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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
RL
726
Ruffer LLP
United Kingdom
$2.4B +$116M +5% 7.19% 106% 100 21%
ECP
727
Empyrean Capital Partners
California
$2.39B -$314M -12% 2.22% 104% 109 54.13%
ZP
728
Zimmer Partners
New York
$2.39B +$1.06B +79% 5.77% 57.2% 100 51%
CIC
729
Crawford Investment Counsel
Georgia
$2.38B +$116M +5% 4.26% 44.3% 264 14.39%
MFS
730
MSI Financial Services
Massachusetts
$2.38B +$181M +8% 2.03% 19.4% 4,364 11.25%
CI
731
Conning Inc
Connecticut
$2.38B +$43.8M +2% 3.24% 45.1% 582 10.48%
KP
732
Kiltearn Partners
United Kingdom
$2.37B +$322M +16% 2.97% 34.5% 23 0%
SLAM
733
Swiss Life Asset Management
$2.37B +$120M +5% 2.61% 96.2% 417 42.45%
PAMP
734
Polar Asset Management Partners
Ontario, Canada
$2.36B +$442M +23% 1.5% 92.3% 329 50.15%
VCP
735
Valtura Capital Partners
New York
$2.36B +$550M +30% 12.5% 89 76.4%
HCM
736
Highline Capital Management
New York
$2.36B +$244M +12% 0.11% 198% 36 47.22%
FWCM
737
Ferguson Wellman Capital Management
Oregon
$2.35B -$78M -3% 1.51% 104% 346 12.72%
TCM
738
Tekla Capital Management
Massachusetts
$2.35B -$406M -15% 13.2% 62.5% 145 11.03%
GG
739
Gofen & Glossberg
Illinois
$2.35B +$43M +2% 1.1% 36.4% 490 10.41%
DM
740
Deerfield Management
New York
$2.35B -$119M -5% 10.7% 274% 125 28%
UB
741
UMB Bank
Missouri
$2.35B +$49.2M +2% 3.3% 80.4% 369 11.11%
EPFB
742
Employees Provident Fund Board
Malaysia
$2.34B -$583M -20% 0.53% 81.7% 46 26.09%
CGM
743
Capital Growth Management
Massachusetts
$2.34B -$643M -22% 1.33% 422% 76 63.16%
BCI
744
Brinker Capital Investments
Pennsylvania
$2.33B +$22.6M +1% 1.21% 58.9% 795 52.58%
BCM
745
Becker Capital Management
Oregon
$2.32B +$40.8M +2% 1.52% 71.5% 145 16.55%
SGI
746
Swan Global Investments
Colorado
$2.32B +$85.2M +4% 2.28% 53.9% 30 36.67%
SCM
747
Smead Capital Management
Arizona
$2.32B +$73.3M +3% 2.56% 65% 27 0%
CIA
748
ClearBridge Investments (Australia)
Australia
$2.31B -$222M -9% 6.47% 27.2% 22 13.64%
AIA
749
Avalon Investment & Advisory
Texas
$2.31B -$13.5M -0.6% 3.53% 93.5% 303 32.67%
NSLI
750
Nan Shan Life Insurance
Taiwan
$2.3B +$554M +32% 1% 15.5% 74 31.08%