Fund

About Longboard Funds

With every Longboard fund, you can expect a common set of characteristics. Together, they make up an approach to fund management that reflects our core value of doing what’s right for the long term.

Uncorrelated

We believe the best way to deliver uncorrelated returns is with an uncorrelated approach. Whether it is managed futures, long-short or other alternative strategies, we thoughtfully question conventional wisdom, consider new data and come to our own conclusions.

Disciplined

Our goal is to safeguard your portfolio, no matter what happens in the market. You can rely on us to stay true to our long-term trend following strategies and up to date on current market conditions. This helps prevent short-term thinking from marring long-term performance.

Transparent

You want to know how your client’s money is being invested so we provide clear cut answers from the start. If it helps, we will run scenarios that compare our fund’s impact on your portfolio against that of other funds. That way, you will always be able to answer your client’s questions about our funds.