Experts in Alternatives
Founded in 2013, New Hyde Park Alternative Funds exists to serve investors of all sizes, large asset owners and individuals, with a superior investing experience in alternative investments.
Who We Are
Our managed account platforms are built to deliver the needs of every investor type. We instill confidence into our clients by going above and beyond to ensure each individual investor’s needs are met.
Investing in alternatives shouldn’t be a guessing game. We strive to make sure it’s not. Our comprehensive solutions are designed to make investing smarter and more efficient for those looking to add alternatives to their portfolio.
We’ve committed ourselves to providing the very best in proprietary tools and platforms, while working with top professionals in the industry to provide a one of a kind investing experience.
When you engage any of our platforms or services, you can be confident you’ve selected the right solution to suit your needs. And when you want a team that will go above and beyond to ensure the investing process is seamless, we’re the ones that will deliver.
Connect with a member of our team by sharing your information and inquiry.
330 S Naperville Rd, Suite 206, Wheaton, IL 60187
+1 (630) 566-4502
This website contains information about managed futures as well as other alternative investment products and has been designed to provide an overview of the various strategies available on the Platform. Users who access information on this site agree that they have experience with futures markets, and other alternative investment products and are knowledgeable about the risks associated with those products.
New Hyde Park Alternative Funds, LLC, is the sponsor of the Galaxy Plus Fund, LLC; Galaxy Plus Hedge Fund, LLC; and GP Digital Assets Trust. Through the associated Platforms, New Hyde Park Alternative Funds, LLC provides access to products available to investors who meet the suitability requirements.
An investment into any fund or product is speculative and involves a high degree of risk. The past performance results of any fund, product, or its trading advisor are not indicative of how they will perform in future.