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Address And Details

60 State Street , Boston, MA 02109
Fund Manager Team Managed
Manager Tenure

Strategy And Objective

Long-term capital growth. Normally, the fund invests at least 80% of its net assets (plus the amount of borrowings, if any, for investment purposes) in equity securities of large companies, that is, companies similar in size to issuers included in the Russell 1000 Growth Index. The Russell 1000 Growth Index (the index ) is a large capitalization index that measures the performance of those companies in the Russell 1000 Index with higher price-to-book ratios and higher forecasted growth values. On June 30, 2020, securities in the index had a market capitalization range from approximately $655.1 million to approximately $1.6 trillion. On June 30, 2020, the index had a median market capitalization of approximately $13.5 billion. The size of the companies in the index changes constantly as a result of market conditions and the composition of the index. The fund's investments will not be confined to securities issued by companies included in the index. For purposes of the fund's investment policies, equity securities include common stocks and other equity instruments, such as funds that invest primarily in equity securities, depositary receipts, warrants, rights, equity interests in real estate investment trusts (REITs) and preferred stocks. The fund primarily invests in securities of U.S. issuers. The fund may invest in securities of issuers in any industry or market sector. The fund may invest in fewer than 40 securities. The fund may invest in initial public offerings of equity securities. The fund may invest up to 20% of its total assets in securities onion-U.S. issuers. The fund will not invest more than 10% of its total assets in the securities of emerging markets issuers. The fund may also invest in investment grade and below investment grade debt securities (known as junk bonds ), including below investment grade convertible debt securities and securities of issuers that are in default. The fund may, but is not required to, use derivatives. The fund may use derivatives, such as stock index futures and options, for a variety of purposes, including: in an attempt to hedge against adverse changes in the market price of securities, interest rates or currency exchange rates; as a substitute for purchasing or selling securities; to attempt to increase the fund's return as a non-hedging strategy that may be considered speculative; to manage portfolio characteristics; and as a cash flow management technique. The fund may choose not to make use of derivatives for a variety of reasons, and any use may be limited by applicable law and regulations. The fund may also hold cash or other short-term investments. The fund's investment adviser uses a growth style of management and seeks to invest in securities of issuers with above average potential for earnings and revenue growth. To select growth stocks, the adviser employs quantitative analysis, fundamental research, and an evaluation of the issuer based on its financial statements and operations, utilizing a bottom-up analytic style. Among other things, the adviser focuses on an issuer's deployment of capital and return on capital. The adviser relies on the knowledge, experience and judgment of its staff and the staff of its affiliates who have access to a wide variety of research. The adviser focuses on the quality and price of individual issuers, not on economic sector or market-timing strategies. The adviser generally sells a portfolio security when it believes that the issuer no longer offers the potential for above average earnings and revenue growth or when the adviser no longer views the issuers deployment of capital or return on capital as favorable. The adviser makes that determination based upon the same criteria it uses to select portfolio securities.

Net Asset Value

as of 5:03 PM ET 01/25/2022

Performance

  • 1 Week
  • -4.91%
  • 1 Month
  • -9.49%
  • 3 Months
  • -22.27%
  • 1 Yr Return
  • -8.98%
  • 5 Yr Return
  • +45.69%

Equity Sector Breakdown

Technology 43.09%
RetailTrade 19.18%
Finance 8.25%
Health 8.21%
IndustrialCyclical 5.89%
Services 5.53%
ConsumerDurables 4.38%
NonDurables 2.72%
Energy n/a
Utilities n/a

Asset Allocation

Asset Type % Of Allocation
Stocks 99.80%
ForeignStocks 2.34%
Cash 0.00%
Bonds 0.00%
Preferred 0.00%
Convertible 0.00%
Other 0.00%
ForeignBonds 0.00%
ForeignHedged 0.00%
Total Net Assets 4.20 B

Risk Measures

Criteria 3 Years 5 Years 10 Years
Alpha 2.81 3.03 1.51
Beta 0.96 0.95 0.96
R Squared 0.95 0.95 0.94
Std Deviation 17.13 15.00 12.96
Sharpe Ratio 1.70 1.40 n/a

Purchase Information

as of 5:07 PM ET 01/24/2022
Minimum Initial $5000000
Minimum Additional $0
Minimum Initial IRA $0

Performance

Timeframe Average Annual Current Performance Monthly As Of 12/31/2021 Average Annual Current Performance Quarterly As Of 12/31/2021 Avg Annual Current Performance Monthly As Of 12/31/2021 Avg Annual Current Performance Quarterly As Of 12/31/2021
1 Year
  • +23.74%
  • +23.74%
+23.74% +23.74%
3 Year
  • +28.38%
  • +28.38%
+28.38% +28.38%
10 Year
  • +17.52%
  • +17.52%
+17.52% +17.52%
Life Of Fund
  • +17.62%
  • +17.62%
+17.62% +17.62%

Top 10 Holdings

Symbol Company Name % Of Assets
MSFT MICROSOFT CORP 7.69%
GOOGL ALPHABET INC CLASS A 7.62%
AMZN AMAZON COM INC 7.20%
MA MASTERCARD INC 4.84%
AAPL APPLE INC 3.57%
QCOM QUALCOMM INC 3.54%
SCHW CHARLES SCHWAB CORP 3.49%
BKNG BOOKING HOLDINGS INC 3.20%
TMO THERMO FISHER SCIENTIFIC INC 3.19%
PYPL PAYPAL HOLDINGS INC 3.19%

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