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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
CL
8701
Cabana LLC
Arkansas
$13.3M +$528K +4% 11.3% 58.3% 12 8.33%
M
8702
MetLife
New York
$13.1M +$753K +6% 6.01% 53.2% 6 0%
MFG
8703
Mizuho Financial Group
Japan
$11.8M 2.01% 14
BS
8704
BCI Securities
Florida
$11.6M +$1.46M +14% 15.1% 18 11.11%
T
8705
Transce3nd
Texas
$11.3M +$72.2K +0.6% 10.4% 174 4.02%
DP
8706
Declaration Partners
New York
$11.3M -$10.5M -48% 106% 1 0%
PSFG
8707
Park Square Financial Group
Georgia
$11.1M -$2.09M -16% 7.56% 269 30.86%
WFA
8708
Wells Financial Advisors
Massachusetts
$10.8M -$11.2M -51% 9.84% 54% 55 25.45%
SCI
8709
SkyBridge Capital II
New York
$10.4M -$2.72M -21% 27% 5 40%
WA
8710
Wilshire Advisors
California
$10.3M +$371K +4% 8.13% 118% 8 37.5%
HB
8711
Huntington Bancshares
Ohio
$10.2M +$2.44M +31% 31.2% 2 0%
TC
8712
TradeLink Capital
Illinois
$10.2M -$3.06M -23% 14.4% 73.7% 39 82.05%
VCMGDR
8713
Vinland Capital Management Gestora de Recursos
Brazil
$10.1M -$39.5M -80% 13.6% 16 93.75%
AIA
8714
Acute Investment Advisory
Arizona
$9.46M +$548K +6% 12.2% 15.3% 19 10.53%
FRT
8715
FTX Recovery Trust
Texas
$9.43M -$2.37M -20% 20.5% 1 0%
GMP
8716
Great Mountain Partners
Connecticut
$9.28M -$5.8M -38% 38.5% 95.3% 1 0%
RG
8717
Raine Group
New York
$8.86M -$1.67M -16% 10.5% 59.7% 3 0%
VH
8718
Vitol Holding
Netherlands
$8.83M -$3.07M -26% 25.2% 82.6% 1 0%
AWGLSCP
8719
ABG-WTT Global Life Science Capital Partners
Hong Kong
$8.55M -$3.74M -30% 5.07% 125% 2 0%
BFG
8720
Brandywine Financial Group
Tennessee
$8.39M -$109M -93% 1.14% 38 52.63%
CCP
8721
Caden Capital Partners
California
$8.3M +$183K +2% 10.1% 19.1% 36 0%
GDADCM
8722
Groupe des Assurances du Credit Mutuel
France
$8.04M -$194M -96% 0.77% 5 80%
SCM
8723
SVB Capital Management
California
$7.41M +$5.33M +257% 23.1% 6 16.67%
SAS
8724
Spurstone Advisory Services
Connecticut
$7.32M +$1.48M +25% 21.2% 105 33.33%
NMFM
8725
National Mutual Funds Management
Australia
$7.29M +$6.95M +2,065% 13.4% 1 0%