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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
CBOA
201
Commonwealth Bank of Australia
Australia
$15.6B +$1.06B +7% 3.04% 1,307 12.01%
GCM
202
Glenview Capital Management
New York
$15.3B +$1.3B +9% 3.24% 68.2% 87 44.83%
First Manhattan
203
First Manhattan
New York
$15.2B +$50.6M +0.3% 2% 74.7% 1,536 13.02%
TCA
204
Tortoise Capital Advisors
Kansas
$15.1B +$1.28B +9% 6.78% 98.1% 113 10.62%
CCI
205
Columbus Circle Investors
$15B +$395M +3% 6.34% 366% 374 48.13%
Ninety One (UK)
206
Ninety One (UK)
United Kingdom
$15B +$664M +5% 4.1% 87.8% 264 32.2%
Bessemer Group
207
Bessemer Group
New Jersey
$14.8B +$871M +6% 2.56% 103% 1,441 15.61%
ACI
208
AMP Capital Investors
Australia
$14.8B +$580M +4% 3.85% 89.7% 1,328 18.52%
CGT
209
Capital Guardian Trust
California
$14.8B -$390M -3% 0.4% 64.7% 634 29.65%
Victory Capital Management
210
Victory Capital Management
Texas
$14.7B +$557M +4% 1.94% 75.5% 989 12.13%
RJA
211
Raymond James & Associates
Florida
$14.6B +$1.24B +9% 2.11% 40% 2,202 16.98%
SFM
212
Systematic Financial Management
New Jersey
$14.6B +$915M +7% 7.01% 82.4% 793 34.05%
ACM
213
Atlanta Capital Management
Georgia
$14.5B -$727M -5% 0.73% 30.2% 205 8.29%
WCM
214
Winton Capital Management
United Kingdom
$14.5B +$3.35B +30% 2.58% 698 13.04%
MLICM
215
Metropolitan Life Insurance Company (MetLife)
New York
$14.4B +$194M +1% 2.43% 50.3% 2,801 4.93%
KACA
216
Kayne Anderson Capital Advisors
California
$14.2B +$883M +7% 1.38% 85.8% 147 27.21%
Chevy Chase Trust
217
Chevy Chase Trust
Maryland
$13.9B +$265M +2% 2.03% 102% 668 4.49%
MCM
218
Munder Capital Management
Michigan
$13.9B +$177M +1% 3.58% 717 17.02%
MCM
219
Marsico Capital Management
Colorado
$13.9B -$259M -2% 3.13% 244% 131 47.33%
FCM
220
Frontier Capital Management
Massachusetts
$13.8B +$331M +2% 7.27% 154% 363 19.01%
DCM
221
Discovery Capital Management
Connecticut
$13.7B +$253M +2% 2.73% 556% 179 50.84%
Connor, Clark & Lunn Investment Management (CC&L)
222
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$13.7B +$850M +7% 3.25% 133% 858 38.34%
CG
223
Carmignac Gestion
France
$13.7B +$229M +2% 1.27% 94.3% 29 17.24%
Mitsubishi UFJ Financial Group
224
Mitsubishi UFJ Financial Group
Japan
$13.5B -$82.1M -0.6% 0.61% 87.4% 1 0%
SOMRS
225
State of Michigan Retirement System
Michigan
$13.3B +$227M +2% 2.53% 96.7% 967 3.41%