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Finding firmer ground in alternative investments.

First Trust Alternative Opportunities Fund

Sponsored by First Trust. Interval Fund structure focused on multi-strategy.

Interval FundMulti-strategy

Sponsor
First Trust
CIK
0001681717
Liquidity
Periodic repurchase offers at NAV
Inception
2017
Net assets
$3.24B
source

Shareholder report (Form N-CSR) · filed 2026-06-09 · period 2026-03-31

Consolidated Statement of Assets and Liabilities, Net Assets, as of March 31, 2026

“3,239,494,198”

Why this source
audited statement wins the same-date headline over N-PORT per rules.period_series (tna source divergence surfaced by sentinel)

Method Matched text template against the filing

Technical locator

Consolidated Statement of Assets and Liabilities, Net Assets, as of March 31, 2026 | accession 0001104659-26-071940 | audited statement wins the same-date headline over N-PORT per rules.period_series (tna source divergence surfaced by sentinel)

as of 2026-03-31
NAV / share
$26.95
source

Shareholder report (Form N-CSR) · filed 2026-06-09 · period 2026-03-31

financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.95”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1681717/000110465926071940/tm2614954d1_ncsr.htm | financial-highlights end-of-period NAV (fallback)

Canonical (canonical class) · 2026-03-31
Net flows, last qtr
+4.4%
qtr ended 2026-03-31
Distribution coverage (NII)
70%
period ended 2026-03-31
Leverage in use
4%
debt / equity 0.03x
Total return, 12m
Insufficient history
computed from NAV + distributions
01 / Signals

What changed in the latest filings.

Current findings ordered by severity. Each observation remains traceable to its filed source.

No current Urgent or Notify findings in filings reviewed through 2026-07-02.

Historical findings (8)

NAV per share fell 13.3% from $25.64 to $22.23 (2020-03-31).
NAV per share fell 13.3% from $25.64 to $22.23 (2020-03-31). (Rule B12: NAV per share drop, severe: >= 5% decline month over month; Urgent.)

NAV per share ($26.16) is 1.5% below its trailing four-observation average ($26.57) as of 2023-09-30.
NAV per share ($26.16) is 1.5% below its trailing four-observation average ($26.57) as of 2023-09-30. (Rule C23: Sustained NAV decline: NAV per share >= 2% below its trailing 4-observation average; Notify.)

NAV per share fell 2.0% from $26.50 to $25.97 (2023-03-31).
NAV per share fell 2.0% from $26.50 to $25.97 (2023-03-31). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

Proposal 1 put to shareholder vote: Approval Of Investment Sub-Advisory Agreement A. (2022-12-02)
Proposal 1 put to shareholder vote: Approval Of Investment Sub-Advisory Agreement A.

NAV per share fell 4.2% from $27.65 to $26.50 (2022-09-30).
NAV per share fell 4.2% from $27.65 to $26.50 (2022-09-30). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

Proposal 1 put to shareholder vote: Approval Of A New Investment Management Agreement With Vivaldi Asset Management, Llc I. (2021-08-17)
Proposal 1 put to shareholder vote: Approval Of A New Investment Management Agreement With Vivaldi Asset Management, Llc I.

Proposal 3 put to shareholder vote: Approval Of A New Investment Sub-Advisory Agreement With Angel Oak Capital Advisors, Llc I. (2021-08-17)
Proposal 3 put to shareholder vote: Approval Of A New Investment Sub-Advisory Agreement With Angel Oak Capital Advisors, Llc I.

NAV per share fell 2.4% from $25.37 to $24.77 (2018-03-31).
NAV per share fell 2.4% from $25.37 to $24.77 (2018-03-31). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

03 / Portfolio

What moved inside the book.

Filed portfolio-health facts and position changes. Missing disclosures stay visibly missing.

No structured portfolio-health series or position-change events have been captured for this fund.

04 / Redemptions

Where exit demand met the cap.

The disclosed history shows no rationed period.

No structured redemption history has been captured for this fund.

05 / Financing

How the balance sheet is funded.

Borrowings, unused capacity, and synthetic exposure are separated so unlike risks do not collapse into one ratio.

No structured financing components have been captured for this fund.

06 / Share classes

How the offering is divided.

A filed share-class breakdown and terms-based role descriptions. This is not an estimate of who owns the fund.

No filed share-class terms have been captured for this fund; ownership type is therefore not inferred.

Management fee: 0.95% of month end nav per year. source. Under the terms of the Investment Advisory Agreement, the Fund pays a monthly investment management fee to the Investment Manager equal to 0.95% on an annualized basis of the Fund's NAV as of each month-end (the 'Investment Management Fee'), subject to certain adjustments. The Fund uses a 'multi-manager' approach; RiverNorth and Palmer Square (sub-advisers) are each paid out of this same Investment Management Fee by the Investment Manager -- not an additional fund-level charge (Palmer Square's own rate: 0.50% of assets allocated to it).

07 / Sources

The evidence beneath the page.

Filed terms and recent documents remain available without crowding the primary research flow.

Term register (1)
TermDescriptionValueEffective
advisory_fee_scheduleUnder the terms of the Investment Advisory Agreement, the Fund pays a monthly investment management fee to the Investment Manager equal to 0.95% on an annualized basis of the Fund's NAV as of each month-end (the 'Investment Management Fee'), subject to certain adjustments. The Fund uses a 'multi-manager' approach; RiverNorth and Palmer Square (sub-advisers) are each paid out of this same Investment Management Fee by the Investment Manager -- not an additional fund-level charge (Palmer Square's own rate: 0.50% of assets allocated to it).0.95 pct_annual_of_month_end_navDate not captured
Recent filings
FiledFormAccession
2026-06-09N-CSR0001104659-26-071940
2026-06-01NPORT-P0001193125-26-251390
2026-05-29N-23C3A0001104659-26-068044
2026-03-02NPORT-P0000926877-26-000093
2026-02-27N-23C3A0001104659-26-021244
2025-12-05N-CSRS0001104659-25-118747
2025-12-01NPORT-P0001193125-25-303770
2025-12-01N-23C3A0001104659-25-117228
2025-08-29N-23C3A0001104659-25-085367
2025-08-28NPORT-P0001145549-25-055749
2025-06-09N-CSR0001104659-25-057890
2025-05-30N-23C3A0001104659-25-054670
2025-05-29NPORT-P0001145549-25-036552
2025-03-03NPORT-P0001145549-25-015676
2025-02-28N-23C3A0001104659-25-018935