Arthur Norton discusses Araglan Capital Management. Mr. Norton manages other people’s assets with a large-cap equity portfolio. He is oriented toward income and total return, and uses the S&P 500 as his benchmark. Mr. Norton follows nine of the 10 sectors of the index, but energy is the only sector he aims to have close to the benchmark. His portfolio is diversified and currently holds 57 companies. With his clients seeking to enhance and improve their assets, Mr. Norton’s goal is to invest in stocks that perform for his clients.
Full interview available here.
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