Closed End Funds/Mutual Fund
Blackstone Alternative Multi-Manager Fund: BXMMX
(as of  – )
Monthly Net Asset Value per share
Total Net Assets
$1,014.50 (as of 12/15/2012)
Source: Citi Fund Services Ohio, Inc.
$127,220,000 (as of 11/01/2012)
Source: Citi Fund Services Ohio, Inc.


The Fund’s investment objective is to seek to earn long-term risk-adjusted returns that are attractive as compared to those of traditional public equity and fixed income markets. The Fund intends to pursue its investment objective through investments in hedge funds that employ primarily equity investment strategies. For purchase by accredited investors only.

Team Bios

Name Designation Location
Daniel H. Smith Investment Committee Member New York
Lee M. Shaiman Investment Comittee Member and Portfolio Manager New York
Robert Zable Investment Committee Member and Assistant Portfolio Manager New York
James M. Didden, Jr. Investment Committee Member New York
Brad Marshall Investment Committee Member New York
Daniel T. McMullen Investment Committee Member New York
Daniel T. McMullen Investment Committee Member New York


All investors should consider the investment objectives, risks, charges and expenses of the Fund carefully before investing. The prospectus and, if available, a summary prospectus, contain this and other information about the Fund. All investors are urged to carefully read the prospectus and, if available, the summary prospectus, in its entirety before investing.

Please note that Blackstone Alternative Multi-Manager Fund is not currently available for investment by individual investors.

This page is not an offer to sell the Fund’s securities and is not soliciting an offer to buy the Fund’s securities in any state where the offer or sale is not permitted. An investment in the Fund should be considered a speculative investment that entails substantial risks; you may lose part or all of your investment or your investment may not perform as well as other similar investments. The Fund’s investments involve significant risks including, but not limited to, loss of all or a significant portion of the investment due to leveraging, short-selling, derivatives or other speculative practices. Other risks include, but are not limited to: allocation risk, conflicts of interest risk, counterparty credit risk, foreign investments risk, high portfolio turnover risk, liquidity risk, model and technology risk, multi-manager risk and volatility risk. See “Principal Investment Risks” of the prospectus for a detailed discussion of these and other risks applicable to the Fund.

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