SOURCE: ALPS Advisors, Inc.

ALPS Advisors, Inc.

April 15, 2016 10:10 ET

Liberty All-Star® Growth Fund, Inc. March 2016 Update

BOSTON, MA--(Marketwired - Apr 15, 2016) -  Below is the March 2016 Monthly Update for the Liberty All-Star® Growth Fund, Inc. (NYSE: ASG)

Liberty All-Star Growth Fund Monthly Update
  Ticker: ASG March, 2016
Investment Approach  
Fund Style: All-Cap Growth
Fund Strategy: Combines three growth style investment managers, each with a distinct capitalization focus (small-, mid- and large-cap)selected and continuously monitored by the Fund's Investment Advisor.
Investment Managers:
  Weatherbie Capital, LLC
Small-Cap Growth TCW Investment Management Company
Mid-Cap Growth
Sustainable Growth Advisers, LP
Large-Cap Growth
Top 20 Holdings at Month-End    
    (31.1% of equity portfolio)    
    (Rank from previous month)    
1   Middleby Corp. (1)   2.2%
2   The Ultimate Software Group, Inc. (5)   1.7%
3   Cerner Corp. (4)   1.7%
4   Paylocity Holding Corp. (6)   1.7%
5   HEICO Corp. (18)   1.6%
6   Waste Connections, Inc. (3)   1.6%
7   ARM Holdings PLC (7)   1.6%
8   BofI Holding, Inc. (12)   1.6%
9   Visa, Inc., Class A (8)   1.6%
10   Wayfair, Inc., Class A (13)   1.6%
11   Signature Bank (9)   1.5%
12   Red Hat, Inc. (31)   1.5%
13   Equinix, Inc. (17)   1.4%
14   Lowe's Cos., Inc. (21)   1.4%
15   FirstService Corp. (10)   1.4%
16   Ecolab, Inc. (19)   1.4%
17   NIKE, Inc., Class B (11)   1.4%
18   The Hain Celestial Group, Inc. (24)   1.4%
19   The Priceline Group, Inc. (15)   1.4%
20   Mondelez International, Inc., Class A (14)   1.4%
    Holdings are subject to change.    
Monthly Performance    
Performance   NAV Market Price Discount
  Beginning of month value   $4.28 $3.80 11.3%
  Distributions   - -  
  End of month value   $4.55 $4.05 11.0%
  Performance for month   6.31% 6.58%  
  Performance year-to-date   -6.98% -9.79%  
The net asset value (NAV) of a closed-end fund is the market value of the underlying investments (i.e., stocks and bonds) in the Fund's portfolio, minus liabilities, divided by the total number of Fund shares outstanding. However, the Fund also has a market price; the value at which it trades on an exchange. If the market price is above the NAV the Fund is trading at a premium. If the market price is below the NAV the Fund is trading at a discount.
Performance returns for the Fund are total returns, which inlcudes dividends, and are net of management fees and other Fund expenses. Returns are calculated assuming that a shareholder reinvested all distributions. Past performance cannot predict future investment results.
Performance will fluctuate with changes in market conditions. Current performance may be lower or higher than the performance data shown. Performance information shown does not reflect the deduction of taxes that shareholders would pay on Fund distributions or the sale of Fund shares. Shareholders must be willing to tolerate significant fluctuations in the value of their investment. An investment in the Fund involves risk, including loss of principal.
Sources of distributions to shareholders may include ordinary dividends, long-term capital gains and return of capital. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during its fiscal year and may be subject to changes based on tax regulations. If a distribution includes anything other than net investment income, the fund provides a Section 19(a) notice of the best estimate of its distribution sources at that time, available at These estimates may not match the final tax characterization (for the full year's distributions) contained in shareholders' 1099-DIV forms after the end of the year.
Net Assets at Month-End ($millions)    
  Total   $117.2
  Equities   $115.2
Sector Breakdown (% of equity portfolio)*    
  Information Technology   24.5%
  Consumer Discretionary   19.5%
  Health Care   15.4%
  Industrials   14.0%
  Financials   11.9%
  Consumer Staples   9.2%
  Energy   2.7%
  Materials   2.4%
  Telecommunication Services   0.4%
Total Market Value   100.0%
*Based on Standard & Poor's and MSCI Barra Global Industry Classification Standard (GICS).    
New Holdings   Holdings Liquidated
Horizon Pharma PLC   Atlassian Corp. PLC, Class A
M/A-COM Technology Solutions Holdings, Inc.   The Fresh Market. Inc.
Valeant Pharmaceuticals International, Inc.   Teladoc, Inc.
    Varonis Systems, Inc.

Contact Information

  • Liberty All-Star Growth Fund