Benchmark Agnostic

Parabla manages its active strategies in a benchmark agnostic manner, meaning that it is not seeking to track a particular index.

Despite this, Parabla may illustrate the performance of its portfolios relative to broad market indices, including the S&P 500 Index, Russell 3000 Growth Index, and the MSCI World Index. Many of Parabla’s portfolio holdings are part of broad-based indices. Of the names in Parabla’s portfolio that are not part of broad-based indices, Parabla believes those companies will likely be included in such indices in the future.