Alternative Investments
Within Reach
The Dynamic Alternatives Fund is a registered investment vehicle that provides investors with access to a comprehensive portfolio of alternative investments.
Fund Purpose
The Dynamic Alternatives Fund seeks to complement traditional equity and fixed-income investments by providing additional sources of return and added risk diversification.
Fund Objective
The Dynamic Alternatives Fund seeks total return through a combination of capital appreciation and income generation.
Fund Holdings
The Dynamic Alternatives Fund is a carefully orchestrated portfolio of alternative assets and strategies that dynamically adjusts as opportunities and risks evolve.​
Dynamic Alternatives Process
Assets and Strategies
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Real Estate
Equity and debt investments in and secured by real estate. Access via funds or direct investments.
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Private Credit
Investments in senior, second lien, and mezzanine debt. Access through private funds and business development companies (BDCs).
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Opportunistic
Specific investments with unique characteristics. Publicly available alternatives, aircraft leasing, insurance-linked, Master Limited Partnerships, Commodities, natural resources, distressed debt, among others.
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Private Equity
Equity investments in portfolios of private companies. Access via secondaries and direct investments.
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Hedge Funds
More complex investment strategies in relatively liquid assets. This may involve leverage, long-short, arbitrage, relative value, and or active risk management among other strategies.
Fund Details
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Fund Name
Dynamic Alternatives Fund
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Fund Manager
Hamilton Capital
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Fund Structure
’40 Act Registered Investment Company; continuously offered, closed-end non-diversified tender-offer
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AUM
$334.8M*
*as of 12/31/25
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Minimum Investment
$25,000 (subsequent investments of $10,000)
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Investor Qualifications
Limited to accredited investors
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Dividend Distributions
Annual
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Valuation
Monthly NAV calculation as of the last business day of the month.
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Repurchases
No more than 5% of the fund NAV per quarter via tender offer, subject to the discretion of the fund's board of directors.
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Management Fee
1.00%
(note: HC Clients will not pay advisory fees on this account).
No Incentive Fee.
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Subscriptions
Monthly
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Tax Reporting
Form 1099-DIV
Interested in investing with Dynamic Alternatives?

