Although the current bull market is one of the longest on record, most active managers have underperformed. But not Oppenheimer Main Street Fund®, which looks to outperform the S&P 500 Index in most market environments by deploying the following strategies:

1. Limiting relative exposures to macroeconomic factors that can impact returns – such as interest rates, commodity prices and currency moves.
2. Identifying companies with sustainable competitive advantages.
3. Placing equal emphasis on upside potential and downside risks.

By employing a consistent and disciplined investment approach, our team has historically delivered attractive long-term, risk-adjusted returns.

We believe the most prudent path forward for investors is to remain invested, while the OppenheimerFunds Investment Team seeks to mitigate the impact of the inevitable market downturn.

Explore more on why now is the time to stay actively invested.

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