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The team employs a disciplined, bottom-up approach to core investing. They use a multifactor model to screen companies and select stocks. By using both quantitative and qualitative analysis, the team is able to
help identify undervalued stocks with strong earnings momentum potential, earnings estimate revisions and relative strength.

- A Broadly Diverse Universe comprising the 1,500 largest publicly traded companies, including all stocks listed in the S&P 500 and Russell 1000 Indexes.
- A Refined Quantitative Process that ranks stocks using a proprietary, multifactor value – the Affinity Score – refined and proven for nearly two decades.
- Systematic Stock Selection: Fundamental Overlay employed to evaluate the fundamental characteristics of the “Best of Breed” candidates, and to focus on the most attractive opportunities.
- Comprehensive Risk Analysis designed to closely match the risk profile of the S&P 500 across a wide range of important characteristics.
- Disciplined Portfolio Construction integrates the results of systematic stock selection and comprehensive risk analysis
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