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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
GWM
3451
GSB Wealth Management
Connecticut
$276M -$17.5M -6% 5.35% 43.5% 205
WAM
3452
WNY Asset Management
New York
$275M -$19.6M -7% 6.64% 39.9% 180
BL
3453
BCWM LLC
Kansas
$275M -$17.7M -6% 7.33% 63
GLCM
3454
Greenlea Lane Capital Management
Connecticut
$275M +$23.8M +9% 1.93% 159% 10
CM
3455
CoreCommodity Management
Connecticut
$274M -$107M -28% 2.18% 22.2% 164
LIC
3456
Laurus Investment Counsel
Canada
$274M +$66M +32% 3.62% 37.4% 46
HCM
3457
Horrell Capital Management
Arkansas
$274M -$7.61M -3% 2.29% 50.8% 206
CH
3458
Canton Hathaway
Rhode Island
$274M -$12.9M -4% 2.26% 78.3% 266
FHCM
3459
Force Hill Capital Management
New York
$274M -$98.3M -26% 2.42% 46.2% 52
MGI
3460
MayTech Global Investments
New York
$274M -$41.9M -13% 3.41% 241% 72
PBPIA
3461
Pivotal bioVenture Partners Investment Advisor
California
$274M +$75.2M +38% 65.3% 761% 11
VAS
3462
Valicenti Advisory Services
New York
$274M -$32.9M -11% 6.92% 74.2% 83
HLA
3463
Hamilton Lane Advisors
Pennsylvania
$273M +$15.1M +6% 5.34% 352% 78
OFM
3464
Omega Fund Management
Massachusetts
$273M -$40.2M -13% 5.71% 82.4% 21
BCL
3465
Bracebridge Capital LLC
Massachusetts
$273M -$33.2M -11% 0.96% 45% 104
OH
3466
Oikos Holdings
New York
$273M -$27.3M -9% 7.65% 5.54% 8
CWM
3467
CMH Wealth Management
New Hampshire
$273M -$3.8M -1% 1.23% 83.4% 50
AIS
3468
AM Investment Strategies
Tennessee
$273M -$13.3M -5% 1.63% 103% 101
VAS
3469
VR Advisory Services
Cayman Islands
$273M +$48.3M +22% 6.91% 102% 87
PCMC
3470
Private Capital Management (Colorado)
Colorado
$273M -$42.4M -13% 4.62% 20% 165
SA
3471
Shilanski & Associates
Alaska
$273M +$58.7M +27% 4.62% 65.2% 221
AFS
3472
Annapolis Financial Services
Maryland
$272M -$3.08M -1% 6.08% 15% 572
FBT
3473
First Bank & Trust
South Dakota
$272M -$35M -11% 7.8% 60% 535
LTI
3474
Laffer Tengler Investments
Tennessee
$272M -$12.7M -4% 3.32% 69.4% 443
CWM
3475
Concentric Wealth Management
California
$271M -$25.1M -8% 7.48% 33.5% 117