Athena Select Managed Equity

Date Updated: 04/30/2012


Summary

Portfolio Description
Athena selects between 25 - 35 US and international stocks in combination with Athena’s proprietary Global Market Barometer to make tactical adjustments in order to target long-term capital appreciation.

> View Complete Investment Process

Portfolio Performance
Portfolio Benchmark is 40% S&P 500 | 40% R2000 | 20% EAFE

Portfolio = $57,876 Benchmark = $17,236

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Key Points
  • Aggressive Growth
  • Tactical Management
  • Valuation & Best Ideas
  • Strategy Diverse

Target Allocation

Portfolio Details
Inception 10/01/2011
Min Invest $250,000
Turnover 150%
Positions 33
Cur Yield 4.60%

Performance

Hypothetical Growth of $10,000 Over Ten Years1
Portfolio Benchmark is 40% S&P 500 | 40% R2000 | 20% EAFE

Portfolio = $57,876 Benchmark = $17,236

Annual Portfolio vs. Benchmark Returns
Portfolio Benchmark is 40% S&P 500 | 40% R2000 | 20% EAFE

IMPORTANT PERFORMANCE NOTES
  1. Based on pre-inception data prior to Oct 01, 2011. After that, actual performance is reported. Actual results include Athena's maximum annual Management Fee of 1.0%, all custodial costs and fund fees, if applicable.
  2. 2012 return is Jan - Apr and is not annualized.
  3. 2002 return is May - Dec and is not annualized.
View complete disclosures by clicking on the link below.
Key Metrics
Statistic Port Bmrk
Std Dev 20.3 17.7
Beta 1.1
R-Sqrd 0.9
Upside 1.2
Downside 1.0

Portfolio Returns
Period Port Bmrk
1 Month -0.1% -1.3%
YTD 9.6% 10.8%
1 Year -6.1% -2.5%
3 Year 23.6% 18.4%
5 Year 4.6% 0.2%
10 Year 19.2% 5.6%

Annual Returns
Year Port Bmrk
20122 9.6% 10.8%
2011 -6.5% -3.3%
2010 29.1% 18.3%
2009 39.9% 28.0%
2008 -31.3% -36.9%
2007 9.9% 3.8%
2006 27.5% 19.0%
2005 8.1% 6.6%
2004 37.9% 15.8%
2003 71.5% 38.0%
20023 26.9% -19.9%

Investment Process

Investment Process

The portfolio investment process is composed of four distinct strategies: Athena Pure Valuation | Profitability, Athena Dividend Income Equity, Athena International Equity and Athena Global Tactical ETFs. The Pure Valuation | Profitability stocks are selected on the basis of dividend-paying companies whose balance sheets show a low or even negative net worth. An effort is made to sector diversify in order to decrease the risk that a particular market segment negatively impacts portfolio performance. The International and Dividend Income stocks are selected based on Athena’s Stock Diamond Rating System in combination with other investment criteria. Dividend Income stocks are screened for the highest available dividend-paying companies within the high Diamond Rating category. The portfolio manager invests in stocks across sectors and will not invest any more than 35% in any one sector. The Global Tactical portion of the portfolio invests in ETFs which may expose this portion of the portfolio up to double-long certain global market segments or cash depending on the reading of the Athena Global Market Barometer. In normal market conditions, a market-long ETF is used.


The Athena Investment Philosophy

Athena believes that the most important factors of successful active management are STRATEGY, CONSISTENCY, AND CONVICTION.

STRATEGY

Investment Strategy is the way in which portfolio managers go about analyzing, buying, and selling stocks. A narrowly defined and succinctly communicated investment strategy is the cornerstone of a successful active manager.

CONSISTENCY

Athena then measures how consistently the manager pursues the stated investment strategy. The best managers exhibit a high degree of consistency in pursuing the stated strategy.

CONVICTION

It is not enough to merely be consistent, managers must focus on their best ideas. Those who consistently pursue their stated investment strategy and take high conviction positions outperform over the long run.

Athena uses these predictive measures to manage both fund and stock portfolios which are built to outperform.

Portfolio Manager
C. Thomas Howard, PhD
C. Thomas Howard, PhD
Portfolio Manager Since 2011
View Full Bio

Purchasing Information

Product Availability

Advisors have the option of opening Athena Portfolios as Separately Managed Accounts on a variety of the largest institutional advisory platforms.


Invest Now

Contact Athena by phone or email to get more information about our investments or how to hire Athena as a third party money manager for your firm.

Management Fees
First $1.0 Mil 1.0% / Year
Over $1.0 Mil Negotiable
NOTE: This pricing is available to investors working through financial advisors only. Athena does not take direct clients and this pricing is not available to direct clients.


View Important Portfolio Disclosures