Oak Hill AQR Delphi Long-Short Equity Fund

Liquid Alternative

Fund Objective

The objective of the Oak Hill AQR Delphi Long-Short Equity Fund is to deliver equity-like returns while targeting half of the systematic risk of equity markets. The Fund provides investors with returns from potential gains from its long and short positions in Global equities.

Strategy

The Fund seeks capital appreciation primarily by investing on a long basis in attractively valued, high quality and low beta assets and on a short basis in expensive, low quality, and high beta assets. The Fund will also take into consideration additional security characteristics when evaluating an investment’s attractiveness. The Fund’s sensitivity to movements in the broader equity market is targeted to be half of the market’s.

Highlights

As of 1/30/2026
Fund code OAK101
NAV $10.1408
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 2.15%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily
As of 1/30/2026
Fund code OAK103
NAV $10.1849
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 1.15%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily
As of 1/30/2026
Fund code OAK105
NAV $10.1999
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 0.90%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily
As of 1/30/2026
Fund code OAK101U
NAV $9.9922
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 2.15%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily
As of 1/30/2026
Fund code OAK103U
NAV $10.2536
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 1.15%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily
As of 1/30/2026
Fund code OAK105U
NAV $10.2684
Inception Date 8/8/2025
AUM $300 million
Distributions Annually
Registered Tax Plan Status Eligible
Management Fee 0.90%
Performance Fee 20% over Blended Benchmark (50% MSCI World Net Total Return Hedged Index / 50% 3 Month T-Bill Index) and perpetual high watermark
Minimum Investment $500 initial, $50 additional
Purchases Daily
Redemptions Daily
Valuations Daily

Fund Performance

*** performance cannot be displayed until the 1 Year anniversary of the fund

Fund Name

Series

Date

1M

3M

YTD

1Y

3Y

5Y

Since Inception

Oak Hill AQR Delphi Long Short Equity Fund

A

Oak Hill AQR Delphi Long Short Equity Fund

F

Oak Hill AQR Delphi Long Short Equity Fund

X

Oak Hill AQR Delphi Long Short Equity Fund

A US

Oak Hill AQR Delphi Long Short Equity Fund

F US

Oak Hill AQR Delphi Long Short Equity Fund

X US

Fund Performance Table
Fund Name Series Date 1M 3M YTD 1Y 3Y 5Y Since Inception
UBS (Canada) Global Real Estate Fund (Canada) A 28/03/2024 -1.05% -0.69% -0.69% -8.15% 1.39% - 1.84%
UBS (Canada) Global Real Estate Fund (Canada) F 28/03/2024 -0.96% -0.41% -0.41% -7.10% 2.54% - 3.06%
UBS Global Merger Arbitrage Fund (Canada) A 28/03/2024 0.02% 0.02% 0.02% 3.23% -0.39% 2.66% 3.95%
UBS Global Merger Arbitrage Fund (Canada) F 28/03/2024 0.11% 0.30% 0.30% 4.28% 0.70% 3.76% 4.69%
Oak Hill NexPoint Global Merger Arbitrage Fund F 30/09/2024 0.66% 1.63% 4.09% 5.21% - - 5.90%
Oak Hill NexPoint Global Merger Arbitrage Fund X 30/09/2024 0.67% 1.68% 4.24% 5.38% - - 5.40%

Performance is net of investment management fees and expenses. Past performance is no guarantee of results.

 

Fund Documents

English

French

Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. Investors should carefully consider a fund’s investment objectives and strategies, risks, fees and expenses before investing. Please read the offering documents before investing. Investment funds are not guaranteed. Fund values change frequently and past performance may not be repeated.

This material is intended to be of general interest only and should not be construed as individual investment advice or a recommendation or solicitation to buy, sell or hold any security or to adopt any investment strategy. It does not constitute legal or tax advice.

Scroll to Top