What are your investment goals?Every investor has different goals and priorities. That’s why Natixis offers a broad range of funds designed to address a variety of specific concerns.
Alternative funds use strategies and techniques not usually found in traditional investments, offering new ways to pursue returns, manage investment risk, or both.
Alternative income and return potential from active REIT manager. Value-oriented equity strategy diversified across property types.
Fund that tactically adjusts exposures to global fixed income and equities using a systematic, quantitative approach.
Risk, return and correlation properties of hedge funds in a mutual fund, using proprietary hedge fund beta replication strategy with active risk management.
Seeks positive returns across market conditions using multi-model trend-following strategy with active risk management.
Equity allocation that uses a proprietary risk model to tactically adjust market exposure to US equities.
Low-volatility equity fund that combines a diversified stock portfolio with an actively managed portfolio of written index call options to reduce risk.
Low-volatility diversified stock fund using an actively managed portfolio of written index call options and purchased index put options to reduce risk.
A flexible multisector bond fund and potential complement to core fixed income, seeking attractive returns in any interest rate environment.
Investing involves risk, including the risk of loss. There is no assurance that any investment will meet its performance objectives or that losses will be avoided.
Before investing, consider the fund's investment objectives, risks, charges, and expenses. You may obtain a prospectus or a summary prospectus containing this and other information. Read it carefully.