We believe disciplined active management, combined with transparent communication and direct alignment, delivers better long-term outcomes for our clients...and for us, since we invest right alongside them.
The JAG Large Cap Growth strategy seeks to identify and invest in a focused but diversified portfolio of large capitalization US companies. The portfolio typically consists of 30-40 securities that exhibit superior growth characteristics, strong fundamentals, and compelling price appreciation potential.
3/31/1990
30-40
Number of Holdings
Russell 1000 Growth
Primary Benchmark
Norm Conley
Lead Portfolio Manager Since 1999
| Maximum Position Size | 15% of portfolio |
| Maximum Sector Exposure | 250% of benchmark or 25% of portfolio, whichever is greater |
| Maximum Industry Exposure | 30% of portfolio |
| Maximum ADR Exposure | 15% of portfolio |
| Expected Tracking Error | 4-8% versus Russell 1000 Growth benchmark |
| Number of Holdings | 30 to 40 |
| Initial Position Sizes | 1.5% to 3% |
| Active Position Sizes | 0% to 5% |
| Cash Exposure | 0% to 2% of portfolio |
| Tracking Error | 4-8% versus Russell 1000 Growth benchmark |
| Annual Turnover | 50% to 100% |