A maker of pressure-control equipment for oil and gas production supplied lots of power for the portfolio that Calvin H. Baker chose in March of 2007. But while Cameron International Corp. rose 48% for Baker, a managing director and senior portfolio manager at Baltimore-based Brown Capital Management Inc. (No. 5 on the BE ASSET MANAGERS list with $2.71 billion in assets under management), it could not keep the overall portfolio in the black.
His four stock picks slipped 6.8%, just ahead of the performance of the S&P 500 index. But Baker, whose firm chooses stocks based on a 3- to 5-year investment horizon, maintains that all of them are keepers.
With a stock split on Dec. 31 and recently trading in the $42 range, Cameron could hit
$50 to $55 within a year and a half, he maintains. Shares of Abbott Laboratories were basically flat, but an expanding array of uses for its arthritis drug Humira should help lift its price to $63 within 18 months, Baker says. “The market just keeps expanding, and the drug is turning out to be a huge success.”But what about insurer American International
Group and handbag-and-accessory retailer Coach Inc., which fell a dizzying 40% and 42%, respectively? Hold on to them, Baker advises. AIG w as hurt by exposure to bad mortgage debt, but the main insurance business is sound, and the company has plenty of capital. Within 18 months, AIG could move from a recent close in the $40s to $55, Baker predicts.Coach has been hurt as consumers have increasingly kept their purses shut. But its depth of products and overseas penetration-especially in Asia-should add up to 20% annual growth over the next several years. It could climb about $4 a share to $35 or more within 18 months, Baker believes.
CALVIN BAKER
 | Price | Price | Total |
Company (Ticker) | 3/7/07 | 3/14/08 | Return* |
Abbott Laboratories (ABT) | $51.48 | $51.38 | -0.2% |
American International Group (AIG) | 68.39 | 41.18 | -39.8 |
Cameron International Corp. (CAM) | 28.88 | 42.73 | 48.0 |
Coach Inc. (COH) | 48.22 | 28.03 | -41.9 |
Total Portfolio | Â | Â | -6.8 |
S&P 500 | 1,391.97 | 1,288.14 | -7.5 |
Current Value of $4,000 Investment: $3,661.06
*REFLECTS STOCK SPLITS AND DIVIDENDS SOURCE: YAHOO FINANCE