# Variant Alternative Income Fund

Variant Alternative Income Fund is a Fund of Funds.

## Overview

- **Organization type:** Fund of Funds
- **Assets under management:** Undisclosed

## Regulatory record

- **Reports private funds:** No

## About

The Variant Alternative Income Fund was established to provide investors with exposure to private-market income streams. Its structure reflects a fund-of-funds model, allocating capital to underlying managers in private credit, real estate, and infrastructure rather than making direct investments. The fund targets yield generation through senior debt, real estate debt, and infrastructure-related credit instruments. Strategy focuses on a multi-manager platform, investing across a range of alternative credit managers and real asset funds. The fund's portfolio includes private credit, real estate debt, infrastructure debt, and hedge fund strategies, with an emphasis on senior secured positions and floating-rate instruments. Geographic exposure is primarily North America, with select European and Asian opportunities as per manager allocations. The fund does not publicly disclose specific portfolio companies or co-investors. The fund maintains a lean operational structure, with no disclosed number of professionals or offices. It operates as an investment vehicle rather than a standalone family office or asset manager with a broad public footprint. As of the most recent data, the fund has not reported any significant team changes or capital raises in the public domain. A key structural differentiator is its focus on alternative income as a distinct asset class within a multi-manager framework. Unlike traditional private credit funds that originate their own deals, Variant Alternative Income Fund relies on external manager selection and due diligence to generate yield. This structure reduces idiosyncratic risk but introduces manager selection risk and fee layering.

## Sectors

- Private Credit
- Real Estate
- Infrastructure
- Hedge Funds
- Secondaries & Special Situations

## Questions

### Who manages the Variant Alternative Income Fund?

The fund does not publicly disclose named portfolio managers or investment committee members. It operates as a pooled vehicle that allocates to external managers, meaning the underlying managers drive day-to-day decisions. Leadership details remain confidential in the public domain.

### What types of alternative income does the fund target?

The fund targets yield across private credit, real estate debt, infrastructure debt, hedge fund strategies, and secondaries/special situations. It focuses on senior secured positions and floating-rate instruments to mitigate interest rate risk. The fund does not engage in direct equity investments.

### Does the fund commit to external fund managers or invest directly?

The fund primarily commits to external managers across private credit, real estate, and infrastructure. It does not originate its own direct deals or co-investments. This multi-manager approach diversifies manager risk but introduces fee layering and selection risk.

### What is the fund's relationship with alternative asset classes like private equity?

The fund explicitly avoids growth equity and venture capital, focusing solely on income-generating strategies. Its portfolio excludes private equity buyout and early-stage investments. This differentiates it from broader multi-asset alternative funds.

## Related profiles

- [Stone Ridge Trust V](https://altss.com/profile/stone-ridge-trust-v)
- [Finch Therapeutics Group, Inc.](https://altss.com/profile/finch-therapeutics-group-inc)

---

Last updated: 2026-06-03T20:00:00.000Z

Canonical page: https://altss.com/profile/variant-alternative-income-fund

Maintained by Altss — https://altss.com — methodology: https://altss.com/methodology
