Strategies/Equity Strategies
LARGE CAP CORE - Risk Management
A carefully constructed system of checks and balances helps to eliminate unnecessary risk in our Large Cap Core portfolios.
  • Weekly rebalancing to maintain sector and market neutrality
  • Weightings of securities within a sector are determined regularly by ranking holdings based upon our assessment of their risk/return potential
  • Strict sell discipline that utilizes forced displacement
  • Adherence to style
  • Low tracking error
  • Diversified portfolio of 50 stocks, with weightings of individual securities ranging from 1% to 5%
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