With a diversified mix of high quality companies, this product intends to provide solid risk-adjusted return for the long-term growth-oriented investor. Our multi-cap strategy allows us to find value in all areas and geographies of the market, incorporating broad diversification and a clear understanding of what we own.

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Large Cap Yield is intended for long-term capital appreciation and delivers meaningful income.  This product generates a higher yield than the Dow Jones Industrial Average, and our holdings are equal-weighted, thereby offering more diversification and balance than the Dow.

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We utilize broad diversification to minimize credit risk and short duration to minimize interest rate risk. This product is intended to be protective of capital while generating meaningful income.

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Sandhill’s balanced portfolios provide a customized mix of the above stock and bond products and are intended to reflect an individual’s risk tolerance.

We believe a company’s value depends on its long-term ability to generate cash, which in turn, can fund growth, stock repurchases and dividends.

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