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Welcome to Direxion

The Alternative Investment Mutual Fund Company

Direxion offers solutions for investors and investment professionals who seek improved risk-adjusted returns in various market conditions through a suite of non-correlating strategies.

How Modern is Your Portfolio Theory?

A thought provoking article on MPT's place in today's investment landscape.
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Why Alternatives?

Making the move beyond traditional equities and fixed income
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The Currency Trends Strategy Fund

Provides access to broad basket of Developed and Emerging market currencies within one investment
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Direxion Long/Short Global IPO Fund

Provides the ability for all types of investors to access U.S. and global Initial Public Offerings (IPOs). Go >

Direxion/Wilshire Dynamic Fund

Enhances a moderate asset allocation portfolio with the ability to position assets either aggressively or defensively based on closely monitored, ever-changing market conditions Go >

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An investor should consider the investment objectives, risks, charges, and expenses of the Direxion Funds carefully before investing. The prospectus and summary prospectus contain this and other information about Direxion Funds. To obtain a prospectus or summary prospectus, please contact the Direxion Funds at 800.851.0511. The prospectus or summary prospectus should be read carefully before investing.

Investing in index funds may be more volatile than investing in broadly diversified funds. The use of leverage by a mutual fund increases the risk to the fund. The more a fund invests in leveraged instruments the more the leverage will magnify gains or losses on those investments.

The risks associated with the funds are detailed in the prospectuses which include Adverse Market Conditions Risk, Adviser's Investment Strategy Risk, Aggressive Investment Techniques Risk, Commodities Risk, Concentration Risk, Counterparty Risk, Credit Risk, Currency Exchange Rate Risk, Debt Instrument Risk, Depositary Receipt Risk, Early Close/Trading Halt Risk, Emerging Markets Risk, Equity Securities Risk, Foreign Securities Risk, Gain Limitation Risk, Geographic Concentration Risk, Interest Rate Risk, Intra-Calendar Month Investment Risk, Inverse Correlation Risk, Leverage Risk, Lower-Quality Debt Securities, Market Risk, Market Timing Activity and High Portfolio Turnover, Monthly Correlation Risk, and Negative Implications of Monthly Goals in Volatile Market.

Date of First Use: October 3, 2006 Distributed by: Rafferty Capital Markets LLC