$1.2B
N/A
0.20%
2025
Portfolio Composition
Investment Type
Strategy
Portfolio composition data sourced from regulatory filings.
Sekond Liquidity Risk Profile
Real-time liquidity intelligence powered by regulatory filings and proprietary analysis.
Summary Metrics
5Q
92%
1.45%
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About This Fund
The Blue Owl Alternative Credit Fund is a '40 Act registered interval fund managed by Blue Owl. It employs a flexible mandate dynamically allocating across alternative credit assets and strategies, including asset-based finance investments. The fund invests primarily in private credit opportunities spanning consumer, commercial, and financial assets, with exposure through whole loans, securitizations, and structured products. The fund offers quarterly limited liquidity through repurchase offers and targets current income generation with long-term capital appreciation.
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