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Latest Stock Portfolios of the World’s Best Investors & Hedge Funds
Mega AUM
Over $200B
Large AUM
$10B to $200B
Mid AUM
$2B to $10B
Small AUM
$250M to $2B
Micro AUM
Under $250M
Less than 10%
Less than 20%
Less than 40%
Less than 60%
Less than 80%
10
50
100
250
500
1,000
2,500
5,000
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50
100
250
500
1,000
2,500
5,000
| # | Name | AUM |
AUM Growth |
AUM Growth % | Quarter Est. Return | 3 Year Est. Return | Holdings | Portfolio Turnover | |
|---|---|---|---|---|---|---|---|---|---|
| 301 |
301
Sands Capital Management
Arlington,
Virginia
| $26.9B | +$1.44B | +6% | 38% | 179% | 80 | 27.5% |
|
| 302 |
LP
302
LMR Partners
London,
United Kingdom
| $26.8B | -$18.6B | -41% | 23.1% | 229% | 1,913 | 48.2% |
|
| 303 |
RCMU
303
Rokos Capital Management (UK)
London,
United Kingdom
| $26.8B | +$13.6B | +103% | 33.1% | 227% | 270 | 63.33% |
|
| 304 |
SC
304
Scotia Capital
Toronto,
Ontario, Canada
| $26.8B | +$2.43B | +10% | 15.3% | 83.1% | 994 | 15.9% |
|
| 305 |
SO
305
STRS Ohio
Columbus,
Ohio
| $26.7B | +$1.48B | +6% | 26.2% | 133% | 2,377 | 20.28% |
|
| 306 |
MCM
306
MAI Capital Management
Independence,
Ohio
| $26.6B | +$8.88B | +50% | 13.2% | 74.7% | 5,113 | 59.12% |
|
| 307 |
SAM
307
SEB Asset Management
Stockholm,
| $26.6B | +$3.16B | +14% | 27.8% | – | 740 | 13.51% |
|
| 308 |
EWA
308
EP Wealth Advisors
Torrance,
California
| $26.2B | +$5.83B | +29% | 14.7% | – | 1,906 | 31.64% |
|
| 309 |
AM
309
AGF Management
Toronto,
Ontario, Canada
| $25.8B | +$3.46B | +15% | 28.9% | 167% | 748 | 26.07% |
|
| 310 |
MMH
310
Menora Mivtachim Holdings
Ramat Gan,
Israel
| $25.6B | +$4.5B | +21% | 24.5% | 140% | 184 | 19.57% |
|
| 311 |
JG
311
Jain Global
New York
| $25.4B | +$1.24B | +5% | 20.9% | – | 2,158 | 67.15% |
|
| 312 |
TWC
312
The Woodbridge Company
Toronto,
Ontario, Canada
| $25.2B | -$2.56B | -9% | 9.56% | – | 48 | 4.17% |
|
| 313 |
N
313
Natixis
Paris,
France
| $24.8B | -$3.12B | -11% | 24.3% | 126% | 1,405 | 40.85% |
|
| 314 |
314
Luther King Capital Management (LKCM)
Fort Worth,
Texas
| $24.4B | +$1.28B | +6% | 11.5% | 74.8% | 634 | 8.04% |
|
| 315 |
BA
315
Bridgewater Associates
Westport,
Connecticut
| $24.4B | +$1.97B | +9% | 21.6% | 116% | 1,206 | 34.99% |
|
| 316 |
P
316
&Partners
Nashville,
Tennessee
| $24.4B | +$4.13B | +20% | 16% | 78.4% | 2,595 | 11.02% |
|
| 317 |
SLAM
317
Swiss Life Asset Management
Zurich,
| $24.1B | +$3.73B | +18% | 23.5% | 124% | 1,762 | 19.75% |
|
| 318 |
318
Tiger Global Management
New York
| $24B | +$1.14B | +5% | 34.6% | 218% | 63 | 41.27% |
|
| 319 |
ATO
319
Alecta Tjanstepension Omsesidigt
Stockholm,
Sweden
| $23.8B | +$3.25B | +16% | 26.1% | 103% | 92 | 16.3% |
|
| 320 |
NAM
320
Nissay Asset Management
Tokyo,
Japan
| $23.7B | +$4.8B | +25% | 32% | 129% | 720 | 12.08% |
|
| 321 |
MG
321
Marex Group
London,
| $23.6B | +$7.75B | +49% | 50.3% | 254% | 1,394 | 47.63% |
|
| 322 |
AF
322
Allworth Financial
Folsom,
California
| $23.6B | -$1.11B | -4% | 12.8% | 53.3% | 5,476 | 11.3% |
|
| 323 |
323
Voloridge Investment Management
Jupiter,
Florida
| $23.5B | -$1.45B | -6% | 18% | 104% | 1,140 | 45.7% |
|
| 324 |
DSA
324
Davis Selected Advisers
Tucson,
Arizona
| $23.3B | +$1.51B | +7% | 12% | 93.1% | 114 | 3.51% |
|
| 325 |
325
Macquarie Group
Sydney, NSW 2000,
Australia
| $23.2B | +$6.38B | +38% | 23.8% | 109% | 969 | 20.23% |
|