Overview
Portfolio
Performance
Strategy Facts
Commentary
Portfolio Characteristics as of 3/31/2026
Equity Income
Dividend Yield - Weighted Average (Gross of fees)*3.3%
Number of Securities28
Net Debt to Total Capital - Weighted Average46.5%
ROE - Median 5 Year Average24.7%
Dividend Growth Rate - 3 Year Average**10.4%
Market Capitalization - Median$76 Billlion
Market Capitalization - Weighted Average$197 Billion
Beta***0.90

* Management fees will reduce dividend yield. Please see Performance section for net of fee performance for the strategy.

**The average dividend growth rate for the last 3 years of all companies in the portfolio as of 3/31/2026 with a 3-year track record.

***Trailing 12-month Beta of Equity Only Composite relative to the S&P 500 Index.

 

Top Ten Holdings as of 3/31/2026
Holding
Cummins Inc.
CME Group Inc. Class A
Morgan Stanley
ConocoPhillips
Broadcom Inc.
Holding
Old Republic International Corporation
Public Service Enterprise Group Inc.
AbbVie Inc.
Johnson & Johnson
Lamar Advertising Company Class A
Sector Breakdown* as of 3/31/2026
% of Total
Financials20
Industrials16
Healthcare13
Consumer Discretionary11
Real Estate10
Consumer Staples10
Information Technology7
Energy7
Utilities5
Cash2
Total
100%

*Sector breakdown as defined by Hamlin’s Investment Committee.

Market Cap Exposure as of 3/31/2026
Equity IncomeCompanies
Greater than $100 billion44.511
$50 billion - $100 billion17.75
$10 billion - $50 billion28.18
$5 billion - $10 billion9.74
$0 - $5 billion0.00
Total
100%
28