TD Epoch U.S. Value
Jump to a topic:
At a glance
The U.S. Value strategy pursues long term capital appreciation by investing in a portfolio of 40 to 60 large capitalization U.S. companies. As fundamental investors with a long-term orientation, we select companies based on their ability to generate free cash flow and allocate it intelligently for the benefit of shareholders. Our bottom-up security selection process is balanced with diversification and risk control measures that should result in below average portfolio volatility.
The U.S. Value Opportunity
-
Disciplined process combines the judgment and experience of fundamental investors with the rigor and objectivity of quantitative insights
-
Differentiated view on value investing that accounts for intangible assets
-
Broad exposure to industry groups with portfolio performance driven by individual stock selection
-
Invests in companies with strong free cash flow and intelligent capital allocation policies; offers low correlations with growth, value, and other accounting-based styles
-
Portfolio construction framework designed to minimize unintended risks, reduce volatility, and emphasize security selection risk as the primary source of risk.
-
Free cash flow approach expected to provide attractive balance of performance and downside protection.
Philosophy and approach
Availability
Additional Information
Composite Factsheet (link to factsheet)
For information on availability please contact us [link to central email]