The Large-Cap Portfolio has approximately $2.4 million of assets under management and takes on a similar degree of risk to the S&P 500 with the goal of outperforming the index. The portfolio is invested in 20-25 securities, each with a market capitalization above $10 billion. The time horizon for investment is typically in excess of one year. This longer time horizon is designed to avoid the risks of constant short term buying and selling. The Large-Cap was established in 2007 along with the inception of OSIG.