The objective of the GS+A Value Portfolio is to achieve
positive returns while protecting capital through investment in
well-managed Canadian issuers.
With this portfolio, we seek investment opportunities in companies that
are generally under followed, have strong track records and solid
management.
Typically, this portfolio carries
a lower P/E multiple than the S+P / TSX. Investee issuers typically exist
at attractive valuations on either a cash
flow or net asset value basis.