Victory Market Neutral Income Fund Class I is an institutional mutual fund designed to deliver high current income through a market neutral investment strategy. Its unique approach aims to generate returns that demonstrate minimal correlation to broad equity or fixed income markets, making it an alternative asset for investors seeking diversification away from traditional stocks and bonds. The fund primarily employs a combination of long positions in high-dividend equities and short positions in equity index futures, systematically seeking to capture income from security selection while significantly reducing overall equity risk and market volatility. With a typical beta far below that of the general equity market, this fund’s exposure to market fluctuations is intentionally limited. There is a focus on producing attractive monthly income distributions, supported by a portfolio of global equities and derivative instruments. The fund’s objective and structure make it especially relevant for investors and institutions aiming to offset market volatility, pursue consistent cash flows, and enhance portfolio diversification—fulfilling a distinct role in sophisticated wealth and risk management strategies.
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