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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
SCM
3301
Sio Capital Management
New York
$132M -$95.9M -42% 1.71% 239% 61
FCCM
3302
First City Capital Management
Georgia
$132M -$14M -10% 5.8% 59.1% 669
RGC
3303
Roberts, Glore & Co
Illinois
$132M -$232K -0.2% 3.18% 56.2% 149
WRM
3304
Weybosset Research & Management
Rhode Island
$131M +$13.2M +11% 4.62% 57.2% 57
FPB
3305
First PREMIER Bank
South Dakota
$131M +$5.99M +5% 5.38% 41.1% 201
RJA
3306
Robshaw & Julian Associates
New York
$131M -$1.63M -1% 2.67% 19.3% 47
OFG
3307
OTA Financial Group
New York
$131M +$73.9M +130% 6.57% 311% 107
BCM
3308
Breithorn Capital Management
New York
$131M -$13.7M -9% 2.42% 43.9% 51
GCP
3309
Garelick Capital Partners
Massachusetts
$131M +$2.41M +2% 6.61% 195% 34
FC
3310
Financial Consulate
Maryland
$131M -$14.9M -10% 4.52% 44.1% 78
EDRAML
3311
Edmond de Rothschild Asset Management (Luxembourg)
Luxembourg
$131M +$914K +0.7% 5.14% 101
HIM
3312
Harbour Investment Management
Washington
$131M +$519K +0.4% 2.21% 63.6% 71
HM
3313
HCSF Management
California
$130M +$2.82M +2% 0.92% 58.8% 10
NCM
3314
Northroad Capital Management
New York
$130M -$24.4M -16% 1.74% 0.07% 55
DCM
3315
Delta Capital Management
New Jersey
$130M -$10.4M -7% 4.74% 50.3% 65
SVCP
3316
Silicon Valley Capital Partners
California
$130M +$5.77M +5% 1.27% 29.8% 21
FDS
3317
First Dallas Securities
Texas
$130M +$5.92M +5% 4.61% 132% 117
GPSPJS
3318
General Pension Society PZU Joint Stock
Poland
$130M -$12.3M -9% 2.9% 75.2% 16
MRFOFM
3319
M&R Follow-On Fund Management
Texas
$130M +$15.2M +13% 13.3% 48.8% 1
MCM
3320
McMillion Capital Management
North Carolina
$129M -$5.36M -4% 2.03% 59.3% 57
PCC
3321
Park Circle Company
Maryland
$129M +$1.69M +1% 2.02% 54% 95
HA
3322
Havens Advisors
New York
$129M -$46.3M -26% 19.7% 459% 62
FA
3323
FC Advisory
Pennsylvania
$129M +$7.55M +6% 2.09% 35% 32
SAC
3324
SPQ Asia Capital
Hong Kong
$129M -$27.3M -17% 15.4% 8
SCC
3325
Second Curve Capital
Pennsylvania
$129M -$36.6M -22% 5.21% 159% 22