|
Best
& Worst Consecutive Years
for CM Value I Composite (Net of Fees) |
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|
Consecutive
Years
|
Best
Years |
Worst
Years |
| 3
Years
5 Years 7 Years 10 Years 15 Years 20 Years 33 Years |
27.81% 25.32% 22.87% 21.67% 18.43% 15.78% 14.88% |
3.49% 4.72% 7.18% 9.18% 11.53% 11.95% 14.88% |
| The purpose of the best and worst years exercise is to show the random variability of single year returns and the benefits of long-term investing. The numbers shown above include those from 1974 through 2007 for Century Management's CM Value I Composite. This composite includes stocks, bonds and cash. Returns shown above are net of fees. Past performance is no guarantee of future results. | ||
Use of this website means you agree to our Terms & Conditions IMPORTANT
PERFORMANCE DISCLOSURES THE
ROLLING YEAR RETURNS WERE PREPARED BY CENTURY MANAGEMENT AND PRESENTED
TO AND VERIFIED BY ASHLAND PARTNERS & COMPANY LLP. ASHLAND PARTNERS & COMPANY
LLP HAS VERIFIED THE
COMPLIANCE OF CENTURY MANAGEMENT WITH THE REQUIREMENTS OF THE GLOBAL
INVESTMENT PERFORMANCE STANDARDS (GIPS®) ON A FIRMWIDE BASIS
FROM SEPTEMBER 16, 1974 THROUGH DECEMBER 31, 2007. |
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