3 > Fifty Fifty

U.S. Systematic Equity Fund – I Series (USYSF-I)

USYSF-I seeks to attain long-term capital appreciation by investing in a systematically managed diversified portfolio primarily composed of U.S. domiciled publicly owned companies and U.S. equity index futures.

Objective and Strategy

USYSF-I seeks to attain long-term capital appreciation by investing in a systematically managed diversified portfolio primarily composed of U.S. domiciled publicly owned companies and U.S. equity index futures.

4 > Text Panel

Fund risk classifications are based on an internal methodology that considers expected market volatility, derived from Wespath’s annually reviewed capital market assumptions, and active risk, measured by tracking error targets as defined in each fund’s investment policy. These inputs are used to group funds into broad, relative risk categories for comparison purposes only. Classifications are not indicative of absolute risk, are not predictive of future performance, do not guarantee outcomes, and may change over time.

5 > Fund Overview

Fund Snapshot

Items Fund Snapshot
Inception
Expense Ratio
Fund Assets
I Series Price History
Investment Funds Description - I Series
Fund Snapshot Data
Inception March 1, 2026
Expense Ratio
Fund Assets $417 Million as of June 30, 2026
I Series Price History I Series Price History
Investment Funds Description - I Series Investment Funds Description - I Series
Frank Holsteen

Frank Holsteen

Managing Director, Investment Management

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Hoa Quach, CFA

Hoa Quach, CFA

Director, Public Markets

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Andrew Steedman, CFA

Andrew Steedman, CFA

Associate, Public Equities

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The above individuals are responsible for the selection and monitoring of external investment manager(s).

6 > Tables/Charts Panel

USYSF-I Allocations and Characteristics

Asset Class Allocations

Market Cap Allocations

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Sector Allocations

Country Allocations

8 > Tables/Charts Panel

Fundamental Characteristics

9 > Tables/Charts Panel

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Performance

The performance shown is for the stated time period only and computed in U.S. Dollars (USD). Historical returns are not indicative of future performance. Investment performance is presented net of fees.

Benchmark descriptions can be found here. The investments of the funds and composites may vary substantially from those in the applicable benchmark. The benchmarks are based on broad-based securities market indices, which are unmanaged, cannot be invested in and are not subject to fees and expenses typically associated with investment funds. Please refer to the Investment Funds Description – I Series for more information about each Fund. This information is for informational purposes only and is not an offer to purchase securities. The information presented above was produced using data from sources believed to be reliable; however, neither Wespath (nor any of its affiliated entities) guarantees the accuracy, adequacy or completeness of such information. The investment funds are neither insured nor guaranteed by the government.