Latest Stock Portfolios of the World's Best Investors & Hedge Funds

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
AMCA
2751
Arthur M. Cohen & Associates
Illinois
$493M -$23M -4% 2.68% 113% 147
5VM
2752
5AM Venture Management
California
$492M +$95.1M +24% 10.9% 145% 16
DPRC
2753
Deer Park Road Corp
Colorado
$492M -$103M -17% 1.65% 1.97% 34
CPH
2754
C Partners Holding
Switzerland
$491M +$15.3M +3% 2.74% 65.7% 19
HPCM
2755
Hunter Perkins Capital Management
Illinois
$491M -$44.7M -8% 0.5% 31.9% 86
ACI
2756
Amazon.com Inc
Washington
$490M +$108M +28% 4.85% 23.6% 7
ACG
2757
Allen Capital Group
Nebraska
$490M +$1.39M +0.3% 1% 41.3% 163
LOPW
2758
Live Oak Private Wealth
North Carolina
$490M +$36.6M +8% 0.5% 49.3% 178
CANC
2759
Culbertson A N & Co
Virginia
$489M +$8.58M +2% 0.65% 64.3% 115
TIM
2760
Tikehau Investment Management
France
$489M +$5.83M +1% 2.31% 77.8% 18
KWMG
2761
King Wealth Management Group
Florida
$488M -$871K -0.2% 0.05% 82.6% 186
GIM
2762
Greylin Investment Management
Virginia
$488M -$28.5M -6% 3.92% 52.1% 97
CFA
2763
Cahill Financial Advisors
Minnesota
$488M +$43.6M +10% 1.08% 44.9% 880
PCS
2764
Personal CFO Solutions
New Jersey
$488M -$342K -0.1% 0.92% 69.7% 479
DCM
2765
DG Capital Management
New York
$488M +$36.1M +8% 0.54% 50.9% 210
AMG
2766
Asset Management Group
Connecticut
$487M +$3.75M +0.8% 1.43% 42.4% 130
ICA
2767
Infrastructure Capital Advisors
New York
$487M -$56.3M -10% 5.53% 35.5% 81
CPCM
2768
Cornerstone Partners Capital Management
Virginia
$487M -$3.08M -0.6% 0.36% 37.7% 14
G1
2769
Greylock 15
California
$487M +$78.7M +19% 19% 17.8% 3
SCGM
2770
Starwood Capital Group Management
Florida
$486M -$46.2M -9% 4.06% 26.6% 6
RBC
2771
Roble Belko & Company
Pennsylvania
$486M +$43.7M +10% 1.15% 41.6% 364
DCM
2772
Dimension Capital Management
Florida
$485M +$25.9M +6% 1.41% 52.5% 109
OHM
2773
Ordinal Holdings ManageCo
New York
$485M -$105M -18% 11.6% 19.5% 1
TSS
2774
Two Sigma Securities
New York
$485M +$85M +21% 0.32% 24.1% 1,371
FAM
2775
Flaharty Asset Management
Florida
$485M +$16.7M +4% 1.39% 26.5% 141