Athena US Equity Funds

Date Updated: 04/30/2012


Summary

Portfolio Description
Athena selects up to 10 open-end mutual funds, allocated 100% to US Equity. We use our proprietary fund ratings in order to target long-term capital appreciation.

> View Complete Investment Process

Portfolio Performance
Portfolio Benchmark is S&P 500 Index

Portfolio = $15,874 Benchmark = $15,834

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Key Points
  • Long-Term Growth
  • Strategic Management
  • Best Managers
  • Strategy Diverse

Target Allocation

Portfolio Details
Inception 04/01/2011
Min Invest $50,000
Turnover 50%
Positions 10
Cur Yield 0.60%

Performance

Hypothetical Growth of $10,000 Over Ten Years1
Portfolio Benchmark is S&P 500 Index

Portfolio = $15,874 Benchmark = $15,834

Annual Portfolio vs. Benchmark Returns
Portfolio Benchmark is S&P 500 Index

IMPORTANT PERFORMANCE NOTES
  1. Based on pre-inception data prior to Apr 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 15.2 15.4
Beta 1.0
R-Sqrd 0.9
Upside 1.0
Downside 1.0

Portfolio Returns
Period Port Bmrk
1 Month -1.1% -0.6%
YTD 9.4% 11.9%
1 Year -2.3% 4.8%
3 Year 19.3% 19.5%
5 Year 1.3% 1.0%
10 Year 4.7% 4.7%

Annual Returns
Year Port Bmrk
20122 9.4% 11.9%
2011 -2.1% 2.1%
2010 18.1% 15.1%
2009 33.9% 26.4%
2008 -39.1% -37.0%
2007 9.7% 5.5%
2006 8.0% 15.8%
2005 8.6% 4.9%
2004 12.6% 10.9%
2003 32.6% 28.7%
20023 -19.9% -17.3%

Investment Process

Investment Process

The portfolio investment process is based on Athena’s patented Strategy Based Investing methodology for identifying and investing in a diverse portfolio of open-end mutual funds. Each month, funds are screened and selected based on Athena’s proprietary Fund Diamond Ratings and are diversified across what have been the top performing investment strategies over time. The most important criteria is that the fund manager is consistently pursuing a narrowly defined equity strategy and takes high conviction stock positions. In addition, Athena considers secondary criteria in order to narrow the pool of candidate funds, such as load, redemption and management fees; fund size; open to new investors; and minimum initial investment. Funds that drop below a predetermined rating are sold and replaced with highly rated funds. On average funds are held 2 to 3 years. Funds holding stocks of any market capitalization may be held in the portfolio. In general, the portfolio favors funds with lower assets under management that do not closely track an index. Funds offered by both large multi-fund complexes as well as funds of smaller fund complexes can be found in Athena fund portfolios. Athena does not have selling agreements with any fund complex and thus is free to invest in funds based on objective criteria.


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 2009
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