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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
CAM
3751
Commonfund Asset Management
Connecticut
$2.83M +$875K +45% 1.77% 3 33.33%
LS
3752
Loukas Stephen
$2.63M +$350K +15% 15.4% 1 0%
SMPI
3753
Spark Management Partners II
Massachusetts
$2.6M +$535K +26% 25.9% 1 0%
ACM
3754
Astenbeck Capital Management
Connecticut
$2.4M +$269K +13% 12.7% 12.4% 1 0%
VAM
3755
Vermillion Asset Management
New York
$2.4M -$82.5M -97% 12.7% 10 90%
LBH
3756
Lehman Brothers Holdings
New York
$1.55M -$46.8M -97% 6.92% 7 57.14%
UOC
3757
University of Chicago
Illinois
$1.52M -$14K -0.9% 1.11% 62.3% 1 0%
MUS
3758
Mitsubishi UFJ Securities
Japan
$1.38M 81.1% 2
RCMB
3759
Revelation Capital Management (Bermuda)
Bermuda
$1.14M -$7.29M -86% 17.5% 15 93.33%
NYCB
3760
New York Community Bank
New York
$1.02M -$24K -2% 2.22% 1 0%
GX
3761
Greylock XI
Massachusetts
$648K -$420K -39% 39.3% 1 0%
QDA
3762
Q Domestic Advisors
Texas
$366K -$144K -28% 1.46% 1 0%
NVPV
3763
Norwest Venture Partners VIII
California
$344K -$113M -100% 3.3% 2 50%
VHS
3764
Vitol Holding (Switzerland)
Switzerland
$331K -$89K -21% 21.1% 1 0%
SGEF
3765
STAR-Global Equities Fund
New Jersey
$281K -$446K -61% 6.58% 6 83.33%
WA
3766
Willett Advisors
New York
$273K 5.37% 1