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ASTON/Veredus Select Growth Fund

 NI
CUSIP 00078H48900080Y405
Ticker AVSGXAVISX
Share Class Inception 12/31/20019/11/2006
Gross Exp Ratio (%) 1.311.06
Net Exp Ratio (%) 1.31.05
NAV10.3210.46
NAV Change 1.05 1.13
Dividend Frequency Annual
Benchmark Russell 1000 Growth Index
Morningstar Category Large Growth

Overall Morningstar Rating

ASTON/Veredus Select Growth Fund  Shares received a Morningstar rating.

Among 1465 Large Growth funds derived from a weighted average of the Fund’s 3-, 5- and 10-year risk-adjusted returns as of 4/30/12.

Portfolio Managers

B. Anthony Weber
B. Anthony Weber

B. Anthony Weber

B. Anthony Weber

Mr. Weber is the President and Chief Investment Officer of Todd-Veredus. He is responsible for the day-today management of the Fund. Previously, he was President and Senior Portfolio Manager at SMC Capital, Inc. from 1993 to 1998, and has more than 25 years of investment management experience. Mr. Weber received a BA from Centre College of Kentucky.

Charles F.  Mercer, Jr., CFA
Charles F. Mercer, Jr., CFA

Charles F. Mercer, Jr., CFA

Charles F.  Mercer, Jr., CFA

Mr. Mercer is Senior Portfolio Manager and a founding Partner of Veredus. Charles was the director of research from 1998 to 2003. Prior to Veredus, he was a research analyst at SMC Capital, Inc. and a trader at Suntrust Bank. Mr. Mercer has a BA from Vanderbilt University.

Michael E. Johnson, CFA
Michael E. Johnson, CFA

Michael E. Johnson, CFA

Michael E. Johnson, CFA

Mr. Johnson, Senior Portfolio Manager, joined the firm in 2000 as a research analyst and most recently was the director of research. Prior employment includes portfolio manager at Stock Yards Bank and Trust and experience at Charles Schwab. He received a BS in Finance from Ball State University.

Investment Strategy

The ASTON/Veredus Select Growth Fund employs a momentum-based, multi-cap growth process that selects the stocks of companies it believes are able to deliver sustainable and sequential positive earnings surprises relative to consensus earnings estimates.

If you are an investment professional, login or register here for access to Aston’s research content. Discover the unique qualities that differentiate our Subadvisers at both the firm and strategy levels.  

Objective

The Fund seeks to provide capital appreciation.

Risk Considerations

Growth stocks are generally more sensitive to market moves and thus may be more volatile than other stocks.

Fund Stats (as of 3/31/12) N SharesI Shares
Origin Of Information FactsetFactset
Sales Load NoneNone
Total Net Assets (5/18/12)$11,574,490.54$31,995,006.46
Turnover 303%303%
Minimum Investment 2,5001,000,000
Alpha (3 yr.) -11.88-11.64
Beta (3 yr.) 1.191.19
R-Squared (3 yr.) 0.850.85
Standard Dev (3 yr.) 20.8420.84
Sharpe Ratio (3 yr.) 0.230.24
Current Wtd Average P/E (trailing) 17.7017.70
Current Wtd Average P/B (trailing) 3.023.02
Median Mkt Cap ($Mil) 10,77210,772
Average Wtd Coupon N/AN/A
Effective Maturity N/AN/A
Sector Breakdown (as of 4/30/12)
Information Technology
30.01%
Consumer Discretionary
18.43%
Health Care
17.38%
Financials
12.37%
Industrials
12.15%
Cash Equivalents & Other
4.49%
Consumer Staples
4.41%
Materials
0.76%
Top Ten Holdings (as of 4/30/12)
CompanyTickerCUSIPNumber of SharesMarket Value% of Net Assets
QUALCOMM INC QCOM 747525103 40,400 $2,579,136.00 5.38%
MICROSOFT CORP MSFT 594918104 76,700 $2,455,934.00 5.12%
DISH NETWORK CORP-A DISH 25470M109 67,975 $2,173,160.75 4.53%
VERIFONE SYSTEMS INC PAY 92342Y109 39,925 $1,902,027.00 3.97%
CBS CORP-CLASS B NON VOTING CBS 124857202 54,425 $1,815,073.75 3.78%
AMERICAN EXPRESS CO AXP 25816109 27,975 $1,684,374.75 3.51%
HCA HOLDINGS INC HCA 40412C101 61,625 $1,658,945.00 3.46%
FIFTH THIRD BANCORP FITB 316773100 114,525 $1,629,690.75 3.40%
VISA INC-CLASS A SHARES V 92826C839 12,850 $1,580,293.00 3.29%
UNITED CONTINENTAL HOLDINGS UAL 910047109 64,425 $1,412,196.00 2.94%
Past performance does not guarantee future results. Investment return and principal value of mutual funds will vary with market conditions, so that shares, when redeemed, may be worth more or less than their original cost.

As the fund is actively managed, the securities as presented may not represent the current or future composition of the portfolio.

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