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Hedge Fund

Ironwood Multi-Strategy Fund

Ironwood Capital Management

Net Assets

$3.1B

NAV Growth YoY

+16%

Most Recent Return

−4.40%

Formation

2012

Portfolio Composition

Investment Type

Market Neutral and Hedged Equity
30.64%
Relative Value
46.96%
Event Driven
12.42%
Distressed and Credit Securities
7.08%
Money Market Funds
2.05%
Other assets, less liabilities
0.85%

Portfolio composition data sourced from regulatory filings.

Sekond Liquidity Risk Profile

Real-time liquidity intelligence powered by regulatory filings and proprietary analysis.

Current Repurchase Window
StatusOPEN
Cap5.0%
Redemption Waterfall
StatusOPEN
Cap5.0%
Third Party Offers
StatusOPEN
Cap5.0%
Liquidity Runway — Stressed Scenarios
StatusOPEN
Cap5.0%
Liquidity Composition
StatusOPEN
Cap5.0%
Redemption Context
StatusOPEN
Cap5.0%

Summary Metrics

Liquidity RiskB+
Runway

5Q

Fill Rate

92%

Fee Impact

1.45%

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About This Fund

The Ironwood Multi-Strategy Fund is a registered closed-end investment company managed by Ironwood Capital Management. It invests through underlying hedge funds pursuing relative value, market neutral, event driven, and distressed credit strategies. The fund emphasizes low volatility portfolios with limited correlation to broader market indices. Investments span multiple strategies and geographies, with diversification across underlying managers. The fund offers semi-annual repurchase opportunities and targets capital appreciation with limited return variability.

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