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Our Approach

Add Value Through Specialized Managers

Our hedge fund platform (part of J.P. Morgan Asset Management’s robust Alternatives capabilities) is set apart by a collection of boutique, specialized managers with long-term track records including Highbridge Capital Management and J.P. Alternative Asset Management Hedge Fund Solutions. We also have the resources and experience to develop fully customized solutions across investment engines and asset classes. In addition, we are able to match client needs such as liquidity, risk tolerance, return and investment preference through flexible portfolio construction.

Focus on Customized Solutions

Our experience in hedge fund investing and global perspective provides us with unique insight into the markets and economy. We combine our views with clients’ investing goals to develop customized solutions. Click here for our best ideas.

Deliver Global Market Insights

J.P. Morgan Asset Management has a long history of working with clients to help them manage their growing alternative investment needs, from evaluating direct investments, fund-of-funds and multi-strategy products to developing customized solutions. With more than $112 billion in hedge fund, private equity and real assets under management (AUM), we are a global leader in alternative asset management1. Click here for more information on our global offices.

1As of December 31, 2013.



  • Founded in 1992, Highbridge is a global alternative investment management organization
  • Manages fundamental and quantitative strategies across multi-strategy and single-strategy hedge funds, public credit and daily liquidity vehicles
  • History of developing innovative and sophisticated investment strategies

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J.P. Morgan Alternative Asset Management Hedge Fund Solutions

  • Leading third-party hedge fund solutions provider, with approximately $13.1 billion in AUM and investments in approximately 100 funds1
  • Focused on developing customized solutions to help investors achieve their strategic investment objectives across the liquidity spectrum
  • Team has successfully managed multi-manager portfolios since 1995, generating strong risk-adjusted returns while avoiding industry headline risk and insider trading scandals

1Assets under management (“AUM”) include funded and committed (but not yet funded) capital. Committed capital is generally charged a management fee once funded. AUM presented will generally not match Securities and Exchange Commission “regulatory assets under management”. AUM figures are estimated and rounded. All information is as of 12/31/2016.

View J.P. Morgan Alternative Asset Management Hedge Fund Solutions


  • Credit relative-value trading fund, focused on inefficiencies and dislocations in the developed corporate credit markets
  • Launched in 2011, former unit of J.P. Morgan Investment Bank

View JPS

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J.P. Morgan