Past performance is not a guarantee of future results. Composite results reflect the reinvestment of dividends, capital gains and other earnings when appropriate. Net returns are calculated by reducing the gross returns by the highest stated fee in the composite fee schedule. Only transaction costs are deducted from gross of fees returns. Prior to 30 September 2022, actual fees were used in calculating net returns. All net returns were changed retroactively to reflect the highest fee in the composite fee schedule. To view a GIPS Report for all composites, click here.
Calendar Year Returns (%)
Peer Group Quartile Rankings1 As of
30 Jun 2025
Diamond
Hill
Percentile |
27th 25th 58th 82nd
|
"We develop a deep understanding of businesses and invest in them at a discount to intrinsic value to build a carefully curated portfolio."
—Krishna Mohanraj, CFA, Portfolio Manager
Learn more about our philosophy
Statistics
Portfolio Characteristics vs Benchmark2,3
As of
30 Jun 2025
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Portfolio
Portfolio Guidelines
- Typically 35–55 positions
- Maximum sector exposure is 35%
- Maximum single country exposure is 30%
- Maximum emerging market exposure is 40%
Market Capitalization
The portfolio typically invests in companies with a market capitalization of $1 billion or greater.
Top Ten Equity Holdings4
As of
30 Jun 2025
Sector Allocation5 (%) As of
30 Jun 2025
Top Five Countries (%) As of
30 Jun 2025
|
International Composite |
MSCI ACWI ex USA Index |
United Kingdom |
26.1 |
9.2 |
Switzerland |
8.0 |
6.0 |
United States |
6.9 |
0.1 |
Japan |
6.3 |
13.7 |
Canada |
6.2 |
8.1 |
Regional Exposure (%) As of
30 Jun 2025
|
International Composite |
MSCI ACWI ex USA Index |
Europe |
60.4 |
42.4 |
Asia & Pacific |
21.8 |
43.8 |
North America |
13.1 |
8.2 |
Latin America |
3.6 |
2.1 |
Middle East & Africa |
0.0 |
3.5 |
Developed vs Emerging Exposure (%) As of
30 Jun 2025
|
International Composite |
MSCI ACWI ex USA Index |
Developed Markets |
80.9 |
73.2 |
Emerging Markets |
17.9 |
26.8 |
Disclosure
1 Source: eVestment. Ranking within ACWI ex-US All Cap Core Equity universe based on monthly returns gross of fees. Ranking data calculated on 21 Jul 2025 (as of 30 Jun 2025) and is subject to change as additional firms within the category submit data. SJF pays an annual fee to eVestment to access their platform and to use their data, including peer group rankings, in marketing materials. SJF does not pay for the ranking.
2 Source: FactSet. The MSCI ACWI ex USA Index is the benchmark. Upside/Downside Capture: Source: eVestment Analytics based on monthly returns from 1 Jan 2017 – 30 Jun 2025.
3 Data, where applicable, is shown gross of fees and should be viewed in conjunction with the net of fee returns included in this document.
4 Securities referenced may not be representative of all portfolio holdings. The reader should not assume that an investment in the securities was or will be profitable.
5 Cash & Other may include cash, treasurys, money market funds and short duration fixed income funds.
Index data source: MSCI, Inc. See www.silvercrestjefferson.com/disclosures for index definitions, data sources and other definitions.