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CC&L Diversified Market Neutral - F

CCL851
8.86
0.00
-0.02%
2017-10-12
5 Years
  • Previous Close

    8.86

  • Net Assets

    371.07M

  • Yield

    10.35%

  • Front load

    None

  • Expenses

    -

  • Category

    Alternative Strategies

  • Morningstar Risk

    -

  • Morningstar Rating -
Profile

Name of Issuer

Connor, Clark & Lunn Funds Inc.

Fund Style

Open

Fund Manager

Steven Huang

Investment Style

Medium Blend

The investment objective of the CC&L Diversified Market Neutral Fund is to earn a positive absolute and attractive risk adjusted return over the long term while demonstrating low correlation with, and lower volatility than, traditional equity markets by primarily investing in investment fund(s) that employ absolute return strategies, including funds managed by the Manager, the Investment Manager (as defined below) or any one of their affiliates. The CC&L Diversified Market Neutral Fund may also invest in cash, money market and short term debt instruments. Investment funds into which the CC&L Diversified Market Neutral Fund invests may utilize leverage and short selling.

Purchase Information

Initial Purchase 25,000
Initial Purchase: IRA 25,000
Initial Purchase: AIP NA

Inception

2014-04-18

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