Century Management, Founded in 1974
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805 Las Cimas Pkwy, Suite 430, Austin, TX 78746
Investment Counselors
Managing Portfolios $2 Million and Above
© 2008
Century
Managemen
t
   
Risk
(From September 16, 1974 thru December 31, 2007)
Risk as Measured by Standard Deviation
• CM Value I Composite has 22.61% LESS RISK than the S&P 500
• CM Value I Composite has 34.72% LESS RISK than the Russell 2000
Year by Year CM Value 1 Standard Deviation
 
Positive vs. Negative Years of Total Return for 33.25 Years
 
Years Positive
Years Negative
CM Value I Composite
30
3
The above CM Value I Annual figures are net of fees.

Dow Jones Industrials
S&P 500
NASDAQ
Russell 2000*
Salomon Hi-Grade
Bond Index
27
27
25
21
26
6
6
8
8
7
* Inception - 1979

Source of index returns: FT Interactive Data Corp.

A Look at How Value Has Weathered the Storm

Past performance is no guarantee of future results.

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IMPORTANT PERFORMANCE DISCLOSURES
PLEASE READ

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.

PAST PERFORMANCE OF MARKETS, COMPOSITES, OR ANY INDIVIDUAL SECURITIES MAY NOT BE INDICATIVE OF FUTURE RESULTS
.