AQR LSE Fusion Fund – Class N is a mutual fund designed to provide investors with exposure to a sophisticated blend of equity and alternative strategies. The fund employs a global long-short equity approach that is intended to be market- or beta-neutral, seeking to generate returns that are independent of overall equity market movements. Utilizing a systematic investment process, the fund goes long on stocks expected to outperform and short on those anticipated to underperform, based on quantitative and qualitative signals developed by the adviser. A notable feature of the AQR LSE Fusion Fund is its integration of U.S. equity exposure with diversifying long-short alternative strategies, packaged within a tax-aware framework to enhance after-tax wealth for investors. This capital-efficient structure enables the fund to function both as a core equity holding and as a means of accessing alternative investments that may improve portfolio diversification. Managed by AQR Capital Management, a firm recognized for its expertise in alternative strategies and risk management, the fund serves investors seeking consistent long-term, risk-adjusted returns within a disciplined, research-driven framework.
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