William Blair Funds

Institutional-caliber investment management for mutual fund investors.

By drawing on the firm’s deep investment talent and research capabilities, William Blair Funds are designed to meet a variety of investment objectives, from current income to capital appreciation.

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William Blair Funds manages $16.8 billion in assets (as of June 30, 2021) through actively managed mutual funds across a wide range of strategies, including U.S. equity, global equity, emerging markets debt, fixed income, and global macro. To learn more about William Blair’s mutual funds, visit williamblairfunds.com.