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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
GS
2751
Gagnon Securities
New York
$209M -$9.47M -4% 3.53% 89.9% 94 14.89%
ACS
2752
Archford Capital Strategies
Illinois
$209M -$11M -5% 2.95% 76.2% 855 79.65%
PGA
2753
Portland Global Advisors
Maine
$209M +$23.1M +12% 1.83% 32.8% 108 9.26%
OSNBOA
2754
Old Second National Bank of Aurora
Illinois
$208M +$3.87M +2% 1.8% 89.5% 349 7.16%
AC
2755
Alley Company
Illinois
$208M +$3.33M +2% 2.64% 88.2% 80 6.25%
MFW
2756
Mosaic Family Wealth
Missouri
$208M -$16.4M -7% 0.41% 85.2% 878 15.15%
CPA
2757
Capital Planning Advisors
California
$208M +$36M +21% 2.12% 64.2% 109 15.6%
III
2758
Independent Investors Inc
New York
$207M +$478K +0.2% 1.89% 61.6% 81 8.64%
GIPM
2759
G2 Investment Partners Management
New York
$207M -$116M -36% 8.01% 773% 102 49.02%
PCM
2760
Punch Card Management
Florida
$207M +$17.6M +9% 0.93% 41% 5 40%
CBOR
2761
Community Bank of Raymore
Missouri
$207M +$12.9M +7% 6.56% 68.3% 48 4.17%
BWAM
2762
Boyd Watterson Asset Management
Ohio
$207M -$3.49M -2% 0.64% 82.4% 182 12.09%
FC
2763
FIC Capital
New York
$207M -$19M -8% 1.72% 49.7% 130 19.23%
NI
2764
NFC Investments
Tennessee
$207M +$3.77M +2% 1.05% 41 12.2%
ANRIA
2765
American National Registered Investment Advisor
Texas
$207M +$1.7M +0.8% 2.3% 95.8% 250 4.4%
HCM
2766
Harvey Capital Management
Florida
$206M -$46.9M -19% 4.78% 141% 82 10.98%
FAG
2767
Financial Advisory Group
Texas
$206M -$927K -0.4% 0.53% 20.6% 63 12.7%
CVSCT
2768
C.V. Starr & Co Trust
New York
$206M -$5.59M -3% 0.44% 51.7% 31 6.45%
FFWA
2769
FRG Family Wealth Advisors
Washington
$206M +$975K +0.5% 2.52% 76.4% 123 3.25%
ATC
2770
Argent Trust Co
Tennessee
$206M +$5.33M +3% 2.18% 70.5% 258 18.99%
1SAMC
2771
12th Street Asset Management Company
Tennessee
$206M +$47.6M +30% 7.59% 81.3% 18 27.78%
AGA
2772
Accuvest Global Advisors
Utah
$206M -$24.8M -11% 0.32% 126% 80 32.5%
CAIMH
2773
Central Asset Investments & Management Holdings
Hong Kong
$206M -$17.9M -8% 3.85% 1,376% 68 39.71%
MMG
2774
Monetary Management Group
Missouri
$206M -$3.14M -2% 0.59% 99.8% 339 13.27%
BCP
2775
Blue Chip Partners
Michigan
$206M +$13.6M +7% 3.55% 60.3% 119 8.4%