Fund Portfolio for GMO US Core Equity IV (GMRTX)

  • Style Box Details

    Size
    Average Market Cap $54,555 M
    Market Capitalization Portfolio
    Giant 63.97%
    Large 26.16%
    Medium 9.37%
    Small 0.41%
    Micro 0.09%

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    Style Box Detail calculations do not include the fund´s short positions (if any)

    Investment Valuation

    Stock Portfolio Rel to S&P 500 TR
    Forward P/E 13.94 0.88
    Price/Book 2.53 1.25
    Price/Sales 0.84 0.90
    Price/Cash Flow 7.02 1.17
    Dividend Yield (Forecast) 2.46 0.77
    Stock Portfolio Rel to S&P 500 TR
    Long-Term Earnings 9.41 0.97
    Historical Earnings 4.78 -1.49
    Sales Growth 12.74 1.74
    Cash-Flow Growth 7.50 0.81
    Book-Value Growth 2.49 -1.62
    Data as of 08/31/2009
  • Asset Allocation


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  • Sector Weightings

    Stocks Relative to S&P 500 TR Relative to
    Category Average
    Net Assets
    Information 22.23% 0.94 1.06 22.23%
    Software 8.85% 1.88 2.26 8.85%
    Hardware 8.00% 0.78 0.89 8.00%
    Media 0.83% 0.34 0.29 0.83%
    Telecommunications 4.55% 0.73 0.88 4.55%
    Service 47.54% 1.23 1.20 47.54%
    Healthcare 25.39% 2.13 2.15 25.39%
    Consumer Services 14.71% 1.68 1.71 14.71%
    Business Services 2.20% 0.67 0.57 2.20%
    Financial Services 5.24% 0.36 0.34 5.24%
    Manufacturing 26.77% 0.71 0.79 26.77%
    Consumer Goods 12.33% 1.11 1.28 12.33%
    Industrial Materials 2.82% 0.27 0.27 2.82%
    Energy 10.85% 0.87 1.00 10.85%
    Utilities 0.77% 0.21 0.29 0.77%
    Data as of 08/31/2009
  • International Exposure

    Regional Exposure Assets
    North America 100.00%
    UK/Western Europe 0.00%
    Japan 0.00%
    Latin America 0.00%
    Asia ex-Japan 0.00%
    Other 0.00%
    Not Classified 0.00%
    Country Exposure Assets
    United States 99.73%
    Canada 0.27%
    Bermuda 0.00%
    Data as of 08/31/2009
  • Top 25 Holdings

    Total Number of Stock Holdings (short):
    Total Number of Stock Holdings (long): 301
    Total Number of Bond Holdings (short):
    Total Number of Bond Holdings (long): 0
    Total Number of Other Holdings (short):
    Total Number of Other Holdings (long): 4
    Assets in Top 10 Holdings: 34.94%
    Turnover: 62.00%
    30 Day SEC Yield %
    Summary data as of 05/31/2009
    Holdings Sector P/E Return as of 10/31/2009 Net Assets
    + EXXON MOBIL CORP (XOM) Energy 17.37 -8.58% 5.13%
    - PFIZER INC (PFE) Healthcare 15.34 -1.02% 4.11%
    - MICROSOFT CORP (MSFT) Software 18.97 43.62% 3.88%
    - WAL MART STORES INC (WMT) Consumer Services 15.79 -9.53% 3.82%
    - CHEVRON CORP NEW (CVX) Energy 12.71 6.37% 3.50%
    - JOHNSON & JOHNSON (JNJ) Healthcare 13.73 0.90% 3.41%
    + ORACLE CORP (ORCL) Software 20.08 18.67% 3.34%
    - QUALCOMM INC (QCOM) Telecom 47.36 19.23% 3.15%
    + AMGEN INC (AMGN) Healthcare 10.80 -9.02% 2.86%
    - CISCO SYS INC (CSCO) Hardware 23.86 40.55% 2.66%
    - UNITEDHEALTH GROUP INC (UNH) Healthcare 9.72 1.28% 2.66%
    + Currency United States 2.40%
    * S+p 500 E Mini Index (Fut) 2.30%
    - COCA COLA CO (KO) Consumer Goods 21.18 20.06% 2.13%
    - PEPSICO INC (PEP) Consumer Goods 18.65 12.08% 1.88%
    - PROCTER & GAMBLE CO (PG) Consumer Goods 17.40 -2.46% 1.62%
    + PHILIP MORRIS INTL INC (PM) Consumer Goods 15.82 13.79% 1.61%
    - Wyeth (WYE) Healthcare 36.74% 1.60%
    + ABBOTT LABS (ABT) Healthcare 15.06 -2.59% 1.60%
    + CONOCOPHILLIPS (COP) Energy 13.63 1.66% 1.57%
    + HOME DEPOT INC (HD) Consumer Services 22.82 11.53% 1.45%
    + GOOGLE INC (GOOG) Telecom 37.45 74.64% 1.43%
    + MERCK & CO INC NEW (MRK) Healthcare 9.50 4.64% 1.26%
    - WALGREEN CO (WAG) Consumer Services 19.31 57.29% 1.17%
    + WELLPOINT INC (WLP) Healthcare 11.32 14.95% 1.17%
    + Increase - Decrease = No change * New since last portfolio
    Top 25 holdings account for the fund's short positions (if any). Net short positions appear shaded.
    P/E as of 11/27/2009
    All other data as of 05/31/2009