William Blair Funds manages $14.0 billion (as of December 31, 2016) through 22 actively managed mutual funds. Our fund managers draw on the firm’s bottom-up investment philosophy and investment-centric culture to pursue sustainable, long-term performance in the following categories:
- Domestic equity – growth and value
- International and global equity – growth
- Fixed income
- Money market
- Global multi-asset strategies
To learn more about William Blair’s mutual funds, visit williamblairfunds.com.