LQNIX : QS Global Market Neutral Fund Class I

LQNIX is a Alternatives Market Neutral with HIGH fees.

LQNIX

QS Global Market Neutral Fund Class I

FI Score

14 /100

Expense Ratio Rating

1 /10

Expense Rating

0 /10

Market Score

3 /10

Category Score

0 /10

Market Size

3 /10

14% FI Score
  • lqnix
  • Mutual Fund
  • Alternatives
  • Neutral

QS Global Market Neutral Fund Class I

Expenses: 3.31% (Better than 0% of similar funds)

This is a bad choice for a Neutral Alternatives fund. See why ยป

Fund Summary

The investment seeks long-term capital appreciation. The fund's manager seeks positive returns unrelated to the broad global market by selecting both long and short positions in equity securities from anywhere in the world while applying measures that attempt to control for risk. The subadviser buys equity securities the fund's manager considers to be undervalued ("long positions") and it sells short equity securities the fund's manager considers to be overvalued ("short positions").

Largest Holdings

Amount Holding
0.80% Humana Inc
0.76% Aviva PLC
0.72% Swedish Match AB
0.71% Roche Holding AG Dividend Right Cert.
0.71% Fortinet Inc
0.71% Dow Inc
0.70% ASML Holding NV
0.67% Cardinal Health Inc
0.66% ASM International NV
0.65% Vistra Energy Corp
0.64% Shionogi & Co Ltd
0.64% Evolution Gaming Group AB
0.63% Eastman Chemical Co
0.63% Snam SpA
0.62% Tate & Lyle PLC
0.62% Auto Trader Group PLC
0.61% Sekisui House Ltd
0.60% Smith & Nephew PLC
0.60% Coca-Cola European Partners PLC
0.59% Citizens Financial Group Inc
0.59% Dialog Semiconductor PLC
0.58% NXP Semiconductors NV

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