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Victory Market Neutral Income Fund
  • The Victory Market Neutral Income Fund:
    • Has historically delivered returns that are uncorrelated to stocks and bonds
    • Mitigates the effect of market volatility and equity risk on the fund through a market neutral portfolio
    • Offers an alternative approach that seeks to provide high current income
  • The team uses a proprietary, systematic process that invests in high-dividend securities and shorts equity index futures to help minimize market risk and volatility. 

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Yields

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5-Year Fund Statistics are shown for share classes with five years of performance history. For Share Classes with less than five years of history, Class I Shares statistics are displayed.

Risk Measures

Distribution

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Asset Allocation

FUND OBJECTIVE 
The Fund seeks to achieve high current income. 
 
INVESTMENT STRATEGY 


The Fund utilizes a proprietary “market neutral” investment strategy designed to seek income from its investments while maintaining a low correlation to foreign and domestic equity and bond markets.
 

The Fund uses a multi-strategy approach. First, the Fund seeks income from long positions in foreign and domestic dividend producing equity securities of any market capitalization. Second, the Fund seeks to offset the equity market risk associated with the dividend portfolio by shorting highly correlated equity index futures contracts, such as the S&P 500®, Russell 2000®, MSCI EAFE and Emerging Markets Indexes. Third, the Fund allocates to long and short positions in an additional basket of equity index futures designed to offset residual basis risk.

Management Team

Mannik S. Dhillon
Mannik S. Dhillon, CFA, CAIA

President, Investment Franchises & Solutions and Head of Product & Strategy

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20241104-3989290