Jeff Auxier13F | |
Auxier Asset Management | |
Last update 2024-11-14 | 174 Stocks (7 new) |
Value $677.00 Mil | Turnover 1 % |
Portfolio Report |
Jeff Auxier Investing Philosophy
Auxier's strategy is to look for compelling, undervalued companies that ideally exhibit the following attributes: strong or improving fundamentals, consistency in operating results, a substantial advantage over competition (strong franchise), a demonstrated ability to earn high rates of return on capital, understandable products, honest, competent and shareholder-oriented management, intelligent capital allocation policies, generates substantial free cash flow with nominal mandatory capital requirements, a strong balance sheet and financial flexibility. The investment candidates are then screened to determine what price represents good value with acceptable, low risk and the potential for above average returns.
Jeff Auxier's Top Stock Picks
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Jeff Auxier Total Holding History ($B)
Jeff Auxier's Asset Allocation
Jeff Auxier Past Portfolios
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Top Ranked Articles
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Jeff Auxier's Hypothetical Growth since 2024-09-30
Jeff Auxier's Yearly Returns
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Jeff Auxier's Holdings Heat Map
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Jeff Auxier's Holdings Bubble Chart
Jeff Auxier News
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