1290 Multi-Alternative Strategies Fund Class R is a mutual fund designed to provide investors with diversified exposure to a broad range of alternative investment strategies. Its primary objective is long-term capital growth, which the fund seeks to achieve by allocating assets among various exchange-traded funds (ETFs) that invest in non-traditional asset classes and strategies. These asset categories may include commodities, convertible securities, event-driven strategies, global real estate, managed futures, long/short equity, and inflation-protected (real return) approaches. By combining multiple alternative strategies, the fund aims to enhance portfolio diversification and potentially reduce overall volatility, as these investments may exhibit low correlation with traditional market indexes or each other. The fund’s managers assess the relative attractiveness of each underlying strategy, sometimes considering momentum and other factors when determining asset allocation. This multi-strategy approach makes the fund suitable for investors seeking exposure to alternatives as a complement to conventional equity and fixed income portfolios. The fund has no minimum investment requirement for Class R shares, making it accessible to a wide range of investors.
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