Fund of Funds

Updated:

Alternative Strategies Income Fund

Alternative Strategies Income Fund allocates capital across alternative asset classes like private credit and real estate to generate income for investors.

Alternative Strategies Income Fund

Alternative Strategies Income Fund was established to provide income-focused investors access to a diversified portfolio of alternative strategies. The fund's structure as a fund of funds allows it to aggregate investments across multiple alternative asset classes, including private credit, real estate, infrastructure, and potentially hedge funds (public record). The fund targets yield and capital preservation through this diversified approach. The fund's investment strategy spans several asset classes, with a focus on private credit, real estate, infrastructure, and other alternative strategies that generate income. The fund of funds structure enables it to invest in a portfolio of underlying funds and direct investments, providing diversification and access to institutional-quality managers (public record). Geographic focus is global, with exposure to developed markets in North America, Europe, and Asia. The fund's team size and total assets under management are not publicly disclosed. No additional offices or backtested affiliated vehicles have been identified. The fund likely operates with a lean team focused on manager selection and portfolio construction. No recent operational events from the last 24 months are available. The fund's structural differentiator is its focus on income generation through alternative strategies, as opposed to growth or appreciation. This income-oriented mandate distinguishes it from many alternative fund of funds that target absolute return or capital growth. The fund provides income-seeking investors access to alternative asset classes that traditionally have lower correlation to public markets.

General information

Firm type

Fund of Funds

Year founded

AUM

Undisclosed

Location

Region

Country

City

Corporate office

Frequently asked questions

Who runs investment decisions at Alternative Strategies Income Fund?

The fund's investment team and decision-makers are not publicly named. As a fund of funds, the investment process likely involves manager selection and portfolio construction by an internal investment committee. Without disclosed principals, the governance structure remains opaque.

How does Alternative Strategies Income Fund source proprietary deal flow?

The fund likely relies on a network of institutional relationships, including placement agents, investment banks, and direct contacts with alternative asset managers. The fund of funds structure suggests a focus on manager selection rather than proprietary direct deal origination.

Is Alternative Strategies Income Fund structured as a single family office or does it operate more like a fund?

The fund operates as a fund of funds, registered as an investment vehicle for multiple investors, not as a single family office. It pools capital from accredited investors to allocate across alternative strategies, functioning similarly to a registered investment company or private fund.

What investment stages does Alternative Strategies Income Fund typically target?

The fund targets a range of alternative strategies that generate income, including private credit (senior loans, mezzanine debt), real estate (commercial real estate debt or equity), infrastructure (yield-oriented assets), and potentially hedge funds with income-oriented strategies. The focus is on yield and capital preservation across these stages.

Which sectors does Alternative Strategies Income Fund explicitly avoid?

The fund likely avoids growth-stage venture capital, early-stage technology investments, and other strategies that prioritize capital appreciation over income. Its mandate is oriented toward yield generation, so sectors like startup equity, growth equity, or high-volatility strategies may be excluded or minimized.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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