Alternative strategies

Arrow Performance Fund

The Fund seeks to deliver consistent returns by investing in a concentrated 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.


  • Long/Short Strategy
  • Alpha focused
  • Superior Upside/Downside Capture

East Coast Investment Grade II Fund

The Fund seeks attractive risk-adjusted returns while preserving capital through a credit-focused, fixed-income investment mandate.


  • Corporate Credit Strategy
  • Low Correlation
  • 4-5% Distribution (Monthly)