Saratoga Large Capitalization Value Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1994 0 -100 -2.8 -0.23 0
1995 11.5 9.85 7.36 3.35 35.58
1996 7.94 2.56 3.3 5.28 21.92
1997 0 13.86 6.98 -0.26 21.49
1998 11.36 0.52 -13.09 8.77 5.81
1999 -0.3 9.97 -9.61 -7.83 -8.65
2000 -2.17 -1 3.63 7.6 8.07
2001 -0.9 3.83 -9.98 -4.48 -12.42
2002 -1.43 -15.76 -19.05 8.63 -28.72
2003 -2.73 15.92 3.2 13.31 31.86
2004 1.34 2.1 -1.24 6.79 9.13
2005 -0.78 0.62 3.58 2.32 5.8
2006 4.74 -1.41 5.97 8.67 18.64
2007 -2.01 5.56 -3.21 -11.55 -9.34
2008 -17.18 -10.13 -14.42 -24.03 -51.61
2009 -3.15 17.77 14.98 4.53 37.09
2010 6.72 -13.5 8.52 14.47 14.68
2011 7.17 0.14 -23.42 14.73 -5.71
2012 11.69 -8.85 9.75 3.35 17.63
2013 10.24 3.43 8.7 12.97 40.5
2014 4.67 8.78 -5.85 4.36 11.88
2015 3.69 -0.94 -13.45 4.86 -6.79
2016 -3.02 -0.25 2.82 9.75 9.16
2017 2.63 1.57 3.51 -0.19 8.59
2018 -6.31 4.31 4.54 -17.06 -17.47
2019 16.84 4.63 0.32 11.86 40.86
2020 -31.88 24.43 4.27 22.22 8.01
2021 -8.28 30.27 -19.3 8.49 4.6
2022 0.15 -11.69 -2.75 -0.59 -14.51
2023 1.7 8.36 -3.94 13.1 19.31
2024 6.67 -4.2 0 0 -7.34