RS Large Cap Value Portfolio



Strategy Attributes

  • High-conviction portfolio of large cap value companies. Our portfolio tends to be diversified at the sector level, and concentrated at the position level.
  • Deep and experienced research team consists of 15 investment professionals in which all members practice company-specific fundamental research.
  • Investments are scrutinized by at least two team members, deepening our knowledge of individual companies. Often, we conduct over 100 hours of research on each name in the portfolio.
  • Our goal is to achieve long-term investment excellence. We seek to optimize risk-adjusted returns and subscribe to the mantra "it's not what you make, it's what you keep."


  • Historical
  • Long Term
  • As of Latest:
  • Month-End
  • Quarter-End
Month-End Performance as of 3/31/12: PRELIMINARY
  1 Year Since Inception 5/31/09
RS Large Cap Value Portfolio Gross of Fees Net of Fees -2.32%
-3.23%
14.21%
13.30%
Russell 1000 Value® Index1 4.79% 17.40%
Quarter-End Performance as of 3/31/12: PRELIMINARY
  1 Year Since Inception 5/31/09
RS Large Cap Value Portfolio Gross of Fees Net of Fees -2.32%
-3.23%
14.21%
13.30%
Russell 1000 Value® Index1 4.79% 17.40%
Historical Performance (Results Net of Fees)
*Since Inception: 5/31/09
  Q1 Q2 Q3 Q4 Calendar Year
2009  0.43%*  17.40%   3.13%   21.60%*
2010 6.90%   -10.75%   8.28%    13.14%   16.88%
2011 3.60%   -1.70%   -20.89%    12.83%    -9.09%
2012 10.28%          

Performance quoted represents past performance and does not guarantee future results.

Communications

  Most Recent
RS Large Cap Value Portfolio Q1 2012 Q2 2011 Q3 2011 Q4 2010
         
Statistical Summary
Portfolio Holdings
         
 
GIPS-compliant presentation        
 

Portfolio Facts

Inception 5/31/09
AUM (as of 3/31/12) $1,688,036,454
1 The Russell 1000® Value Index is an unmanaged market-capitalization-weighted index that measures the performance of those companies in the Russell 1000® Index (which consists of the 1,000 largest U.S. companies based on total market capitalization) with lower price-to-book ratios and lower forecasted growth values. Index results assume the reinvestment of dividends paid on the stocks constituting the index. Unlike the Fund, the index does not incur fees or expenses.
You should read the current RS Funds' Prospectus before investing. The RS Funds' Statement of Additional Information (SAI)  provides information about the Funds that may not be contained in the Prospectus.

RS Funds are sold by Prospectus only. You should carefully consider the investment objectives, risks, charges, and expenses of the RS Funds before making an investment decision. The prospectus contains this and other important information. Please read it carefully before investing or sending money. To obtain a printed copy, please call 800-766-3863.

If you are an existing shareholder and would like a copy of the prospectus or need to contact RS Investments, call 800-766-3863. If you are interested in learning more about and how to invest with RS, please contact your financial professional.

The information on this web site is intended for U.S. residents only. The information provided does not constitute a solicitation of an offer to buy, or an offer to sell securities in any jurisdiction to any person to whom it is not lawful to make such an offer.

RS Funds are distributed by: Guardian Investor Services LLC, 7 Hanover Square, New York, NY 10004.

RS is an independent subsidiary of Guardian Investor Services LLC. Guardian Investor Services LLC (GIS), is a registered broker-dealer, registered investment advisor, and a wholly owned subsidiary of The Guardian Life Insurance Company of America.

Not A Deposit / Not FDIC or NCUA Insured / May Lose Value / No Bank or Credit Union Guarantee

GIS is a member: FINRA and SIPC.

© 2012 RS Investment Management Co. LLC
RS Investments is the marketing name for RS Investment Management Co. LLC and its affiliates.