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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 Avg Time
Held (Qtrs)
B
7376
BP
United Kingdom
$13.6M -$1.05M -7% 6.97% 20% 2 0% 27
WVP
7377
Worth Venture Partners
New Jersey
$13.5M -$1.55M -10% 6.1% 105% 84 59.52% 2.5
CBFP
7378
Cedar Brook Financial Partners
Ohio
$13.3M -$492M -97% 12.2% 47% 438 93.38% 18.9
FFVM
7379
Founders Fund VII Management
California
$12.9M -$6.56M -34% 33.7% 64.7% 2 0% 14
TM
7380
Tiger Management
New York
$12.7M +$9.65M +314% 4.04% – 1 0% 1
AI
7381
Arena Investors
New York
$12.5M +$5.86M +88% 1.09% – 37 70.27% 3
PA
7382
PPM America
Illinois
$11.3M -$3.65M -24% 4.98% 51.5% 10 40% 8.8
CWM
7383
Consultiva Wealth Management
Puerto Rico
$11M +$304K +3% 0.41% – 24 12.5% 9.2
VH
7384
Vitol Holding
Netherlands
$11M -$957K -8% 8.02% 82.6% 2 0% 9
RJTCONH
7385
Raymond James Trust Company of New Hampshire
New Hampshire
$10.7M +$687K +7% 3.6% – 20 10% 6.6
M
7386
MetLife
New York
$10.4M -$439K -4% 1.72% 53.2% 6 0% 23
PC
7387
Prysm Capital
New Jersey
$10.4M +$1.91M +23% 22.6% 46.6% 1 0% 10
RC
7388
Rithm Capital
New York
$10.3M – – 6.05% – 1 – 0
BGC
7389
Birch Grove Capital
New York
$9.95M -$3.16M -24% 0.03% 2.66% 5 40% 5.3
SCS
7390
Syquant Capital SAS
France
$9.93M -$53.6M -84% 4.39% 176% 10 90% 0.2
QC
7391
QCM Cayman
Texas
$9.27M +$1.84M +25% 2.49% 74% 54 92.59% 0.1
HL
7392
Hernani LP
Jersey
$9.04M -$3.83M -30% 0% 14% 1 0% 4
EV
7393
Eclipse Ventures
California
$8.38M -$387K -4% 4.41% – 1 0% 10
B
7394
Braslyn
Bahamas
$8.35M +$6M +256% 273% – 2 0% 2
DV
7395
DAG Ventures
California
$8.08M +$140K +2% 4.05% – 4 25% 2
MUMSS
7396
Mitsubishi UFJ Morgan Stanley Securities
Japan
$7.89M +$5.1M +183% 5.44% – 35 100% 0
WH
7397
Wolfswood Holdings
New York
$7.87M +$17.6K +0.2% 0.84% 41.6% 4 0% 9.5
CP
7398
Covalent Partners
Massachusetts
$7.47M -$5.59M -43% 3.8% 36.6% 17 47.06% 6.1
AFG
7399
AFS Financial Group
Maryland
$7.47M -$16.3M -69% 4.03% – 21 28.57% 3.8
CMG
7400
Cavalry Management Group
California
$7.24M -$717M -99% 10.5% 59.6% 24 50% 0.6