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
ACM
651
AEW Capital Management
Massachusetts
$3.29B -$222M -6% 0.91% 37.1% 45 11.11%
SV
652
Starboard Value
New York
$3.29B -$807M -20% 0.57% 56% 22 18.18%
LCM
653
Lakewood Capital Management
New York
$3.28B -$285M -8% 2.84% 45.4% 43 27.91%
ROIC
654
Route One Investment Company
California
$3.26B -$923M -22% 2.6% 80.9% 14 21.43%
IA
655
IndexIQ Advisors
New York
$3.26B -$162M -5% 3.9% 91.6% 621 16.59%
CAN
656
Cetera Advisor Networks
California
$3.25B +$172M +6% 2.88% 28.9% 1,264 14.4%
NCM
657
Nantahala Capital Management
Connecticut
$3.25B +$41.1M +1% 13.3% 341% 100 16%
SIA
658
Sit Investment Associates
Minnesota
$3.24B +$84.8M +3% 3.51% 49.6% 565 12.04%
PCM
659
Palisade Capital Management
New Jersey
$3.24B +$122M +4% 3.63% 70.5% 446 10.54%
CFB
660
Cullen/Frost Bankers
Texas
$3.23B -$21.2M -0.7% 4% 91.1% 1,174 28.36%
CCMT
661
CMT Capital Markets Trading
Germany
$3.22B +$187M +6% 0.96% 107% 140 18.57%
CAM
662
Cresset Asset Management
Illinois
$3.21B +$635M +25% 3.18% 113% 2,133 78.76%
ACB
663
Aristotle Capital Boston
Massachusetts
$3.2B +$204M +7% 5.98% 72.2% 126 3.17%
BCI
664
Brinker Capital Investments
Pennsylvania
$3.2B +$66.3M +2% 1.2% 75.8% 1,006 25.45%
RG
665
Rathbones Group
United Kingdom
$3.19B +$153M +5% 5.36% 79.3% 324 6.17%
DCM
666
Driehaus Capital Management
Illinois
$3.19B +$527M +20% 13.3% 939% 583 54.89%
ASC
667
Atalanta Sosnoff Capital
New York
$3.18B -$20.6M -0.6% 5.69% 206% 105 23.81%
FCM
668
Flinton Capital Management
Pennsylvania
$3.18B +$130M +4% 3.44% 55.6% 907 6.5%
Kovitz Investment Group Partners
669
Kovitz Investment Group Partners
Illinois
$3.17B +$6.8M +0.2% 5.19% 87.5% 370 10.27%
CAM
670
Camden Asset Management
California
$3.16B -$191M -6% 0.62% 15.2% 102 11.76%
KP
671
Kiltearn Partners
United Kingdom
$3.16B -$362M -10% 2.32% 41% 29 10.34%
CG
672
Colony Group
Massachusetts
$3.16B +$770M +32% 3.75% 33.2% 762 20.34%
JAM
673
Jupiter Asset Management
United Kingdom
$3.15B +$64.8M +2% 7.69% 103% 255 23.14%
EMG
674
ETF Managers Group
New Jersey
$3.14B +$1.09B +53% 2.08% 77.7% 685 36.64%
QI
675
QV Investors
Alberta, Canada
$3.14B -$404M -11% 2.54% 66.3% 61 32.79%