The Motley Fool Great America Fund seeks excellent companies at value prices.
We look for well-managed companies that boast strong financial positions and operate in industries that our management team truly understands. We will invest at least 80 percent of the Fund's net assets in securities issued by United States companies. Performing rigorous, fundamental analysis, we dissect each company's strategy, competitive position, operations, and performance, and we review all pertinent public documents and official communications about the company.
Although we will invest with an intention to hold for the long term, we will also insist on keeping a solid margin of safety on all Fund holdings. As a result, we will sell any holding that we believe has exceeded its intrinsic value.