AQR Risk-Balanced Commodities Strategy Fund Class I ARCIX Strategy
Strategy
The investment seeks total return. The fund pursues its investment objective by allocating assets among various commodity sectors (including agricultural, energy, livestock, softs (e.g., non-grain agricultural products such as coffee, sugar, cocoa, etc.), precious and base metals and carbon pricing). The fund’s investments include alternative commodities (i.e. those commodities that are not typically included in large, widely recognized commodity indices). The fund will obtain exposure to commodity sectors by investing in commodity-linked derivatives, directly or through its investment in the Subsidiary. It is non-diversified.
|
Ticker
|
Name
|
Share Class Type
|
Investment Status
|
Morningstar Rating for Funds
Overall
|
Medalist Rating
Overall
|
Inception Date
|
Total Net Assets for Share Class
|
Adjusted Expense Ratio
|
Fee Level
Distribution
|
Minimum Initial Investment
|
1-Year Net Flow
|
|---|---|---|---|---|---|---|---|---|---|---|---|
ARCNX
| AQR Risk-Balanced Commodities Strategy Fund Class N | No Load | Open | — | $128.34M | 1.330% | Above Average | $2,500 | $23.36M | ||
ARCIX
| AQR Risk-Balanced Commodities Strategy Fund Class I | Institutional | Open | — | $1.42B | 1.040% | High | $5M | $371.64M | ||
QRCRX
| AQR Risk-Balanced Commodities Strategy Fund Class R6 | Retirement, Large | Open | — | $411.81M | 0.930% | Above Average | $50M | $123.42M |