Strategy Information

    Global Opportunity Fund ("GOF")
    A long/short, benchmark-agnostic global macro allocation fund. GOF has an average forward-looking risk level of 15% over a market cycle. GOF includes the purest form of the Dynamic Allocation Strategies team’s views across the global marketplace including: Equities, Fixed Income, Currencies, Commodities, and Volatility. GOF does not include any expectation of security-specific (benchmark-relative) alpha, but instead relies exclusively on its macro, top-down allocation expertise as it seeks to produce attractive, long-term outperformance.

    Macro Allocation Fund
    For more information about the mutual fund version of this strategy, please visit www.williamblairfunds.com by clicking on the link below.
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    Dynamic Diversified Allocation Fund
    For more information about the SICAV fund version of this strategy, please visit www.sicav.williamblairfunds.com by clicking on the link below.
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