Alternative Investments

Seeking to provide investors with differentiated solutions to meet their unique goals.

The Potential Benefits of Alternative Investments

Uncorrelated Returns

Market Volatility

Uncertain Market Environment

Uncorrelated Returns

Alternative Investments have to potential to provide investors with a differentiated pattern of returns uncorrelated to the broader equity and fixed income markets.

Market Volatility

Some Alternative Investments seek to capitalize on volatility to generate alpha for investors.

Uncertain Market Environment

Alternative Strategies, such as long/short equity strategies seek to provide positive returns in down market cycles.

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For More Information

Investing involves risk, including risk of loss. Alternative investments, are speculative, involve a high degree of risk, have varying degrees of liquidity and typically have higher fees than traditional investments. Rockefeller Capital Management is the marketing name for Rockefeller Capital Management L.P. and its affiliates. Investment advisory, asset management and fiduciary activities are performed by the following affiliates of Rockefeller Capital Management: Rockefeller & Co. LLC, Rockefeller Trust Company, N.A. and The Rockefeller Trust Company (Delaware), as the case may be. Rockefeller Asset Management is a division of Rockefeller & Co. LLC and the “Firm” for purposes of the Global Investment Performance Standards (“GIPS®”). Rockefeller Asset Management has been independently verified for the period January 1, 2006 through December 31, 2022. Effective January 1, 2018, the Firm was redefined to include the management of fixed income strategies for periods dating back to January 1, 2012. A complete list and description of the firm’s composites and/or a presentation that adheres to the GIPS standards is available upon request.