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
CIP
251
Champlain Investment Partners
Vermont
$22.1B +$1.21B +6% 7.15% 32.7% 151 8.61%
UCFA
252
United Capital Financial Advisors
Texas
$21.7B +$1.71B +9% 7.66% 50.9% 1,277 12.45%
PCA
253
Personal Capital Advisors
California
$21.7B +$1.8B +9% 5.2% 17.6% 567 15.52%
DSA
254
Davis Selected Advisers
Arizona
$21.5B -$114M -0.5% 3.01% 95% 123 4.88%
JFL
255
Jarislowsky, Fraser Ltd
Quebec, Canada
$21.5B +$928M +5% 8.66% 92.6% 232 11.21%
ECU
256
Egerton Capital (UK)
United Kingdom
$21.4B +$403M +2% 9.98% 137% 38 26.32%
Rockefeller Capital Management
257
Rockefeller Capital Management
New York
$21.4B +$2.4B +13% 8.69% 83.5% 4,165 14.02%
BPA
258
BC Partners Advisors
New York
$21.4B -$2.41B -10% 10.5% 25.6% 5 20%
SLG
259
Silver Lake Group
California
$21.2B +$4.95B +30% 1.02% 57.4% 25 32%
GT
260
Glenmede Trust
Pennsylvania
$21.1B +$1.75B +9% 10.9% 1,405 12.24%
CCMT
261
CMT Capital Markets Trading
Germany
$20.8B +$4.37B +27% 5.74% 72.8% 354 18.08%
Grantham, Mayo, Van Otterloo & Co (GMO)
262
Grantham, Mayo, Van Otterloo & Co (GMO)
Massachusetts
$20.8B +$603M +3% 9.37% 71.2% 770 24.68%
Zurich Cantonal Bank
263
Zurich Cantonal Bank
Switzerland
$20.7B +$2.18B +12% 11.4% 97.9% 2,993 8.69%
BBA
264
Baker Bros. Advisors
New York
$20.6B -$2.22B -10% 6.18% 337% 126 7.94%
MCM
265
Melvin Capital Management
New York
$20.5B +$817M +4% 8.56% 156% 107 48.6%
Connor, Clark & Lunn Investment Management (CC&L)
266
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$20.5B +$1.31B +7% 9.13% 133% 1,270 36.22%
Handelsbanken Fonder
267
Handelsbanken Fonder
Sweden
$20.3B +$1.22B +6% 9.64% 138% 1,796 10.08%
PI
268
PGGM Investments
Netherlands
$20.1B +$706M +4% 15.2% 53.1% 396 15.15%
SUT
269
SC US (TTGP)
California
$20.1B +$2.16B +12% 7.63% 96% 20 35%
FCM
270
Farallon Capital Management
California
$20B -$1.4B -7% 7.53% 148% 342 24.85%
NIPH
271
NN Investment Partners Holdings
Netherlands
$20B +$1.88B +10% 11.9% 94.1% 881 21.45%
AIG
272
American International Group
New York
$20B +$1.24B +7% 10.5% 19.1% 3,189 3.64%
LCOV
273
London Company of Virginia
Virginia
$19.8B +$1.62B +9% 12% 53.5% 167 4.79%
Nomura Asset Management
274
Nomura Asset Management
Japan
$19.8B +$2.08B +12% 11.5% 105% 1,065 12.77%
EIP
275
Epoch Investment Partners
New York
$19.7B +$1.68B +9% 9.59% 77.9% 370 12.97%