Brown Capital Management LLC disclosed in a filing on December 31, 2019 that it increased its stake in ANSYS, Inc.
Feb 19, 2020
Institutional Holdings Changes
BCM evaluates the economic and investment environment to identify the most attractive companies for investment and desired market exposure. Their approach is primarily one of fundamental analysis in evaluating securities. Among the individual company factors considered in evaluating securities are past and prospective earnings and dividends, cash flow, return on equity and invested capital, asset value, and debt/equity ratio. Industry factors are also considered as part of the fundamental analysis, including competitive position versus peer groups worldwide, product cycles, barriers to entry, and global supply & demand conditions. Country factors include macroeconomic conditions, along with government, regulatory and cultural influences for international securities. Valuation analysis is utilized for securities to make a judgment whether the security is a superior investment value in both an absolute sense and relative to alternative rates of return in the financial markets on a risk adjusted basis. BCM utilizes financial newspapers, magazines, and periodicals to keep abreast of information of a general nature. The investment strategy employed by the firm generally involves establishing long term positions.
In The News
Feb 25, 2020 - Targeted News Service
Brown Capital Management LLC disclosed in a filing on December 31, 2019 that it reduced its stake in Veeva Systems, Inc.
Feb 20, 2020 - RelSci