ABR DYNAMIC FUNDS, LLC other names

{{ Info.Overview }}
Revenue: {{ Info.Revenue | formatUSD }} Headquarters: {{ Info.Headquarters }}

Adviser Profile

As of Date:

03/29/2024

Adviser Type:

- Large advisory firm
- An investment adviser (or subadviser) to an investment company


Number of Employees:

10

of those in investment advisory functions:

3


Registration:

SEC, Approved, 7/29/2014

AUM:

516,359,884 4.51%

of that, discretionary:

516,359,884 4.51%

Private Fund GAV:

18,018,656 164.75%

Avg Account Size:

73,765,698 -10.42%


SMA’s:

NO

Private Funds:

1 1

Contact Info

212 xxxxxxx

Websites :
Client Types:

+

Advisory Activities:

+

Compensation Arrangments:

+

Reported AUM

Discretionary
Non-discretionary
961M 823M 686M 549M 412M 274M 137M
2015 2016 2017 2018 2019 2020 2021 2022 2023

Recent News

ABR 75/25 Volatility Strategy - The Hedge Fund Journal
11/17/2021

The Hedge Fund Journal is a monthly magazine focusing on the global hedge fund ... The founders of ABR Dynamic Funds, LLC started their careers as ...

thehedgefundjournal.com

ABR Dynamic Blend Equity & Volatility Fund Institutional Shares
04/01/2021

© 2021 Insider Inc. and finanzen.net GmbH (Imprint). All rights reserved. Registration on or use of this site constitutes acceptance of our Terms of Service and ...

markets.businessinsider.com

ABR Dynamic Blend Equity & Volatility Fund
04/01/2021

The fund will invest at least 80% of the value of its net assets (plus borrowing for investment purposes) in securities and instruments, including derivatives, that provide exposure to the constituents of the index powered by Wilshire. The index is ...

dividend.com

ABR Dynamic Blend Equity & Volatility Fund Investor Shares
04/01/2021

© 2021 Insider Inc. and finanzen.net GmbH (Imprint). All rights reserved. Registration on or use of this site constitutes acceptance of our Terms of Service and ...

markets.businessinsider.com

ABR Dynamic Blend Equity & Volatility Fund Investor Shares (ABRTX)
03/30/2021

S&P 500 pulls back from record high, Nasdaq drops 1.3% as Treasury yields jump

Yahoo Finance

ABR Dynamic Blend Equity & Volatility Fund Institutional Shares (ABRVX)
03/27/2021

*Close price adjusted for splits.**Adjusted close price adjusted for both dividends and splits. Loading more data...

Yahoo Finance


Private Funds Structure

Fund Type Count GAV
Hedge Fund 1 $18,018,656

Similar advisers

Adviser Hedge Fund Liquidity Fund Private Equity Fund Real Estate Fund Securitized Asset Fund Venture Capital Fund Other Fund Total Private Fund GAV AUM # funds
TOWER HOUSE PARTNERS LLP - - - - - - - - 493.4m -
A.W. JONES 502.9m - - - - - - 502.9m 502.9m 2
PEMBROOK CAPITAL MANAGEMENT LLC 418.6m - - - - - - 418.6m 534.8m 4
ADVANTAGE ALPHA CAPITAL PARTNERS LP 502.3m - - - - - - 502.3m 543.4m 2
MYDA ADVISORS LLC 525.2m - - - - - - 525.2m 525.2m 3
BRANT POINT INVESTMENT MANAGEMENT LLC 507.3m - - - - - - 507.3m 507.3m 3
ASTON CAPITAL MANAGEMENT 340.7m - - - - - - 340.7m 508.4m 6
SOAPSTONE MANAGEMENT L.P. 534.0m - - - - - - 534.0m 534.0m 1
SUMMIT STREET CAPITAL MANAGEMENT, LLC 225.5m - - - - - - 225.5m 586.6m 1
MANATUCK HILL PARTNERS, LLC 579.8m - - - - - - 579.8m 513.5m 6

Private Funds



Employees




Brochure Summary

Overview

A: Firm Description ABR Dynamic Funds LLC (“ABR”, “Investment Adviser” or “Investment Manager”), a Delaware limited liability company formed on March 2, 2015, currently provides discretionary investment advisory services to the following registered investment companies (“RICs”) which are registered under the Investment Company Act of 1940, as amended (the “Act”). ABR Dynamic Blend Equity & Volatility Fund ABR 50/50 Volatility Fund ABR 75/25 Volatility Fund ABR also provides investment management services to the following non-U.S. pooled investment vehicles registered as sub-funds of ICAVs with the Central Bank of Ireland: ABR Dynamic Blend Equity & Volatility Fund ABR Enhanced Short Volatility Fund ABR 75/25 Volatility UCITS Fund ABR serves as the investment manager for the ABR Dynamic Multi-Asset Fund LP, a Delaware limited partnership, and the ABR Dynamic Multi-Asset Offshore Fund LP, a Cayman Islands limited partnership, each of which are privately offered funds available only to qualified purchasers (together, the “ABR Private Fund”). In this brochure we refer to the RICs, non-U.S. pooled vehicles and the ABR Private Fund as “Funds” or “Clients.” ABR Management LLC and Taylor Lukof are the founders and principal owners of ABR. B: Types of Advisory Services Dynamic Blend Equity & Volatility Strategy The strategy seeks investment results that correspond generally to the performance of a benchmark index that measures the investment returns of a dynamic ratio of large-capitalization stocks and the volatility of large-capitalization stocks. Short Volatility Strategy The strategy seeks to capitalize on the long-term historical downward trend of the price of CBOE Volatility Index (the “VIX Index”) futures, while mitigating the effect of sudden price appreciation in VIX Index futures. Employing a proprietary investment model ABR invests the strategy’s assets primarily in securities and derivative instruments that, to varying degrees, provide short exposure to VIX Index futures and exchange traded products (“ETPs”), long exposure to long-term U.S. Treasury securities, and cash. 50/50 Volatility Strategy The strategy seeks to capitalize on extended downtrends in the price of VIX Index futures and VIX Index ETPs, while mitigating the effect of sudden price appreciation in VIX Index futures and VIX Index ETPs. Employing a proprietary investment model,
ABR invests the strategy’s assets primarily in securities and derivative instruments that, to varying degrees, provide for an allocation among (i) long exposure to CBOE Volatility Index (“VIX Index”) futures and VIX Index exchange-traded products (“ETPs”); (ii) short exposure to VIX Index futures and VIX Index ETPs; (iii) long exposure to S&P 500 Index futures and S&P 500 Index ETPs; (iv) long exposure to long-term U.S. Treasury securities, and (v) cash. 75/25 Volatility Strategy The strategy seeks to generate favorable long-term risk-adjusted returns, in part, by profiting from price changes involving instruments that track volatility levels. Employing a proprietary investment model ABR invests the strategy’s assets primarily in securities and derivative instruments that, to varying degrees, provide (i) long exposure to CBOE Volatility Index (“VIX Index”) futures and exchange-traded products (“ETPs”); (ii) short exposure to VIX Index futures and ETPs; (iii) long exposure to S&P 500 Index futures and ETPs; and (iv) long exposure to long-term U.S. Treasury securities; and (v) cash. Multi-Asset Strategy The strategy’s objective is to generate absolute return with favorable risk-adjusted returns over multiple market cycles. It generally utilizes proprietary quantitative models, which may include trend- following. he asset classes in which the strategy invests include, without limitation, equities, fixed income securities and commodity interests, including volatility. The instruments used to gain exposure to these asset classes include, but are not limited to, stocks, exchange-traded products and other funds, bonds, and exchange-traded futures. Most instruments held by the strategy are traded or have their primary market in the U.S. The strategy commonly utilizes leverage and employs both long and short exposures. C: Tailored Services ABR’s clients are RICs, private funds and non-U.S. pooled vehicles, which are managed in accordance with each such fund’s prospectus or offering memorandum and other governing documents. D: Wrap Fee Programs ABR does not participate in any wrap fee programs. E: Client Assets Under Management As of December 31, 2023, ABR managed approximately $516 million in regulatory assets under management, all of which are managed on a discretionary basis. ABR does not manage any assets on a non-discretionary basis.