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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
HIG
1351
Herr Investment Group
Texas
$1.72B +$415M +32% 13.1% 76 42.11%
SGAM
1352
Smith Group Asset Management
Texas
$1.72B 13.9% 174
FFM
1353
Fullerton Fund Management
Singapore
$1.72B +$290M +20% 16.4% 412% 70 34.29%
NRCM
1354
North Reef Capital Management
California
$1.72B +$133M +8% 26.2% 81.9% 48 33.33%
PAIM
1355
Punch & Associates Investment Management
Minnesota
$1.71B +$149M +10% 10.9% 97.5% 243 11.52%
ECA
1356
Encompass Capital Advisors
New York
$1.71B +$105M +7% 1.33% 364% 69 50.72%
JWCA
1357
J.W. Cole Advisors
Florida
$1.71B +$351M +26% 10.2% 84.9% 866 21.02%
MMEA
1358
Main Management ETF Advisors
California
$1.7B +$296M +21% 13.8% 97.2% 47 25.53%
IFA
1359
Index Fund Advisors
California
$1.7B +$197M +13% 11.9% 58.2% 104 20.19%
WI
1360
Wafra Inc
New York
$1.7B -$1.3B -43% 10.7% 45.9% 72 18.06%
PCM
1361
Prana Capital Management
Connecticut
$1.7B +$132M +8% 14.1% 36.6% 112 42.86%
MSE
1362
MUFG Securities EMEA
United Kingdom
$1.7B +$341M +25% 11.1% 114% 133 42.86%
MIM
1363
Merewether Investment Management
Texas
$1.69B +$39.9M +2% 2.1% 262% 54 42.59%
SC
1364
SRB Corp
Massachusetts
$1.69B +$41.7M +3% 12.9% 87.3% 114 37.72%
WM
1365
WS Management
Florida
$1.68B +$445M +36% 11.8% 309% 83 37.35%
CA
1366
Cambridge Associates
Massachusetts
$1.68B +$178M +12% 9.47% 50.1% 62 30.65%
FCIM
1367
Fairview Capital Investment Management
California
$1.68B +$117M +8% 8.73% 61.7% 148 6.08%
CQS
1368
Credential Qtrade Securities
$1.68B +$168M +11% 11.1% 27.7% 387 13.95%
WFMPM
1369
Woodley Farra Manion Portfolio Management
Indiana
$1.67B +$173M +12% 10.2% 68.1% 104 7.69%
NCM
1370
Nantahala Capital Management
Connecticut
$1.67B +$502M +43% 13% 341% 148 22.97%
CDH
1371
Charles D. Hyman
$1.67B +$134M +9% 9.91% 36.8% 250 10.4%
GKWIM
1372
Gerber Kawasaki Wealth & Investment Management
California
$1.67B +$202M +14% 11.6% 91.5% 281 15.3%
CI
1373
Cooper Investors
Australia
$1.67B +$416M +33% 11.8% 49.8% 46 26.09%
RCM
1374
RNC Capital Management
California
$1.67B +$57.5M +4% 9.57% 83% 151 4.64%
PHK
1375
Point72 Hong Kong
Hong Kong
$1.67B +$1.3B +359% 15% 396% 594 94.95%