Laurus’ Global Small Cap strategy is a made up of the best ideas from our US, Canadian and International Small Cap Strategies. The strategy seeks long-term capital appreciation by investing in a concentrated group of Globally domiciled equities (market cap less than $10 Billion at purchase). Performance goal to exceed the return of the MSCI World Small Cap Equity NET Indices (USD).
We employ a bottom up process to develop high conviction portfolios comprised of lasting, high quality companies which exhibit the following characteristics:
- High returns on capital
- Defensible business models
- Industry-leading management teams
- Strong, consistent free cash flow generation
Our subjective evaluation of management teams is a critical step in our process—and has many times proven to be our most effective predictor of future stock performance. Our extensive experience helps us to differentiate between good management teams and exceptional ones. We believe this is absolutely critical to delivering long-term results.
Based on a set of firm-wide values, we believe environmental, social, and governance (ESG) factors are key elements of our long term value to clients. As active investors, we must delve into each companies risk and opportunities, including those related to ESG. We believe that supporting responsible business conduct best protects our client’s capital.