OWTEX
Old Westbury Total Equity Fund
Old Westbury Funds Inc
Expense ratio1
0.99%
Net assets2
$1.10B
Holdings2
482
Category
US Equity
Return

Investment objective & strategy

As of Feb. 27, 2026 · prospectus

Objective. The Funds goal is to seek long-term capital appreciation.

Strategy. The Fund pursues its investment goal by investing in a diversified portfolio of equity and equity-related securities of any market capitalization. Equity and equity-related securities include, without limitation, common stocks and derivatives that provide investment exposure to equity securities. The Fund has no restrictions as to the size of the companies in which it invests. The Fund may focus its investments in any market capitalization range, and may change the allocation of its investments at any time. Under normal circumstances, the Fund invests at least 80% of its net assets, including any borrowings for investment purposes, in equity securities. Equity securities are common stocks, preferred securities, warrants, rights, convertible securities and depositary receipts. The Fund invests in a portfolio of … The Fund pursues its investment goal by investing in a diversified portfolio of equity and equity-related securities of any market capitalization. Equity and equity-related securities include, without limitation, common stocks and derivatives that provide investment exposure to equity securities. The Fund has no restrictions as to the size of the companies in which it invests. The Fund may focus its investments in any market capitalization range, and may change the allocation of its investments at any time. Under normal circumstances, the Fund invests at least 80% of its net assets, including any borrowings for investment purposes, in equity securities. Equity securities are common stocks, preferred securities, warrants, rights, convertible securities and depositary receipts. The Fund invests in a portfolio of securities the Adviser or the applicable sub-adviser believes has the potential for long-term capital appreciation. The Fund invests primarily in securities listed on securities exchanges or actively traded in over-the-counter markets. The securities may be listed or traded in the form of American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs), or other types of depositary receipts (including non-voting depositary receipts) or dual listed securities. Securities in which the Fund may invest may be issued by issuers, in any sector, located in developed, emerging market or developing market countries. The Fund also may invest in other investment companies, including exchange-traded funds (ETFs), and a variety of derivatives, including futures, options and other derivative instruments, to seek to increase or seek to hedge, or protect, its exposure to, for example, currency value fluctuation or movements in the securities markets. The Fund employs multiple investment strategies which the Adviser believes are complementary. The Funds portfolio is constructed by combining the investment styles and strategies of the Adviser and sub-advisers that have been engaged by the Fund and the Adviser. The Fund may employ a quantitative strategy. Under a quantitative strategy, the Fund may invest in U.S. and non-U.S. equity securities with a minimum market capitalization of $250 million. The Adviser makes the day-to-day investment decisions for portions of the Funds portfolio. In addition, each sub-adviser manages its allocated portion of the Funds portfolio by providing a model portfolio to the Adviser on an ongoing basis. The model portfolio of each sub-adviser represents such sub-advisers recommendation as to the securities to be purchased, sold or retained by the Fund and the recommended weightings of such securities. The Adviser then implements the investment recommendations of the sub-advisers and constructs a portfolio for the Fund that represents the aggregation of the Advisers portions of the Funds portfolio and the model portfolios of the sub-advisers, with the weighting of each sub-advisers model in the total portfolio determined by the Adviser. Each sub-adviser will use its research and securities selection processes in constructing its model portfolio. The Adviser will generally invest in the component securities of the model portfolio provided by the sub-adviser and will generally invest in such securities in the same proportion as the model portfolio, which model portfolio is subject to change from time to time. However, the Adviser, in its discretion, may vary from the model portfolios under certain circumstances, such as when the Adviser believes that the securities or weightings are not appropriate for seeking to achieve the Funds investment objective (also referred to as investment goal), for tax or risk management purposes, based on overall portfolio characteristics, limitations (regulatory or otherwise) or other factors or to seek trading cost efficiencies, portfolio rebalancing or other portfolio construction objectives. The Adviser may adjust the weighting of Fund assets allocated to each sub-advisers model at any time.

Top holdings

As of Jan. 31, 2026 · N-PORT
SecurityTickerValue% of fund
NVIDIA CORP $58.03M 5.28%
ALPHABET INC CL C $46.03M 4.19%
APPLE INC $36.62M 3.33%
MICROSOFT CORP $34.74M 3.16%
AMAZON.COM INC $31.31M 2.85%
Federated U.S. Treasury Cash Reserves UTPXX $24.88M 2.27%
META PLATFORMS INC CL A $22.43M 2.04%
BROADCOM INC $22.32M 2.03%
JPMORGAN CHASE and CO $16.57M 1.51%
ASML Holding NV $14.34M 1.31%
View all holdings →

Allocation by sector

As of January 31, 2026 · N-PORT
View portfolio breakdown →

Portfolio moves

Oct 31, 2025 → Jan 31, 2026
Opened
58
Exited
58
Increased
364
Decreased
55
Unchanged
5

How many positions this fund opened, exited, grew, trimmed, or left unchanged between its two most recent N-PORT snapshots — net changes between point-in-time reports, not a trade log.

View portfolio moves →

Similar funds

Funds whose portfolios most overlap this one, by weight

Advisers

As of October 31, 2025 · N-CEN
FirmRole
Sands Capital Management, LLC Sub-adviser
Aikya Investment Management Sub-adviser
Bessemer Investment Management LLC Adviser
Polunin Capital Partners Limited Sub-adviser

Footnotes

  1. Expense ratio as of February 27, 2026, from the fund's prospectus.
  2. Net assets and holdings count as of January 31, 2026, from the fund's N-PORT filing.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.