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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
ES
2126
Equitec Specialists
Illinois
$436M +$73.5M +20% 5.92% 65.4% 183 56.28%
HIP
2127
Hengistbury Investment Partners
United Kingdom
$436M -$490M -53% 11.9% 108% 6 66.67%
SCM
2128
Snow Capital Management
Pennsylvania
$436M -$286M -40% 31.5% 58.5% 170 28.24%
CAC
2129
Cowen and Company
New York
$435M -$716M -62% 16.3% 120% 647 68.93%
QCMNJ
2130
Quantum Capital Management (New Jersey)
New Jersey
$435M -$64.8M -13% 20.8% 22.7% 40 20%
LWAC
2131
Laurel Wealth Advisors (California)
California
$435M -$161M -27% 16.4% 33% 464 28.88%
RMC
2132
Regis Management Company
California
$435M -$212M -33% 12.2% 5.33% 71 21.13%
MMC
2133
Mizuho Markets Cayman
Cayman Islands
$435M -$248M -36% 19.4% 219% 59 86.44%
BC
2134
Bruce & Co
Illinois
$434M -$78.3M -15% 14.2% 94.5% 44 4.55%
MAM
2135
Mark Asset Management
New York
$434M -$165M -27% 0.99% 325% 84 42.86%
IFAM
2136
Institutional & Family Asset Management
Colorado
$434M -$39.5M -8% 16.6% 19% 953 19.94%
AAP
2137
Arax Advisory Partners
Colorado
$434M +$85.5M +25% 12.2% 64.7% 739 29.77%
TF
2138
Tompkins Financial
New York
$433M -$112M -21% 17.8% 74.1% 458 21.18%
CCG
2139
Cypress Capital Group
Florida
$433M -$128M -23% 13.6% 97.8% 245 19.59%
KA
2140
Kovack Advisors
Florida
$433M -$126M -23% 15.7% 118% 578 34.95%
SAMH
2141
Shanda Asset Management Holdings
British Virgin Islands
$433M -$81.7M -16% 10.3% 125% 47 68.09%
HH
2142
HSG Holding
Hong Kong
$432M +$15.3M +4% 34.2% 2.73% 13 30.77%
PAS
2143
Professional Advisory Services
Florida
$431M -$131M -23% 20% 61.8% 73 16.44%
PA
2144
Planning Alternatives
Michigan
$431M -$143M -25% 19.1% 69.6% 54 27.78%
11A
2145
10-15 Associates
New York
$429M -$101M -19% 18.8% 33% 108 20.37%
CHAM
2146
Clear Harbor Asset Management
Connecticut
$429M -$148M -26% 18.9% 98.6% 804 67.91%
QF
2147
QVT Financial
New York
$429M -$85.5M -17% 8.68% 267% 56 19.64%
FCMI
2148
Foresite Capital Management II
California
$428M -$179M -29% 18.2% 66.2% 6 16.67%
SIM
2149
Strategic Investment Management
Virginia
$428M -$111M -21% 26.4% 53.3% 19 26.32%
RW
2150
RVW Wealth
California
$428M -$29.2M -6% 19.3% 59.3% 107 42.99%