Fund Solutions

Our clients are sophisticated, accredited investors that seek elite investment options, including private equity and other funds that are not available through other sources. Our relationships with independent advisors open doors for access to those funds and other investment opportunities that mesh with our liquidity and financing services.

As with all of our services, Astor Asset Management extends a transparent and open approach to services that involve funds. We only collaborate with fund investment solution providers that concur with this approach. In this manner, our elite clients get exclusive, real-time access to investment information. This enables them to stay abreast of investment fund trends and to take advantage of new products that can add alpha to the strategic component of their investment portfolios.

For clients that are fund investors, we are able to craft financing and liquidity solutions that are founded on private credit, real estate, infrastructure, alternative and derivative funds, mutual funds, and exchange-traded funds (ETFs). Again, the transparent approach upon which our business is formed creates a liquidity advantage that few other financing sources can match.

Many of our select clients also benefit from the extensive research and in-depth analysis that can only be provided by an expert global network. That research and analysis gives our clients the ability to monitor and access all of their investment solutions across all asset classes and industries at any time of day.

Institutional Clients Choose Us:


Our firm commitment to transparency ensures that our clients are receiving advice from advisors that deliver conflict-free investment funds alternatives and advice across a wide range of asset classes and industries with clear data to support advice and recommendations. We reject any collaborations that present a risk of conflict. Our liquidity and financing services are most effective when a client has optimum access to investment fund information from a network of international investment management professionals.

Interconnected Access

Our financing services are made effective and efficient by our interconnectivity with wealth management with independent financial advisory firms in all major international markets, and by the open access that clients have to that globally interconnected network.

*In order to become a private client of Astor Asset Management LLC, we require a minimum investment of $50 million USD. New clients are accepted by referral only.

Astor Asset Management, LLC is an Illinois limited liability company. Its U.S. Employer Identification Number is 36-4471134 and its reporting file number is 028-13903. We are providing this and other information on a broad range of investment topics on this page for the benefit and edification of our actual and prospective clients. We operate strictly in accordance with the United States Securities Act of 1933 and the United States Securities and Exchange Act of 1934 (both, as amended), including all of the rules and regulations promulgated under both Acts. For full SEC registration and reporting details, including, without limitation, the company’s S-1, Prospectus, Current Reports, 8-K, 10-K, and Annual Reports, please refer to the EDGAR Company Search Results for Astor Asset Management, LLC at Astor Asset Management, LLC files reports under Central Index Key (CIK) #0001488446. All of the company’s reports reflect a fiscal year that ends on December 31. We do not offer all of the products and services referred to herein. We do not maintain licenses to provide specific financial products or services and we have elected not to pursue any licensing that would interfere with or unduly restrict our primary business of originating, funding, and administering private loans to investors that have the knowledge, experience, and resources to understand the benefits and risks of those loans. If and to the extent that we refer to or link to third parties that offer products or services that require licensing, you have the sole responsibility to verify the validity of those licenses and the third party’s authority to offer products and services thereunder.