We are live on ! Find out more

Latest Stock Portfolios of the World’s Best Investors & Hedge Funds

Name AUM AUM
Growth
AUM
Growth %
Quarter Est. Return 3 Year Est. Return Holdings Portfolio Turnover
NIPH
251
NN Investment Partners Holdings
Netherlands
$13.9B -$248M -2% 0.22% 94.1% 675 14.52%
Betterment LLC
252
Betterment LLC
New York
$13.8B +$1.34B +11% 1.1% 46.3% 94 7.45%
FCM
253
Frontier Capital Management
Massachusetts
$13.7B +$60.1M +0.4% 2.98% 184% 342 15.5%
T
254
Thomaspartners
Massachusetts
$13.7B -$28.7M -0.2% 2.89% 26.1% 78 6.41%
Kayne Anderson Rudnick Investment Management
255
Kayne Anderson Rudnick Investment Management
California
$13.4B +$1.04B +8% 5.03% 50.2% 364 13.74%
TP
256
Third Point
New York
$13.3B -$536M -4% 2.9% 159% 56 50%
TIM
257
Thornburg Investment Management
New Mexico
$13.3B -$1.12B -8% 0.94% 117% 262 19.08%
BGC
258
Beutel, Goodman & Co
Ontario, Canada
$13.2B -$1.49B -10% 6.48% 42.3% 79 18.99%
FPA
259
First Pacific Advisors
California
$13.1B -$243M -2% 1.57% 85.4% 144 20.83%
UCFA
260
United Capital Financial Advisors
Texas
$13.1B +$448M +4% 1.03% 64.4% 1,409 14.41%
BCIM
261
British Columbia Investment Management
British Columbia, Canada
$13.1B -$1.08B -8% 0.26% 109% 692 1.01%
Westfield Capital Management
262
Westfield Capital Management
Massachusetts
$13B -$115M -0.9% 4.34% 195% 278 23.02%
CTA
263
Carillon Tower Advisers
Florida
$12.9B +$3.46B +37% 4.55% 147% 489 46.42%
AA
264
ALPS Advisors
Colorado
$12.6B -$1.88B -13% 8.84% 73.7% 1,050 38%
JIM
265
Jupiter Investment Management
United Kingdom
$12.6B +$1.71B +16% 0.72% 43% 474 47.05%
SG Americas Securities
266
SG Americas Securities
New York
$12.5B +$1.78B +17% 0.11% 159% 3,792 32.23%
Twin Tree Management
267
Twin Tree Management
Texas
$12.5B -$998M -7% 0.37% 175% 1,395 52.4%
Daiwa Securities Group
268
Daiwa Securities Group
Japan
$12.5B -$1.66B -12% 4.65% 99.3% 1,206 19.49%
LCOV
269
London Company of Virginia
Virginia
$12.5B -$1.33B -10% 0.69% 66.9% 142 10.56%
SOMRS
270
State of Michigan Retirement System
Michigan
$12.4B -$256M -2% 0.33% 128% 956 3.45%
VVP
271
Vulcan Value Partners
Alabama
$12.4B +$206M +2% 0.77% 28.6% 60 18.33%
LCM
272
Laurion Capital Management
New York
$12.4B -$7.32B -37% 0.25% 179% 1,926 55.92%
VAM
273
Veritas Asset Management
United Kingdom
$12.4B -$520M -4% 5.46% 32.1% 33 18.18%
WHG
274
Westwood Holdings Group
Texas
$12.3B -$973M -7% 2% 66.4% 458 19%
TG
275
TCW Group
California
$12.3B -$122M -1% 2.81% 162% 403 19.35%