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Thornburg Small/Mid Cap Core Fund

Morningstar Rating  • Info

Overall Morningstar Rating among 377 Large Blend funds, based on risk-adjusted returns for class R5 shares, using a weighted average of the funds three-, five-, and ten-year ratings: respectively, 3 stars, 2 stars and 3 stars among 377, 340 and 238 funds, as of 30 Nov 2024.

As of 30 Nov 2024
Fund Assets
$612.3 M
As of 30 Nov 2024
NAV
$85.34
As of 24 Dec 2024
Change
$0.82
As of 24 Dec 2024
YTD NAV Performance
22.33%
As of 24 Dec 2024
Asset Category:
U.S. Equity
Fund Benchmark:
Russell 2500 Index

Portfolio Managers

Portfolio Manager and Managing Director
Portfolio Manager and Managing Director
Overview

Overview

Why Invest in This Fund?

 

  • Flexible, diversified and focused equity portfolio that invests primary in U.S. small- and mid-capitalization companies across the style spectrum.
  • Proven bottom-up fundamental research process that aims to identify companies with attractive business models and promising growth prospects that exhibit growing, or stable, revenues and earnings; and are trading at a reasonable valuation.
  • Actively managed strategy that seeks to deliver attractive risk-adjusted returns and outperform the benchmark over a full market cycle

Investment Objective

The fund’s goal is to provide investors with long-term capital appreciation by investing in equity and debt securities of all types.

Investment Approach

The fund typically invests in a diversified selection of common stocks that we believe will have growing or stable revenues or earnings. The portfolio is diversified to include basic value stocks, but also includes stocks of companies with consistent earning characteristics and growing emerging franchises.

Performance

Performance

Returns

(As of 30 Sep 2024)
YTD
1y
3y
5y
10y
Inception
Total Return (%)
16.13
27.68
2.76
8.27
8.66
9.72
Russell 2500 Index (%)
11.30
26.17
3.47
10.43
9.50
9.86
Morningstar Category Avg. (%)
14.3
27.57
6.7
11.18
9.42
Morningstar Quartile
2
4
4
3
YTD
1y
3y
5y
10y
Inception
Total Return (%)
28.37
38.22
7.20
9.35
9.26
10.04
Russell 2500 Index (%)
21.12
34.10
6.24
10.95
9.85
10.12
Morningstar Category Avg. (%)
22.89
32.54
8.3
11.93
9.78
Morningstar Quartile
1
3
4
3
YTD
1y
3y
5y
10y
Inception
Total Return (%)
16.13
27.68
8.51
48.78
129.54
1373.92
Russell 2500 Index (%)
11.30
26.17
10.77
64.21
147.73
1428.74
YTD
1y
3y
5y
10y
Inception
Total Return (%)
28.37
38.22
23.18
56.35
142.55
1529.30
Russell 2500 Index (%)
21.12
34.10
19.91
68.12
155.93
1563.62
2018
2019
2020
2021
2022
2023
Total Return (%)
-9.39
29.32
12.09
14.19
-19.20
13.60
Russell 2500 Index (%)
-10.00
27.77
19.99
18.18
-18.37
17.42
Fund Fees

Fund Fees

(As of 1 Feb 2024)
Gross Expense Ratio (%)
1.75
Net Expense Ratio (%)
0.95
Hypothetical Growth of $10,000

Hypothetical Growth of $10,000

(As of 30 Nov 2024)
(Hypothetical Growth of $10,000 vs Russell 2500 Index)
Distributions

Distributions

(As of 15 Dec 2022)
Ex-Date
Payable Date
Total ($)
Income ($)
ST Cap Gains ($)
LT Cap Gains ($)
31 Mar 2005
31 Mar 2005
0.07680
0.07680
30 Jun 2005
30 Jun 2005
0.08905
0.08905
30 Sep 2005
30 Sep 2005
0.09860
0.09860
30 Dec 2005
31 Dec 2005
0.09906
0.09906
30 Mar 2006
31 Mar 2006
0.08499
0.08499
28 Jun 2006
30 Jun 2006
0.07938
0.07938
27 Sep 2006
30 Sep 2006
0.17815
0.17815
17 Nov 2006
17 Nov 2006
1.30207
0.04610
1.25597
26 Dec 2006
31 Dec 2006
0.10967
0.10967
26 Mar 2007
31 Mar 2007
0.08620
0.08620
26 Jun 2007
30 Jun 2007
0.07023
0.07023
26 Sep 2007
30 Sep 2007
0.14496
0.14496
19 Nov 2007
19 Nov 2007
3.93397
0.88171
3.05226
26 Dec 2007
31 Dec 2007
0.03787
0.03787
26 Mar 2008
31 Mar 2008
0.04112
0.04112
26 Jun 2008
30 Jun 2008
0.08697
0.08697
26 Sep 2008
30 Sep 2008
0.08330
0.08330
26 Dec 2008
31 Dec 2008
0.12179
0.12179
26 Mar 2009
31 Mar 2009
0.11271
0.11271
26 Jun 2009
30 Jun 2009
0.11074
0.11074
25 Sep 2009
30 Sep 2009
0.13972
0.13972
24 Dec 2009
31 Dec 2009
0.14290
0.14290
26 Mar 2010
31 Mar 2010
0.04572
0.04572
25 Jun 2010
30 Jun 2010
0.03566
0.03566
24 Sep 2010
30 Sep 2010
0.05622
0.05622
25 Mar 2011
31 Mar 2011
0.01275
0.01275
23 Dec 2011
31 Dec 2011
0.00923
0.00923
24 Dec 2013
31 Dec 2013
0.22426
0.22426
24 Sep 2014
30 Sep 2014
0.34882
0.34882
24 Dec 2014
31 Dec 2014
0.06665
0.06665
26 Sep 2016
30 Sep 2016
0.38392
0.38392
23 Dec 2016
31 Dec 2016
0.08099
0.08099
23 Jun 2017
30 Jun 2017
0.10258
0.10258
22 Sep 2017
30 Sep 2017
0.06146
0.06146
22 Dec 2017
31 Dec 2017
0.42373
0.42373
21 Dec 2018
31 Dec 2018
0.49761
0.49761
20 Dec 2019
31 Dec 2019
0.42748
0.42748
18 Nov 2021
18 Nov 2021
26.35024
7.96715
18.38309
16 Dec 2021
31 Dec 2021
0.54555
0.54555
15 Dec 2022
31 Dec 2022
0.30673
0.30673
Fund Facts

Fund Facts

(As of 30 Nov 2024)
Net Fund Assets
$612.3 M
Benchmark
Russell 2500 Index
Morningstar Category
Large Blend
Fund Symbol
TVRRX
Share Class
R5
Share Class Inception Date
1 Feb 2005
Number of Holdings
47
Portfolio Turnover
33%
Distribution Frequency
Annually
Characteristics

Characteristics

Portfolio

(As of 30 Nov 2024)
Portfolio
Benchmark
Weighted Average Market Cap
$11.6 B
$8.5 B
Median Market Cap
$10.1 B
$1.6 B
Price to Earnings - Forward 1YR
23.9x
18.7x
Price to Earnings - Trailing 12 Months
25.8x
19.1x
Price to Cash Flow
16.8x
10.9x
Portfolio
Benchmark
Price to Book Value
3.3x
2.5x
Return on Assets - 5 YR
6.2%
3.8%
Return on Equity - 5 YR
18.6%
13.4%
Historical 3YR Sales Growth
15.2%
20.7%
Active Share
95.9%
Risk & Return Profile

Risk & Return Profile

(As of 30 Nov 2024)
3y
5y
10y
Annualized Alpha (%)
1.47
-0.14
0.94
Beta
0.89
0.86
0.83
R-Squared (%)
94.89
92.82
89.54
Standard Deviation (%)
19.38
20.35
16.86
Sharpe Ratio
0.17
0.34
0.45
Information Ratio
0.19
-0.25
-0.09
Up Capture (%)
92.72
87.38
83.77
Down Capture (%)
88.42
88.59
79.73
Portfolio

Portfolio

Top Holdings

(As of 31 Oct 2024)
Name
Ticker/Symbol
Sector
Weight %
Casella Waste Systems Inc
CWST
Industrials
3.4
Clean Harbors Inc
CLH
Industrials
3.0
Vertiv Holdings Co
VRT
Industrials
3.0
Coherent Corp
COHR
Information Technology
2.9
Pinnacle Financial Partners Inc
PNFP
Financials
2.9
TransUnion
TRU
Industrials
2.8
Walker & Dunlop Inc
WD
Financials
2.6
Western Alliance Bancorp
WAL
Financials
2.6
Applied Industrial Technologies Inc
AIT
Industrials
2.6
TXNM Energy Inc
TXNM
Utilities
2.5
Exposure Breakdown

Exposure Breakdown

(As of 30 Nov 2024)
Sector Allocation
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
25%
30%
Industrials
27.8
19.3
Financials
19.5
17.9
Information Technology
14.7
11.9
Consumer Discretionary
13.1
12.3
Health Care
5.9
12.0
Consumer Staples
4.8
3.4
Energy
4.0
5.1
Utilities
3.7
2.6
Cash & Cash Equivalents
2.7
Materials
2.0
5.9
Real Estate
1.8
6.8
Communication Services
0.0
2.9
Sector Allocation
Fund (%)
Industrials
27.8
Financials
19.5
Information Technology
14.7
Consumer Discretionary
13.1
Health Care
5.9
Consumer Staples
4.8
Energy
4.0
Utilities
3.7
Cash & Cash Equivalents
2.7
Materials
2.0
Real Estate
1.8
Communication Services
0.0
Top 10 Industries
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
Capital Goods
16.1
13.7
Financial Services
9.3
7.8
Commercial & Professional Services
9.2
3.4
Consumer Durables & Apparel
7.3
3.6
Software & Services
7.3
6.5
Banks
5.8
6.6
Insurance
4.4
3.5
Pharmaceuticals, Biotechnology & Life Sciences
4.2
7.5
Technology Hardware & Equipment
4.1
3.6
Energy
4.0
5.1
Top 10 Industries
Fund (%)
Capital Goods
16.1
Financial Services
9.3
Commercial & Professional Services
9.2
Consumer Durables & Apparel
7.3
Software & Services
7.3
Banks
5.8
Insurance
4.4
Pharmaceuticals, Biotechnology & Life Sciences
4.2
Technology Hardware & Equipment
4.1
Energy
4.0
Capitalization
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
Large Cap (> $12 B)
41.8
23.2
Mid Cap ($2.5 to $12 B)
51.5
61.8
Small Cap (< $2.5 B)
6.7
15.0
Capitalization
Fund (%)
Large Cap (> $12 B)
41.8
Mid Cap ($2.5 to $12 B)
51.5
Small Cap (< $2.5 B)
6.7
Portfolio Managers

Portfolio Managers

Steven Klopukh, CFA

Steven Klopukh, CFA

Portfolio Manager and Managing Director
Steven Klopukh is portfolio manager at Thornburg Investment Management. He joined the firm in 2020 to lead Thornburg’s small- and mid-cap investment strategies. Prior to Thornburg, Steven worked at Allianz Global Investors, where he spent 18 years, most recently as a director and lead portfolio manager U.S. Small- & Mid-Cap Growth team. While at Allianz Global Investors, Steven managed the…
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Tim McCarthy, CFA

Tim McCarthy, CFA

Portfolio Manager and Managing Director
Tim McCarthy is portfolio manager at Thornburg Investment Management. He joined the firm in 2020 to co-manage Thornburg’s small- and mid-cap investment growth strategies. Prior to Thornburg, Tim spent 17 years at Allianz Global Investors, where he was senior portfolio manager and director and performed research responsibilities for the U.S. Small- & Mid-Cap Growth team. He was also a portfolio…
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