Liberty All-Star庐 Equity Fund November 2024 Monthly Update
The Liberty All-Star Equity Fund (NYSE: USA) released its November 2024 monthly update, revealing strong performance metrics. The fund combines three value-style and two growth-style investment managers, with a large-cap core focus. The fund's NAV increased from $7.07 to $7.34, while the market price rose from $7.03 to $7.30. Notable performance includes a 6.38% monthly return on NAV and a 20.39% year-to-date return.
The fund's portfolio, valued at $2,096.4 million, is 99.6% invested in equities. The top three sector allocations are Information Technology (22.5%), Financials (21.3%), and Health Care (14.5%). The top holdings include Microsoft (4.0%), NVIDIA (3.7%), and Amazon (2.7%), with the top 20 holdings comprising 34.5% of the equity portfolio.
Il Liberty All-Star Equity Fund (NYSE: USA) ha pubblicato il suo aggiornamento mensile di novembre 2024, rivelando metriche di performance molto forti. Il fondo combina tre gestori di investimento in stile valore e due in stile crescita, con un focus principale su grandi capitalizzazioni. Il NAV del fondo 猫 aumentato da 7,07 $ a 7,34 $, mentre il prezzo di mercato 猫 salito da 7,03 $ a 7,30 $. Le performance notevoli includono un rendimentomensile del 6,38% sul NAV e un rendimento dell'anno fino ad oggi del 20,39%.
Il portafoglio del fondo, valutato a 2.096,4 milioni di dollari, 猫 investito per il 99,6% in azioni. Le prime tre allocazioni settoriali sono Tecnologia dell'Informazione (22,5%), Finanza (21,3%) e Salute (14,5%). Le principali partecipazioni includono Microsoft (4,0%), NVIDIA (3,7%) e Amazon (2,7%), con le prime 20 partecipazioni che costituiscono il 34,5% del portafoglio azionario.
El Liberty All-Star Equity Fund (NYSE: USA) public贸 su actualizaci贸n mensual de noviembre de 2024, revelando m茅tricas de rendimiento muy s贸lidas. El fondo combina tres gestores de inversiones de estilo valor y dos de estilo crecimiento, con un enfoque en grandes capitalizaciones. El NAV del fondo aument贸 de 7,07 $ a 7,34 $, mientras que el precio de mercado subi贸 de 7,03 $ a 7,30 $. Un rendimiento notable incluye un retorno mensual del 6,38% sobre el NAV y un retorno acumulado del 20,39% en lo que va del a帽o.
La cartera del fondo, valorada en 2.096,4 millones de d贸lares, est谩 invertida en un 99,6% en acciones. Las tres principales asignaciones sectoriales son Tecnolog铆a de la Informaci贸n (22,5%), Finanzas (21,3%) y Salud (14,5%). Las principales participaciones incluyen Microsoft (4,0%), NVIDIA (3,7%) y Amazon (2,7%), con las 20 principales participaciones que comprenden el 34,5% de la cartera de acciones.
毽矂韹 鞓姢韮 欤检嫕 韼霌 (NYSE: USA)電 2024雲 11鞗 鞗旉皠 鞐呺嵃鞚错姼毳 氚滍憸頃橂┌ 臧曤牓頃 靹标臣 歆響滊ゼ 霌滊煬雰堨姷雼堧嫟. 鞚 韼霌滊姅 3氇呾潣 臧旃 鞀ろ儉鞚缄臣 2氇呾潣 靹膘灔 鞀ろ儉鞚 韴瀽 甏毽瀽毳 瓴绊暕頃橃棳 雽順曥< 欷戩嫭鞙茧 鞖挫榿霅╇媹雼. 韼霌滌潣 NAV電 7.07雼煬鞐愳劀 7.34雼煬搿 歃濌皜頄堨姷雼堧嫟, 鞁滌灔 臧瓴╈潃 7.03雼煬鞐愳劀 7.30雼煬搿 靸侅姽頄堨姷雼堧嫟. 欤茧頃 毵岉暅 靹标臣搿滊姅 NAV 旮办鞙茧 6.38%鞚 鞗旉皠 靾橃澋毳犼臣 鞓暣 雸勳爜 20.39%鞚 靾橃澋毳鞚 韽暔霅╇媹雼.
韼霌滌潣 韽姼韽措Μ鞓る姅 2,096.4氚彪 雼煬搿 韽夑皜霅橂┌, 99.6%臧 欤检嫕鞐 韴瀽霅橃柎 鞛堨姷雼堧嫟. 欤检殧 靹鸽秬 攵勳偘鞚 鞝曤炒旮办垹 (22.5%), 旮堨湹 (21.3%), 項姢旒鞏 (14.5%)鞛呺媹雼. 欤检殧 氤挫湢 欤检嫕鞐愲姅 Microsoft (4.0%), NVIDIA (3.7%), Amazon (2.7%)臧 韽暔霅橂┌, 靸侅渼 20臧滌潣 氤挫湢 欤检嫕鞚 欤检嫕 韽姼韽措Μ鞓れ潣 34.5%毳 彀頃╇媹雼.
Le Liberty All-Star Equity Fund (NYSE: USA) a publi茅 sa mise 脿 jour mensuelle de novembre 2024, r茅v茅lant des indicateurs de performance solides. Le fonds combine trois gestionnaires d'investissements de style valeur et deux de style croissance, avec un accent sur les grandes capitalisations. La NAV du fonds a augment茅 de 7,07 $ 脿 7,34 $, tandis que le prix du march茅 a grimp茅 de 7,03 $ 脿 7,30 $. Les performances notables incluent un rendement mensuel de 6,38% sur la NAV et un rendement cumul茅 de 20,39% depuis le d茅but de l'ann茅e.
Le portefeuille du fonds, 茅valu茅 脿 2 096,4 millions de dollars, est investi 脿 99,6% en actions. Les trois principales allocations sectorielles sont Technologies de l'information (22,5%), Finances (21,3%) et Sant茅 (14,5%). Les principales participations incluent Microsoft (4,0%), NVIDIA (3,7%) et Amazon (2,7%), avec les 20 principales participations repr茅sentant 34,5% du portefeuille d'actions.
Der Liberty All-Star Equity Fund (NYSE: USA) hat sein monatliches Update f眉r November 2024 ver枚ffentlicht und starke Leistungskennzahlen aufgezeigt. Der Fonds kombiniert drei Value-Style und zwei Growth-Style Investmentmanager mit einem Fokus auf Large-Cap-Aktien. Der NAV des Fonds stieg von 7,07 $ auf 7,34 $, w盲hrend der Marktpreis von 7,03 $ auf 7,30 $ anstieg. Bemerkenswerte Leistungen umfassen eine monatliche Rendite von 6,38% auf den NAV und eine bisherige Jahresrendite von 20,39%.
Das Portfolio des Fonds, das auf 2.096,4 Millionen Dollar gesch盲tzt wird, ist zu 99,6% in Aktien investiert. Die drei gr枚脽ten Sektorallokationen sind Informationstechnologie (22,5%), Finanzwesen (21,3%) und Gesundheitswesen (14,5%). Zu den gr枚脽ten Positionen geh枚ren Microsoft (4,0%), NVIDIA (3,7%) und Amazon (2,7%), wobei die 20 gr枚脽ten Positionen 34,5% des Aktienportfolios ausmachen.
- Strong monthly performance with 6.38% NAV return and 6.40% market price return
- Impressive YTD performance of 20.39% NAV return and 26.68% market price return
- High investment rate at 99.6% of total assets
- Narrow discount to NAV of only -0.5%
- None.
Insights
The November update reveals solid performance metrics for the Liberty All-Star Equity Fund. The fund posted impressive monthly returns of
Liberty All-Star Equity Fund
Ticker:
Monthly Update, November 2024
Investment Approach:
Fund Style: Large-Cap Core
Fund Strategy: Combines three value-style and two growth-style investment managers. Those selected demonstrate a consistent investment philosophy, decision making process, continuity of key people and above-average long-term results compared to managers with similar styles.
Investment Managers:
Value Managers:
- Aristotle Capital Management, LLC
- Fiduciary Management, Inc.
- Pzena Investment Management, LLC
Growth Managers:
- Sustainable Growth Advisers, LP
- TCW Investment Management Company
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1 | Microsoft Corp. | 4.0听% |
2 | NVIDIA Corp. | 3.7听% |
3 | Amazon.com, Inc. | 2.7听% |
4 | Alphabet, Inc. | 2.6听% |
5 | UnitedHealth Group, Inc. | 2.3听% |
6 | Visa, Inc.听 | 1.9听% |
7 | ServiceNow, Inc. | 1.9听% |
8 | Meta Platforms, Inc. | 1.7听% |
9 | Capital One Financial Corp. | 1.5听% |
10 | S&P Global, Inc. | 1.4听% |
11 | Charles Schwab Corp. | 1.3听% |
12 | Fresenius Medical Care AG | 1.2听% |
13 | Booking Holdings, Inc. | 1.1听% |
14 | Sony Group Corp. | 1.1听% |
15 | Ecolab, Inc. | 1.1听% |
16 | Berkshire Hathaway, Inc. | 1.0听% |
17 | Ferguson Enterprises, Inc. | 1.0听% |
18 | Danaher Corp. | 1.0听% |
19 | O'Reilly Automotive, Inc. | 1.0听% |
20 | Wells Fargo & Co. | 1.0听% |
Holdings are subject to change. |
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Monthly Performance: | |||
Performance | NAV | Market Price | Discount |
Beginning of month value | -0.6听% | ||
Distributions (Ex-Date November 15th) | |||
End of month value | -0.5听% | ||
Performance for month | 6.38听% | 6.40听% | |
Performance year-to-date | 20.39听% | 26.68听% |
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Net Assets at Month-End ($millions): | |
Total听 听 听 听 听 听 听 听 听 | |
Equities听 听 听 听 听 听 听 听 | |
Percent Invested听 听 听 听 听 | 99.6听% |
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Sector Breakdown* (% of equity portfolio): | |
Information Technology听 | 22.5听% |
Financials听 听 听 听 听 听 听 | 21.3听% |
Health Care听 听 听 听 | 14.5听% |
Consumer Discretionary | 12.5听% |
Industrials听 听 听 | 9.2听% |
Communication Services听 听 | 7.1听% |
Consumer Staples听 听 听 | 4.6听% |
Materials听 听 听 听 听 听 听 听 听 | 4.4听% |
Energy听 听 听 听 | 1.8听% |
Utilities听 听 听 听 听 | 1.5听% |
Real Estate听 听 听 听 听 听 听 听 听 | 0.6听% |
Total Market Value | 100.0听% |
*Based on Standard & Poor's and MSCI Global Industry Classification Standard (GICS). |
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New Holdings
None
Holdings Liquidated:
Arch Capital Group, Ltd.
The net asset value (NAV) of a closed-end fund is the market value of the underlying investments (i.e., stocks and bonds) in the Fund's portfolio, minus liabilities, divided by the total number of Fund shares outstanding. However, the Fund also has a market price; the value at which it trades on an exchange. If the market price is above the NAV the Fund is trading at a premium. If the market price is below the NAV the Fund is trading at a discount.
Performance returns for the Fund are total returns, which includes dividends, and are net of management fees and other Fund expenses. Returns are calculated assuming that a shareholder reinvested all distributions. Past performance cannot predict future investment results.
Performance will fluctuate with changes in market conditions. Current performance may be lower or higher than the performance data shown. Performance information shown does not reflect the deduction of taxes that shareholders would pay on Fund distributions or the sale of Fund shares. Shareholders must be willing to tolerate significant fluctuations in the value of their investment. An investment in the Fund involves risk, including loss of principal.
Sources of distributions to shareholders may include ordinary dividends, long-term capital gains and return of capital. The final determination of the source of all distributions in 2024 for tax reporting purposes will be made after year end. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during its fiscal year and may be subject to changes based on tax regulations. Based on current estimates a portion of the distributions consist of a return of capital. These estimates may not match the final tax characterization (for the full year's distributions) contained in shareholder 1099-DIV forms after the end of the year.
All data is as of November 30, 2024 unless otherwise noted.
Liberty All-Star庐 Equity Fund
1-800-241-1850
libinfo@alpsinc.com
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