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February 24, 2021
U.S. investors are chronically home-biased in their portfolios, even while international allocations have provided better opportunities in different market cycles.
In the upcoming webcast,
Investors have looked to time-tested active approaches to enhance returns and provide greater stability, especially in times of heightened volatility. For example, the actively managed
Davis Select International ETF (NasdaqGM: DINT) focus on long-term opportunities and incorporate the money managers’ judgment experience, high conviction, low turnover, accountability, and alignment. The Davis team screens for fundamental characteristics, including cash flows assets and liabilities, among other criteria.
The management team looks to durability, adaptability, and resiliency of a company for substantial competitive advantages, superior business models, attractive financials, and superior free cash flows. They also select those with a track record of good decisions, intelligent capital allocators, and alignment of interests. Additionally, the team focuses on discount to real value by calculating owner earnings to arrive at the actual value of a company.

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