Saratoga Large Capitalization Value Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1998 0 -100 -100 0 0
1999 -1.22 9.77 -9.85 -8.07 -10.14
2000 -2.34 -1.28 3.45 7.32 7.09
2001 -1.12 3.59 -10.19 -4.42 -12.98
2002 -1.7 -15.98 -19.3 8.36 -29.49
2003 -2.99 15.57 3.03 13 30.54
2004 1.02 1.89 -1.48 6.52 8.01
2005 -1.06 0.42 3.32 2.18 4.89
2006 4.43 -1.61 5.68 8.42 17.43
2007 -2.25 5.35 -3.46 -11.77 -10.25
2008 -17.36 -10.35 -14.64 -24.32 -52.14
2009 -3.32 17.47 14.75 4.18 35.77
2010 6.56 -13.79 8.32 14.17 13.61
2011 6.98 -0.16 -23.57 14.36 -6.64
2012 11.45 -9.03 9.53 3.11 16.44
2013 10.07 3.19 8.43 12.65 39.1
2014 4.5 8.46 -6.09 4.18 10.89
2015 3.5 -1.24 -13.63 4.55 -7.7
2016 -3.26 -0.47 2.55 9.44 8.06
2017 2.43 1.29 3.26 -0.49 7.52
2018 -6.53 4.07 4.31 -17.32 -18.3
2019 16.63 4.43 0.12 11.57 39.52
2020 -32.09 24.16 3.98 21.9 6.86
2021 13.13 5.12 -24.9 8.29 -3.28
2022 -0.1 -11.89 -3.01 -4.21 -18.22
2023 1.47 8.06 -4.12 12.42 17.7
2024 6.43 -5.1 0 0 -14.94