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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
MHAM
2776
Monroe Hall Asset Management
New York
$215M +$9.14M +4% 3.03% 17 23.53%
AS
2777
AIA (Singapore)
Singapore
$215M +$39.7M +23% 6.86% 15.4% 4 0%
PH
2778
Pinnacle Holdings
Oklahoma
$214M -$17.9M -8% 0.51% 79.6% 235 14.04%
SMC
2779
S. Muoio & Co
New York
$214M +$19.9M +10% 13% 327% 153 58.17%
AG
2780
Algert Global
California
$214M +$33.7M +19% 5.56% 194% 408 46.32%
RB
2781
Rodgers Brothers
Pennsylvania
$214M +$15M +8% 6.57% 108% 173 13.29%
CCB
2782
Cutter & Co Brokerage
Missouri
$214M +$10.3M +5% 4.73% 40.4% 234 12.82%
FSA
2783
Financial Sense Advisors
California
$214M +$69.3M +48% 7.95% 152% 105 43.81%
TAM
2784
Tealwood Asset Management
Minnesota
$213M -$15.9M -7% 4.12% 121% 89 21.35%
ACH
2785
Axis Capital Holdings
$213M +$30.1M +16% 4.96% 67% 4 25%
HP
2786
HealthInvest Partners
Sweden
$212M +$43.4M +26% 3.71% 17 35.29%
GC
2787
Grace Capital
Massachusetts
$212M -$30.6M -13% 4.87% 127% 125 43.2%
MBT
2788
Montecito Bank & Trust
California
$212M +$30.8M +17% 5.44% 182 24.18%
CVSCT
2789
C.V. Starr & Co Trust
New York
$212M -$10.4M -5% 0.36% 51.7% 32 12.5%
VFP
2790
Verus Financial Partners
Virginia
$212M +$24.4M +13% 3.62% 41.6% 49 20.41%
TFM
2791
Trimaran Fund Management
New York
$212M +$31M +17% 17.2% 82.8% 1 0%
TAM
2792
Trust Asset Management
Texas
$211M 1.91% 91.1% 87
JRM
2793
John R. Muse
$211M +$25.9M +14% 14.1% 2 0%
SIRP
2794
Shelter Insurance Retirement Plan
Missouri
$211M +$8.66M +4% 4.86% 60.5% 42 2.38%
I2I
2795
Insight 2811 Inc
Illinois
$211M +$39.1M +23% 1.58% 30.8% 113 15.04%
SGH
2796
Sivik Global Healthcare
Connecticut
$211M +$4.37M +2% 7.49% 53.8% 69 30.43%
SIC
2797
SFE Investment Counsel
California
$211M +$950K +0.5% 4.75% 105% 98 8.16%
MP
2798
Marlowe Partners
New York
$210M +$58.1M +38% 7.13% 16.3% 12 33.33%
NCM
2799
Noesis Capital Mangement
Florida
$210M +$21.4M +11% 5.83% 128% 84 9.52%
MAP
2800
Managed Asset Portfolios
Michigan
$210M +$15.9M +8% 5.42% 99.2% 33 9.09%