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Perkins has focused on building diversified portfolios of what they believe to be high-quality, undervalued stocks with favorable risk/reward characteristics for over 30 years. The seasoned investment team has an average of 15 years of industry experience and has experienced very low turnover. Through rigorous downside analysis conducted prior to the determination of upside potential, the firm has historically balanced outperformance in down markets with participation in up markets. Perkins manages small-, mid- and large-cap value institutional separate accounts as well as mutual funds.
Perkins seeks to outperform their benchmark and peers over a full market cycle by building diversified portfolios of what they believe to be high quality, undervalued stocks with favorable reward to risk characteristics. They believe that rigorous downside analysis conducted prior to determination of upside potential allows them to mitigate losses during difficult markets and perform well in up markets.