundGrade A+® calculation is supplemental to the monthly FundGrade ratings and is calculated at the end of each calendar year. The FundGrade rating system evaluates funds based on their risk-adjusted performance, measured by Sharpe Ratio, Sortino Ratio, and Information Ratio. The score for each ratio is calculated individually, covering all time periods from 2 to 10 years. The scores are then weighted equally in calculating a monthly FundGrade. The top 10% of funds earn an A Grade; the next 20% of funds earn a B Grade; the next 40% of funds earn a C Grade; the next 20% of funds receive a D Grade; and the lowest 10% of funds receive an E Grade. To be eligible, a fund must have received a FundGrade rating every month in the previous year. The FundGrade A+® uses a GPA-style calculation, where each monthly FundGrade from “A” to “E” receives a score from 4 to 0, respectively. A fund’s average score for the year determines its GPA. Any fund with a GPA of 3.5 or greater is awarded a FundGrade A+® Award. For more information, see www.FundGradeAwards.com. Although Fundata makes every effort to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by Fundata.

The FundGrade A+® rating is used with permission from Fundata Canada Inc., all rights reserved. Fundata is a leading provider of market and investment funds data to the Canadian financial services industry and business media. The Fund-Grade A+® rating identifies funds that have consistently demonstrated the best risk-adjusted returns throughout an entire calendar year. For more information on the rating system, please visit  www.Fundata.com/ProductsServices/FundGrade.aspx.

Commissions, trailing commissions, management fees, performance fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing.  The indicated rates of return are the historical annual compounded total returns net of fees and expenses payable by the fund (except for figures of one year or less, which are simple total returns) including changes in security value and reinvestment of all dividends/distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently, and past performance may not be repeated.

The rates of return are used only to illustrate the effects of the compound growth rate and are not intended to reflect future values or returns on investment in an investment fund.

The “Growth of $1,000” chart shows the final value of a hypothetical $1,000 investment in securities in this class/series of the fund as at the end of the investment period indicated and is not intended to reflect future values or returns on investment in such securities.

The risk level of a fund has been determined in accordance with a standardized risk classification methodology in National Instrument 81-102, that is based on the fund’s historical volatility as measured by the 10-year standard deviation of the fund’s returns.  Where a fund has offered securities to the public for less than 10 years, the standardized methodology requires that the standard deviation of a reference mutual fund or index that reasonably approximates the fund’s standard deviation be used to determine the fund’s risk rating.  Please note that historical performance may not be indicative of future returns and a fund’s historical volatility may not be indicative of future volatility.

This information on this document is provided as a general source of information and should not be considered personal, legal, accounting, tax or investment advice, or an offer or a solicitation to buy or sell securities.  Every effort has been made to ensure that the material contained herein is accurate at the time of publication. Market conditions may change which may impact the information contained in this document. 

For major events that may affect the performance of a fund in the last 10 years, including its participation in an amalgamation or merger with another fund or a change in its investment objectives or portfolio advisor, please refer to the “History of the Fund” section in the fund’s most recently-filed Annual Information Form.