The fund is an actively managed fund that primarily targets US companies that potentially have business operations located throughout the world. The fund manager uses a system-driven bottom-up research approach to assess relative value and capital growth potential. Specifically, the manager analyzes fundamental factors, financial and alternative data, and rate of change among fundamental factors to assess financial strength. The fund has a large- and midcap bias, and will typically hold 30 to 60 securities in its portfolio. Although actively managed, the funds investments in each GICS sector will be within +/- 30% range of the corresponding sector weight of the S&P 500 index. The fund caps individual issuers to 10% of the funds assets.