Compare Funds | Royce
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At a Glance
As of 09/30/24

PremierRemove

Micro-CapRemove

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Style

Core

Core

Market Cap

Small-Cap

Micro-Cap

Volatility

Low

High

Status

Open to new investors
Invest With Us

Open to new investors
Invest With Us

Why invest?

  • Small-cap core fund that seeks to invest in "premier" small-cap companies, those Royce sees having discernible competitive advantages, high returns on capital, and a sustainable franchise. Small-cap stocks' market caps are less than the largest stock in the Russell 2000® Index.
  • Focuses on leading quality companies, those with low debt, the ability to generate excess cash flow, and attractive prospects that are selling at prices Royce believes do not fully reflect these attributes.
  • Average annual total return of 11.2% since inception (12/31/91) through 9/30/24.
  • One of the oldest open-end funds dedicated to investing in micro-cap stocks, which Royce defines as companies with market caps no higher than that of the largest company in the Russell Microcap® Index.
  • Core approach that combines multiple investment themes and offers wide exposure to micro-cap stocks by investing in companies with strong fundamentals and/or prospects selling at prices that Royce believes do not fully reflect these attributes.
  • Average annual total return of 10.5% since inception (12/31/91) through 9/30/24.

Inception Date

12/31/91
12/31/91

Portfolio Managers

Lauren Romeo, Steven McBoyle, Andrew Palen

Jim Stoeffel, Andrew Palen

Portfolio Diagnostics As of 09/30/24

 

Premier

Micro-Cap

Total Net Assets

1.43B

305.0M

Holdings

51

127

Average Market Cap

5.38B

619.2M

Active Share

97%

89%

2023
Portfolio Turnover

15%

19%

Weighted Average P/E,

25.1x

-

Weighted Average P/B,

2.9x

1.7x

Weighted Average P/S

-

-

Composition As of 09/30/24

 

Premier

Micro-Cap

Morningstar Style Map

The Morningstar Style Map is the Morningstar Style Box™ with the center 75% of fund holdings plotted as the Morningstar Ownership Zone™. The Morningstar Style Box is designed to reveal a fund's investment strategy. The Morningstar Ownership Zone provides detail about a portfolio's investment style by showing the range of stock sizes and styles. The Ownership Zone is derived by plotting each stock in the portfolio within the proprietary Morningstar Style Box. The shaded area represents the center 75% of the Fund's assets while the plot point in the middle represents the weighted average of its holdings. Over time, the shape and location of a fund's ownership zone may vary.

Geographic Breakdown

Sector Breakdowns

Premier

Micro-Cap

Industrials

36.4

26.1

Information Technology

12.5

24.0

Materials

10.6

3.6

Consumer Discretionary

10.6

12.6

Financials

9.7

12.9

Real Estate

9.2

0.5

Health Care

6.3

9.8

Consumer Staples

1.9

0.7

Communication Services

1.3

5.0

Energy

-

3.8

Utilities

-

-

Cash and Cash Equivalents

1.5

1.0

Portfolio Overlap

Premier

Micro-Cap

Premier

-

2%

Micro-Cap

2%

-

Greatest Portfolio Overlap - U.S. Equity Funds

Small-CapDividend ValueSmall-Cap Total Return Capital Micro-CapSmall-Cap OpportunitySmall-Cap

Least Portfolio Overlap - U.S. Equity Funds

Micro-CapCapital Micro-CapCapital Small-Cap PremierSmall-Cap Special EquitySmall-Cap Total Return

Risk As of 09/30/24

 

Premier

Micro-Cap

Five-Year Up/Down Capture Ratio

93   91

101   80

Beta

N/A

N/A

Standard Deviation

20.75

23.84

Sharpe Ratio

0.21

0.05

Volatility

Performance As of 09/30/24

Cumulative Returns

Cumulative Performance since fund start date of to quarter-end 09/30/24

Average Annual Total Returns (%) , Annual Operating
Expenses (%)
FUND NAME TICKER QTR YTD 1 YR 3 YR 5 YR 10 YR SINCE
INCEPT.
DATE GROSS NET
Premier RYPRX 5.41 6.51 19.90 6.31 9.21 9.07 11.19 12/31/91 1.19 1.19
Russell 2000 Index - 9.27 11.17 26.76 1.84 9.39 8.78 - - - -
Micro-Cap RYOTX 5.23 8.00 21.71 2.27 12.91 7.56 10.46 12/31/91 1.25 1.24
Russell Microcap Index - 8.29 7.38 24.63 -3.74 8.45 7.29 - - - -
Russell 2000 Index - 9.27 11.17 26.76 1.84 9.39 8.78 - - - -
Average Annual Total Returns (%) , Annual Operating
Expenses (%)
FUND NAME TICKER YTD 1 YR 3 YR 5 YR 10 YR SINCE
INCEPT.
DATE GROSS NET
Average Annual Total Returns (%) , Annual Operating
Expenses (%)
FUND NAME TICKER QTD 1 YR 3 YR 5 YR 10 YR SINCE
INCEPT.
DATE GROSS NET

Important Disclosure Information for Open-End Funds and Annuity Portfolios

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