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.