
Recommended Liquid Alternatives
Institutional-Quality Strategies. Everyday Accessibility.
Explore the list below to find strategies that fit your goals, then reach out when you’re ready to learn more.
Alternative Blends
The next generation of balanced portfolios
| Symbol | Name | Type | Price | AUM | 12 Mo Perf | |
|---|---|---|---|---|---|---|
| BLNDX | Standpoint Multi-Asset Fund | Mutual Fund | $16.91 | 849.26M | 29.85% | Details → |
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Price
$16.91 USD
AUM
849.26M
12 Mo Perf
29.85%
Vehicle
Mutual Fund
Global diversification with systematic trend-following across equities, bonds, and commodities. Standpoint blends traditional beta with a managed futures overlay, aiming to capture crisis alpha without sacrificing long-term compounding.
Why this Fund?
One of the earliest “return stacked” concepts — traditional market exposure plus systematic trend following in a single fund.
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| QAITX | Q3 All-Season Tactical Fund | Mutual Fund | $12.23 | 13.05M | 18.8% | Details → |
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Price
$12.23 USD
AUM
13.05M
12 Mo Perf
18.8%
Vehicle
Mutual Fund
Tactical all-weather approach using Treasury & equity futures with dynamic allocation shifts based on regime detection. Rotates between risk-on and risk-off positioning as macro conditions evolve.
Why this Fund?
Actively managed tactical sleeve that adjusts exposure based on market regime — more defensive than static blends during sustained drawdowns.
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| RDMIX | Return Stacked Balanced & Systematic Macro | Mutual Fund | $24.00 | 41.09M | 25.67% | Details → |
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Price
$24.00 USD
AUM
41.09M
12 Mo Perf
25.67%
Vehicle
Mutual Fund
200% notional exposure: 100% balanced portfolio + 100% systematic macro overlay. Uses capital-efficient futures implementation to deliver two complete strategies in the space of one dollar invested.
Why this Fund?
The flagship return stacking implementation — modest leverage to combine a full balanced portfolio with a full systematic macro program.
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| RSST | Return Stacked US Stocks & Managed Futures ETF | ETF | $32.77 | 465.39M | 47.54% | Details → |
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Price
$32.77 USD
AUM
465.39M
12 Mo Perf
47.54%
Vehicle
ETF
100% S&P 500 beta plus 100% managed futures trend exposure, implemented through futures for capital efficiency. Investors get full equity market exposure stacked with managed futures — no compromise on either.
Why this Fund?
The largest fund in this category — gives equity investors managed futures diversification without selling a single share of stock exposure.
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Equity Replacement
Smarter ways to stay in the market
| Symbol | Name | Type | Price | AUM | 12 Mo Perf | |
|---|---|---|---|---|---|---|
| HMXIX | AlphaCentric Premium Opportunity Fund | Mutual Fund | $31.83 | 34.4M | 21.86% | Details → |
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Price
$31.83 USD
AUM
34.4M
12 Mo Perf
21.86%
Vehicle
Mutual Fund
Complex options & futures strategies on S&P 500 and VIX for premium collection. Employs multiple simultaneous options structures to generate income while managing Greek exposures across the volatility surface.
Why this Fund?
Multi-faceted options strategy — more sophisticated than simple covered call or put-write approaches.
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| HDCTX | Rational Equity Armor Fund | Mutual Fund | $11.83 | 59.48M | 19.5% | Details → |
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Price
$11.83 USD
AUM
59.48M
12 Mo Perf
19.5%
Vehicle
Mutual Fund
S&P 500 dividend stocks combined with a protective options overlay. Selects high-quality dividend payers, then systematically purchases put protection to define downside risk.
Why this Fund?
Dividend capture combined with downside hedging — intuitive for income-oriented clients who also need principal protection.
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| AFQSX | Alpha Fiduciary Quantitative Strategy Fund | Mutual Fund | $10.70 | 23.66M | 21.59% | Details → |
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Price
$10.70 USD
AUM
23.66M
12 Mo Perf
21.59%
Vehicle
Mutual Fund
Systematic trend-following applied to S&P 500 exposure with risk-off triggers. Fully invested in favorable regimes, substantially hedged or in cash during adverse ones.
Why this Fund?
Quantitative signals dynamically manage equity exposure — binary risk-on / risk-off approach based on trend models.
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| RSSY | Return Stacked US Stocks & Futures Yield ETF | ETF | $25.30 | 105.33M | 42.59% | Details → |
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Price
$25.30 USD
AUM
105.33M
12 Mo Perf
42.59%
Vehicle
ETF
Full equity exposure stacked with futures-based yield enhancement. Maintains 100% equity beta while adding a carry/yield overlay from futures roll and basis trades.
Why this Fund?
Return stacking applied to the income problem — full equity participation plus additional yield without sacrifice.
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| CLPAX | Catalyst Nasdaq-100 Hedged Equity Fund | Mutual Fund | $15.64 | 14.29M | 26.92% | Details → |
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Price
$15.64 USD
AUM
14.29M
12 Mo Perf
26.92%
Vehicle
Mutual Fund
Nasdaq-100 exposure with systematic hedging to reduce drawdowns. For clients who want tech-heavy growth but need guardrails during sharp corrections.
Why this Fund?
One of the few hedged products targeting Nasdaq-100 — tech participation with defined risk parameters.
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| QASOX | Q3 All-Season Systematic Opportunities Fund | Mutual Fund | $10.91 | 354.92M | 20.5% | Details → |
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Price
$10.91 USD
AUM
354.92M
12 Mo Perf
20.5%
Vehicle
Mutual Fund
Index futures paired with fixed income instruments for total return. Uses equity index futures for market exposure and Treasury instruments for carry and collateral yield.
Why this Fund?
Systematic equity index + fixed income futures — capital-efficient implementation of equity-like returns.
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Bond Replacement
Income and stability without duration risk
| Symbol | Name | Type | Price | AUM | 12 Mo Perf | |
|---|---|---|---|---|---|---|
| CWXIX | Catalyst/Warrington Strategic Program Fund | Mutual Fund | $9.77 | 33.01M | 6.96% | Details → |
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Price
$9.77 USD
AUM
33.01M
12 Mo Perf
6.96%
Vehicle
Mutual Fund
Sophisticated options spread strategies on S&P 500 futures for consistent premium. Constructs multi-leg spreads designed to generate regular income with defined risk on each position.
Why this Fund?
Multi-layered options spread program — one of the more complex premium collection strategies with position-level risk controls.
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| HRSTX | Rational Tactical Return Fund | Mutual Fund | $16.71 | 22.83M | 7.63% | Details → |
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Price
$16.71 USD
AUM
22.83M
12 Mo Perf
7.63%
Vehicle
Mutual Fund
Premium collection + volatility trading + systematic trend overlay. Blends multiple income-generating strategies to reduce dependence on any single source of return.
Why this Fund?
Diversification across multiple premium sources reduces the risk of a single strategy blow-up.
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| RSBY | Return Stacked Bonds & Futures Yield ETF | ETF | $18.23 | 69.62M | 17.17% | Details → |
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Price
$18.23 USD
AUM
69.62M
12 Mo Perf
17.17%
Vehicle
ETF
Traditional bond exposure stacked with a futures-based yield strategy. Maintains full investment-grade bond duration while adding a yield enhancement overlay on top.
Why this Fund?
Return stacking applied to fixed income — keep your bond exposure and add yield, rather than choosing between duration and income.
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Standalone Diversifiers
Crypto | Trend Following | Volatility
| Symbol | Name | Type | Price | AUM | 12 Mo Perf | |
|---|---|---|---|---|---|---|
| BITX | Catalyst/Warrington Strategic Program Fund | ETF | $13.14 | 1.03B | -74.13% | Details → |
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Price
$13.14 USD
AUM
1.03B
12 Mo Perf
-74.13%
Vehicle
ETF
2x daily leveraged Bitcoin exposure via regulated futures contracts. Amplified Bitcoin access without requiring clients to hold crypto directly.
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| BTGD | STKD Bitcoin & Gold ETF | ETF | $23.73 | 55.23M | -34.29% | Details → |
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Price
$23.73 USD
AUM
55.23M
12 Mo Perf
-34.29%
Vehicle
ETF
Multi-strategy trend following with a fixed income base for carry. Systematic models trade across global markets with multiple timeframes.
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| ETHU | 2x Ether ETF | ETF | $14.98 | 790.65M | -76.57% | Details → |
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Price
$14.98 USD
AUM
790.65M
12 Mo Perf
-76.57%
Vehicle
ETF
2x daily leveraged Ethereum exposure via regulated futures. For advisors who see Ethereum’s smart contract ecosystem as a distinct thesis from Bitcoin.
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| EQCHX | AXS Chesapeake Strategy Fund | Mutual Fund | $9.74 | 13.77M | 19.95% | Details → |
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Price
$9.74 USD
AUM
13.77M
12 Mo Perf
19.95%
Vehicle
Mutual Fund
Multi-strategy trend following with a fixed income base for carry. Systematic models trade across global markets with multiple timeframes.
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| MFUT | Cambria Chesapeake Pure Trend ETF | ETF | $19.17 | 38.07M | 31.16% | Details → |
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Price
$19.17 USD
AUM
38.07M
12 Mo Perf
31.16%
Vehicle
ETF
Concentrated trend-following across global equity, bond, commodity, and currency markets. A purer expression of the trend premium than blended products.
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| TFPN | Blueprint Chesapeake Multi-Asset Trend ETF | ETF | $32.35 | 159.6M | 43.08% | Details → |
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Price
$32.35 USD
AUM
159.6M
12 Mo Perf
43.08%
Vehicle
ETF
Broad-based systematic trend capture across multiple asset classes and timeframes. The widest net across markets and holding periods in the lineup.
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| SVIX | -1x Short VIX Futures ETF | ETF | $23.64 | 175.39M | 60.93% | Details → |
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Price
$23.64 USD
AUM
175.39M
12 Mo Perf
60.93%
Vehicle
ETF
Short exposure to VIX futures — profits when volatility declines or stays low. Harvests the vol risk premium but carries significant tail risk during spikes.
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| UVIX | 2x Long VIX Futures ETF | ETF | $3.25 | 411.41M | -87.51% | Details → |
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Price
$3.25 USD
AUM
411.41M
12 Mo Perf
-87.51%
Vehicle
ETF
2x leveraged long VIX futures — profits from volatility spikes. A tactical hedging tool, not a buy-and-hold position.
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Disclaimer Info
Prices, AUM figures, and expense ratios shown are approximate and for illustrative purposes only. They may not reflect real-time or current values. Always verify data on each fund’s official page before making any investment decisions. Past performance does not guarantee future results. Alternative investments involve risks including potential loss of principal, limited liquidity, and complex fee structures.
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