The global investment markets are rarely, if ever, boring. To seek diversification, many investors are turning towards alternative investments that can help deliver uncorrelated, attractive returns.
Aberdeen Diversified Alternatives Fund is a multi-manager, registered mutual fund with dynamic allocations that are carefully evaluated, selected and monitored by a team of global alternatives investment professionals. The result is a liquid, alternative investment fund delivering risk-adjusted returns that are uncorrelated to traditional strategies.
Learn more about the fund
|Class A||Class C||Institutional Class|
|Minimum Initial Investment:||$1,000||$1,000||$1,000,000|
|Distributions:||Quarterly Distributions/Annual Capital Gains|
Past performance is no guarantee of future results.
The Fund is subject to different levels and combinations of risk, based on its actual allocation among the various asset classes and underlying funds. The Fund will be affected by stock and bond market risks, among others.
Foreign securities are more volatile, harder to price and less liquid than U.S. securities; and are subject to different accounting and regulatory standards, and political and economic risks. These risks are enhanced in emerging markets countries.
The Fund’s investments in high-yield bonds may subject the Fund to substantial risk of loss. The Fund invests a significant proportion of its assets in non-traditional asset classes, which may involve riskier types of securities or investments than those offered by other asset classes.
Please read the prospectus for more detailed information regarding these risks.