Large Cap Core Equity

Objective

The StoneRidge Large Cap Core portfolio seeks to outperform large capitalization benchmarks (typically the S&P 500) and industry peers over a market cycle (3 – 5 year time horizon).

Philosophy

StoneRidge believes a blend of fundamental research, quantitative tools and qualitative decisions are required to consistently add value in large capitalization core equity management.

Process

The equity investment process employed by StoneRidge Investment Partners has consistently relied upon a team of sector specialists performing intensive fundamental research.  This bottom up, fundamental investment process is supported by a proprietary, multi-factor screening tool, the purpose of which is to narrow the scope of the investment universe.  This quantitative tool also provides an objective analysis of our existing portfolio.

We begin with our proprietary quantitative tool which screens and then ranks the investment universe of U.S. stocks that have a market capitalization greater than $10 billion or which are constituents of the S&P 500 Index.  The goal of our screening tool is to narrow opportunities to a focused list of stocks that possess the characteristics most likely to lead to superior investment performance.  Our screening tool is constructed around six broad factors which are critical to stock performance: valuation, earnings momentum, technical analysis, insider transactions, accounting/financial condition and value.  Stocks are ranked relative to the entire universe and those companies with the most attractive combination of attributes are then subjected to in-depth fundamental research by our sector specialists.

The most important part of our process is analysis of potential investments by our sector specialists. Team members balance rigorous fundamental research, technical analysis and qualitative judgment as the basis for bottom up stock selection.  We strive to maintain the most attractive portfolio by utilizing this dynamic stock selection process and by updating our proprietary screening tool every day. Our process enables us to keep pace with changes in the markets, monitor existing portfolio holdings and identify new investment opportunities.

Equity Investment Process

 

Information is as of 6/30/08

Large Cap Core Equity Portfolio Characteristics*
Portfolio
S&P 500 Index
Weighted Avg Market Cap ($mm)
89,112
89,517
Median P/E Ratio
14.53
16.30
Median P/B Ratio
2.39
2.62
Projected 3-5 year EPS Growth
13.04
12.95
Dividend Yield
2.04
2.25
# of holdings
84
500
Beta (3 year)
1.15
1.00
Sharpe Ratio (3 year)
0.16
0.03
Information Ratio (3 year)
0.51
*Definitions

The Portfolio Characteristics are shown as supplemental information only.

Top Ten Holdings

% of Portfolio
Exxon Mobil Corp
4.70
Chevron Corp
4.57
Hewlett Packard Com
3.51
Microsoft Corp Com
3.29
AT&T, Inc
2.43
Philip Morris International
2.39
Morgan Stanley
2.22
Goldman Sachs Group
2.15
Google Inc Cl A
2.04
Occidental Petroleum
1.89