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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
DMBA
2776
Deseret Mutual Benefit Administrators
Utah
$500M -$94.8M -16% 3.61% 46.1% 491
OAM
2777
Oberweis Asset Management
Illinois
$499M -$48.9M -9% 8.12% 282% 188
BEC
2778
Blue Edge Capital
Virginia
$499M -$19M -4% 3.46% 53.2% 109
AFAS
2779
Acorn Financial Advisory Services
Virginia
$499M -$917K -0.2% 5.35% 71.6% 229
WCWM
2780
Willow Creek Wealth Management
California
$498M +$13.8M +3% 3.92% 24.6% 124
OIM
2781
Oracle Investment Management
Connecticut
$497M -$184M -27% 14.9% 540% 32
SFS
2782
Summit Financial Strategies
Ohio
$497M -$21.2M -4% 3.33% 49.7% 132
HPCM
2783
Hunter Perkins Capital Management
Illinois
$496M -$37.2M -7% 2.14% 31.9% 94
APW
2784
Austin Private Wealth
Texas
$496M +$335K +0.1% 5.03% 48.9% 149
DCM
2785
DG Capital Management
New York
$495M -$5.84M -1% 6.93% 50.9% 145
FNBTCON
2786
First National Bank & Trust Co of Newtown
Pennsylvania
$495M -$25.3M -5% 3.5% 42.3% 133
SFWA
2787
Summit Financial Wealth Advisors
Louisiana
$495M -$21.9M -4% 3.13% 20.7% 151
CCMINC
2788
Cardinal Capital Management Inc (North Carolina)
North Carolina
$494M -$10.6M -2% 3.19% 57.4% 148
RR
2789
Robotti Robert
$494M +$717K +0.1% 15.2% 151% 80
CF
2790
Clarity Financial
Texas
$494M -$137M -22% 3.68% 93.4% 113
TCM
2791
Tang Capital Management
California
$494M -$3.15M -0.6% 14.8% 291% 58
MCP
2792
Mirador Capital Partners
California
$494M +$19.1M +4% 1.62% 67.1% 226
EVM
2793
Evelyn V. Moreno
$494M -$6M -1% 5.44% 39.4% 109
VM
2794
VPR Management
Texas
$494M -$25.5M -5% 4.67% 39.2% 28
GC
2795
Globeflex Capital
California
$493M +$4.82M +1% 0.32% 110% 494
AWM
2796
Affinity Wealth Management
Delaware
$493M +$8.35M +2% 9.04% 82.5% 125
VCP
2797
Varenne Capital Partners
France
$493M -$181M -27% 10.1% 74.8% 20
PS
2798
Presima Securities
Quebec, Canada
$493M -$92.8M -16% 3.65% 0.54% 51
TFO
2799
Tarbox Family Office
California
$493M -$88.1M -15% 5.02% 47.4% 1,180
WF
2800
WoodTrust Financial
Wisconsin
$492M +$9.58M +2% 3.9% 59.4% 150