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Advisor Linx Private Strategies Fund

Fund Summary

Advisor Linx Private Strategies Fund gives investors and advisors a single point of entry into institutional-quality private markets — Private Equity, Private Credit, Real Estate, Infrastructure, and Hedge Funds — in one diversified, actively managed portfolio. Structured as a perpetually offered closed-end tender fund, it pairs the return potential of less-liquid, less-correlated private strategies with investor-friendly mechanics: monthly NAV, 1099 tax reporting, and semi-annual liquidity, subject to limitations. The Fund's objective is long-term capital appreciation through positive absolute returns across market cycles.

Fund Structure & Terms

Fund Structure '33 & 40 Act — Closed-End Tender Fund
Eligibility All Investors
Minimum $25,000
Subscriptions Monthly
Redemptions Semi-Annual
Distributions Semi-Annual
Tax Reporting 1099
Inception Date 9/30/26 (projected)
Management Fee 1.00%
Administrator UMB
Custodian UMB
Auditor Grant Thornton
Investment Manager A-Linx Advisors, LLC
Inclusive Assets Private Equity, Credit, Hedge Funds, Real Estate/Infrastructure

Documents

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Contact Us

To request fund materials or speak with the Advisor Linx team, use the form below or reach us at one of the corporate locations.

Contact the Team

IMPORTANT INFORMATION

For preliminary and internal use only. A-Linx Advisors is a future Member FINRA/SIPC. Investment advice offered through A-Linx Advisors, a future Registered Investment Advisor.

Advisor Linx Private Strategies Fund has limited liquidity. Although the Fund has implemented a share repurchase program, only a limited number of shares will be eligible for repurchase by the Fund. An investment in the Fund should only be made by investors who can bear the risks associated with the limited liquidity of shares.

Before investing you should carefully consider the Fund's investment objectives, risks, charges and expenses. This and other information will be in the prospectus, when available.

Past performance is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. There is no guarantee the Fund will achieve its investment objective.

The Fund is a continuously offered closed-end tender fund. Holdings, allocations, and potential investments are subject to change. Reference to specific holdings or candidate funds should not be considered a recommendation.

This website is for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any securities.