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Our Approach

Build stronger alternative portfolios with J.P. Morgan

Our broad spectrum of alternative investment solutions has been specifically designed to help investors achieve real returns and add diversification to portfolios, with strategies spanning real assets, private equity & credit, liquid alternatives, and hedge funds.

Outcome-focused alternative investment strategies

Read more about our Alternatives platform.



  • Founded in 1992, Highbridge is a global alternative investment management organization with over $31 billion in AUM1
  • Manages fundamental and quantitative strategies across multi-strategy and single-strategy hedge funds, public and private credit, and daily liquidity vehicles
  • History of developing innovative and sophisticated investment strategies

1As of December 21, 2013, inclusive of Gávea. While Highbridge has certain governance and information rights regarding the operations of Gávea, as well as provides certain back office services for Gávea, Highbridge does not have investment discretion over the assets managed by Gávea.

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By definition, infrastructure assets are essential to the economic health and productivity of communities. We believe that they are also an essential component of a diversified investment portfolio. Investments in infrastructure typically exhibit low volatility and low correlation to the traditional asset classes of equity and fixed income. They also provide essential yield to investors and pure play access to developing economies.

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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.

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  • 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

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More than 90% of global trade occurs on ships. With historic levels of distress in the maritime industry, savvy investors are seeing attractive opportunities in the three main sections of bulkers, tankers containers, as well as other areas like the-offshore and car carrier segment.

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Investment Strategies

Private Equity Group

  • Active investors in the private equity market since 1980, with an average tenure of 27 years for our founding members, and 18 years for senior portfolio managers*
  • Proven investment strategy with flexibility to capture market opportunities and a willingness to over-or-under-weight sectors and strategies
  • Investor-centered program with superior client servicing, managed in accordance with the highest fiduciary standards
*As of December 31, 2016. The managers seek to achieve the stated objectives. There can be no guarantee the objectives will be met.

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Real Estate

Unlike most traditional investments, real estate assets are tangible. They are office buildings, shopping malls, warehouses, multifamily projects and other property types. As tangible assets, they require highly specialized skill sets, broad platform capabilities, dedicated professionals and sheer manpower for maximizing return on investment.

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Real estate securities (REITs) provide public real estate investment strategies to institutional and individual investment clients.

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J.P. Morgan