1290 Multi-Alternative Strategies Fund Class A is a mutual fund designed to provide long-term capital growth by investing across a diverse array of non-traditional, or alternative, asset categories. The fund implements a multi-strategy approach by selecting and allocating assets primarily through underlying exchange-traded funds (ETFs) that specialize in alternative investments. These alternatives may include commodities, convertible securities, event-driven strategies, global real estate, managed futures, long/short equity, and real return strategies. By investing in a broad mix of these asset classes, the fund aims to achieve enhanced portfolio diversification and reduce overall risk, as the performance of alternative assets often lacks strong correlation with each other or with conventional equity and bond markets. The fund’s flexible allocation process considers momentum and market conditions to determine relative exposures among the chosen alternatives. Its structure and approach make it a portfolio diversifier for investors seeking exposure beyond traditional asset classes, reflecting evolving market strategies for managing volatility and pursuing capital appreciation.
Based on technical indicators and chart patterns, TNMAX shows...
Market sentiment analysis indicates...