Mutual Funds

Redwood Funds

Exchange Hours Website
9:30 - 15:59 ET www.redwoodmutualfunds.com


Native to Exchange Simulated by IB
 Basket
 Market *
Fund Symbol Investment
Type
Large
Notify
Initial Investment
Minimum 1
Load
Type
Share
Class
Transaction
Fee
REDWOOD MANAGED VOLATILITY FUND RWDIX Bond USD 1,000,000 USD 10,000 N/A I Yes
REDWOOD MANAGED VOLATILITY FUND RWDNX Bond USD 1,000,000 USD 10,000 N/A N.A. Yes
REDWOOD MANAGED VOLATILITY FUND RWDYX Bond USD 1,000,000 USD 20,000,000 N/A N.A. Yes
REDWOOD ACTIVIST LEADERS FUND RWLIX N/A USD 1,000,000 USD 10,000 N/A CLASS I Yes
REDWOOD ACTIVIST LEADERS FUND RWLNX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes
REDWOOD SYSTEMATIC MACRO TREND FUND RWSIX N/A USD 1,000,000 USD 10,000 N/A CLASS I Yes
REDWOOD SYSTEMATIC MACRO TREND FUND RWSNX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes
REDWOOD ALPHAFACTOR TACTICAL INTERNATIONAL FUND RWIIX N/A USD 1,000,000 USD 10,000 N/A CLASS I Yes
REDWOOD ALPHAFACTOR TACTICAL INTERNATIONAL FUND RWINX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes
REDWOOD ALPHAFACTOR CORE EQUITY FUND RWAIX N/A USD 2,000,000 USD 250,000 N/A CLASS I Yes
REDWOOD ALPHAFACTOR CORE EQUITY FUND RWANX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes
REDWOOD ALPHAFACTOR TACTICAL CORE FUND RWTIX N/A USD 2,000,000 USD 10,000 N/A CLASS I Yes
REDWOOD ALPHAFACTOR TACTICAL CORE FUND RWTNX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes
REDWOOD MANAGED MUNICIPAL INCOME FUND RWMIX N/A USD 2,000,000 USD 10,000 N/A CLASS I Yes
REDWOOD MANAGED MUNICIPAL INCOME FUND RWMNX N/A USD 1,000,000 USD 10,000 N/A CLASS N Yes

Notes:

  1. Advisor minimums may be lower.

Pursuant to Part 7.8A of the Corporations Act 2001, Interactive Brokers Australia Pty. Ltd. has prepared the following target market determinations relating to certain financial products for which it is deemed to be the issuer. Our Target Market Determinations are located here: Target Market Determinations.

Product Disclosure Statements are also available for each of these products. If applicable, you should carefully consider these Disclosures in deciding whether to acquire, or to continue to hold, the relevant financial product.