Strategy Description

Exposure to large and stable household names – high-quality companies that have proven, over time, to be able to preserve and grow their global earnings base.

Large & global companies with strong brand durability, recurring cash flow generation, low capital intensity, minimal financial leverage and low volatility characteristics.

This portfolio provides exposure to global end-client consumption via firms that are core suppliers and vendors to their clients and are integral to end-consumer daily lives. Companies range from luxury goods leaders to producers of healthare products, recognized retails, food and beverage giants, household staples and other consumer durable names.

Though a concentrated portfolio, the companies included are major global conglomerates, thus providing diversification via exposure to a variety of countries and industries.

Stocks are chosen via our systematic scoring process, which ranks on Value, Quality, Safety, Payout, Technical and Sentiment metrics, as well as ESG traits. Portfolio is rebalanced regularly to ensure expoure to the best-scoring names.

This strategy can also be accessed in a Global Exposure.

Portfolio Performance

20212022202320242025YTD
Portfolio (%)9.74-12.216.2913.657.39789.1716
Annualized ReturnStandard DeviationDividend Yield
Portfolio13.244492375236%14.71812759395%2.07%

Allocation Breakdown

Asset Class


Equity99.51%
Fixed Income0
Commodities0
Cash0.49%

Geo


North America89.72%
Greater Europe5.24%
Asia0
Central/Latin America0

Sector


Technology33.72%
Healthcare8.33%
Consumer Discretionary4.22%
Financials 12.63%
Communications15.92%
Industrials3.01%
Consumer Staples 5.49%
Real Estate
Materials
Utilities9.85%
Energy6.34%

Top Holdings

Asset ClassWeight (%)
1. Micron Technology Inc6.61%
2. Apple Inc4.89%
3. Taiwan Semiconductor Manufacturing Co Ltd4.68%
4. Cisco Systems Inc4.49%
5. Alphabet Inc4.42%
6. Amazon.com Inc4.35%
7. AbbVie Inc4.33%
8. Microsoft Corp4.18%
9. Bristol-Myers Squibb Co4.00%
10. Meta Platforms Inc3.45%

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