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- Past performance is no guarantee of future results.
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More » - Month to Date returns and Since Inception returns are revised daily. All other returns (month, 3 month, year to date, et al) are calculated as of the most recent month end date.
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Long-term approach, focusing primarily on fundamentals and secondarily on market-timing. Looks for trigger points to narrow the universe of securities and then utilizes bottom up analysis to determine intrinsic value.
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| Inception date |
| Risk Score |
| Strategy |
| Asset class |
| Cap. bias |
| Long/Short |
| Current holdings | None |
| Avg. trades per month |
| Subscribers |
Performance and Risk
Performance Summary (as at end of )
| Inception | Manager* | S&P 500 | Avg. Sub. |
|---|---|---|---|
| Month to date (%) | |||
| 1 month (%) | |||
| 3 month (%) | |||
| 1 year (%) | |||
| Annualized since inception (%) | ? | ? | ? |
| Since inception (%) | n/a | ||
| Sharpe (since inception) | n/a |
* Includes trades that fail Covestor Trading Rules
Past performance is not indicative of future performance
Strategy
Summary
Uses a long-term approach, focusing primarily on fundamentals and secondarily on market-timing. Looks for trigger points to narrow universe of securities and then reads SEC filings to determine intrinsic value. Pays close attention to minimizing transaction costs and maximizing tax efficiency.
Asset Allocation
Top Holdings (excluding cash) (as at end of )
| Symbol | Security | Allocation(%) |
|---|---|---|
| Top holdings total (excluding cash) | 0.00% | |
| Cash | 100.00% | |
| Total number of holdings | None |





