Vestor Capital's Alternatives Strategy utilizes mutual funds, ETFs and sub-advisors to provide long/short, absolute return, commodities, managed futures and opportunistic hybrid investment strategies. The objective of this strategy is to identify non-traditional investment strategies that have low or negative correlation to the price movements of the Standard & Poor's 500 Composite Index, yet are expected to provide long-term investment returns in excess of the Vestor Capital fixed income strategies. Depending on the strategy, performance is benchmarked against the U.S. Government Treasury Bill, Standard & Poor's 500 Index or respective strategy composites.