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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
GC
2151
Gobi Capital
California
$502M +$5.39M +1% 0.3% 107% 8 0%
AAM
2152
Auxier Asset Management
Oregon
$501M +$14.6M +3% 2.34% 58.4% 163 6.75%
ALAM
2153
Asahi Life Asset Management
Japan
$501M -$110M -18% 3.59% 98.6% 250 44.8%
BOPW
2154
Brandywine Oak Private Wealth
Pennsylvania
$500M +$20.5M +4% 2.1% 55.7% 232 12.07%
WMA
2155
White Mountains Advisors
Connecticut
$500M -$147M -23% 3.71% 33.4% 3 0%
TCM
2156
Twele Capital Management
Minnesota
$499M +$42.7M +9% 2.19% 34.9% 46 0%
TF
2157
Tompkins Financial
New York
$497M -$29.1M -6% 3.99% 74.1% 416 18.99%
CGL
2158
Clarius Group LLC
Washington
$497M +$86.2M +21% 5.55% 92.1% 270 25.56%
MG
2159
Meditor Group
Bermuda
$497M -$36.2M -7% 4.47% 41.1% 9 0%
CHAM
2160
Clear Harbor Asset Management
Connecticut
$497M +$3.52M +0.7% 5.38% 71.8% 275 18.55%
KRSITF
2161
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$497M +$39.8M +9% 4.67% 89.2% 430 5.12%
SFI
2162
SPC Financial Inc
Maryland
$497M +$29.6M +6% 3.73% 65.1% 137 11.68%
LIM
2163
Lingotto Investment Management
United Kingdom
$496M +$75.6M +18% 18% 402% 7 0%
PTC
2164
Private Trust Company
Ohio
$496M +$15.2M +3% 4.23% 79.6% 388 11.86%
CFG
2165
CKW Financial Group
Hawaii
$495M -$45.7M -8% 2.64% 62.4% 191 16.75%
EAM
2166
Evanson Asset Management
California
$495M +$10.7M +2% 4.88% 66.6% 251 9.16%
SL
2167
Salomon & Ludwin
Virginia
$495M +$9.23M +2% 2.7% 44.1% 292 41.1%
JA
2168
JLB & Associates
Michigan
$495M +$20.4M +4% 4.12% 57.7% 75 8%
BCM
2169
Bowie Capital Management
Texas
$494M +$156M +46% 8.56% 35.8% 39 33.33%
EHPM
2170
Emery Howard Portfolio Management
California
$494M +$13.7M +3% 2.47% 66.5% 33 0%
KA
2171
Kintegral Advisory
New York
$493M +$18.1M +4% 4.53% 94.4% 269 0%
TCM
2172
TD Capital Management
Tennessee
$493M +$18.2M +4% 2.62% 33.9% 276 17.75%
JCM
2173
Jacobi Capital Management
Pennsylvania
$492M +$101M +26% 3.35% 62.7% 1,093 7.23%
SWM
2174
Segment Wealth Management
Texas
$492M +$19.5M +4% 3.28% 102% 208 7.21%
SWM
2175
SeaCrest Wealth Management
New York
$491M -$91.7M -16% 3.59% 142% 2,226 76.91%