AQR Long-Short Equity Fund Class I
                        QLEIX
                    
                    
                            NASDAQ
                    
                Rating
						Reward
							Risk
							Fund Information
						Fund Type
							
						Category
							
						Sub-Category
							
						Prospectus Objective
							
						Inception Date
							
						Open/Closed to New Investors
							
						Minimum Initial Investment
							
						Minimum Subsequent Investment
							
						Front End Fee
							
						Back End Fee
							
						Asset Allocation
						Cash
							
						Stock
							
						U.S. Stock
							
						Non U.S. Stock
							
						Bond
							
						U.S. Bond
							
						Non-U.S. Bond
							
						Preferred
							
						Convertible
							
						Other
							
						Services Offered
						Top Holdings
							There are no holdings to display.
					Similar Funds
							
					Performance
						Beta
							
						7-Day Total Return
							
						30-Day Total Return
							
						60-Day Total Return
							
						90-Day Total Return
							
						Year to Date Total Return
							
						1-Year Total Return
							
						2-Year Total Return
							
						3-Year Total Return
							
						5-Year Total Return
							
						Last Bull Market Total Return
							
						Last Bear Market Total Return
							
						Forward Dividend Yield
							
						Price
						1-Month Low
							
								--
							
						1-Month High
							
								--
							
						52-Week Low
							
								-- - --
							
						52-Week High
							-- - --
						NAV
						1-Month Low
							
						1-Month High
							
						52-Week Low
							
						52-Week High
							
						Company Information
						Provider
							AQR Funds
						Manager/Tenure 
(Years)
							(Years)
Andrea Frazzini (12), Michele L. Aghassi (9), Clifford S. Asness (3), 2 others
						Website
							
						Address
							
								AQR Funds 
Greenwich CT - 06830
						Greenwich CT - 06830
Country
							  United States
						Phone Number
							 203-742-3600
						Investment Strategy
						 The investment seeks capital appreciation. Under normal market conditions, the fund pursues its investment objective by investing at least 80% of its net assets (including borrowings for investment purposes) in equity instruments and equity related and/or derivative instruments. Equity related and/or derivative instruments are investments that provide exposure to the performance of equity instruments, including equity swaps (both single-name and index swaps), equity index futures and exchange-traded funds and similar pooled investment vehicles (collectively, "Equity Derivative Instruments" and together with Equity Instruments, "Instruments").