Our Strategies
The London Company invests across all market capitalizations, offering U.S equity portfolios through separately managed accounts, mutual funds and select channels
Income Equity
Quality Value oriented portfolio of 25-35 large cap equities with a secondary focus of a yield premium to its benchmark, the Russell 1000 Value.
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Large Cap
Quality Value oriented portfolio of 25-35 large cap equities; benchmark Russell 1000.
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Mid Cap
Quality Value oriented portfolio of 25-35 mid cap equities; benchmark Russell Midcap.
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Small-Mid Cap
Quality Value oriented portfolio of 25-35 small-mid cap equities; benchmark Russell 2500.
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Small Cap
Quality Value oriented portfolio of 25-35 small cap equities; benchmark Russell 2000.
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International Equity
Quality Value oriented portfolio of 25-40 stocks; benchmark MSCI EAFE.
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Concentrated
Quality Value oriented portfolio of 10-20 all-cap equities; benchmark Russell 1000.
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Sub-Advisory Funds
We sub-advise the following mutual funds for institutional and individual investors.
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Sub-Advisory CITs
We sub-advise the following collective investment trusts for institutional investors.
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