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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
LFA
3551
Landmark Financial Advisors
Kentucky
$90.7M -$5.96M -6% 7.44% 11.8% 49
TCM
3552
Towercrest Capital Management
Pennsylvania
$90.7M -$4.01M -4% 4.41% 31.5% 22
QA
3553
Quintium Advisors
Tennessee
$90.6M -$32.6M -26% 2.33% 23
GBA
3554
Garrison Bradford & Associates
New York
$90.6M -$11.8M -12% 7.23% 51.9% 97
WOA
3555
Water Oak Advisors
Florida
$90.6M +$2.8M +3% 8.82% 12.9% 19
VIG
3556
Vienna Insurance Group
Poland
$90.5M -$44.6M -33% 17.4% 85.8% 28
NCM
3557
Newland Capital Management
New York
$90.3M -$11.5M -11% 13.7% 75
RVGI
3558
RRE Ventures GP III
New York
$90.3M -$15.6M -15% 14.6% 73.2% 3
RCA
3559
Restructuring Capital Associates
Connecticut
$90.3M -$7.06M -7% 8.49% 66.1% 11
HAG
3560
HighPoint Advisor Group
Illinois
$90.2M +$25.4M +39% 6.27% 146
GIM
3561
Guardian Investment Management
California
$90.1M +$568K +0.6% 8.65% 64.9% 57
HCM
3562
HM Capital Management
Missouri
$90.1M -$8.56M -9% 7.03% 29.6% 39
NRCM
3563
Northern Right Capital Management
Connecticut
$90M -$24.6M -21% 1.2% 137% 11
CM
3564
Cartica Management
District of Columbia
$90M -$39M -30% 23.6% 92.9% 3
CCM
3565
Courage Capital Management
Tennessee
$89.9M -$6.24M -6% 9.76% 82.8% 36
TFCM
3566
Taylor Frigon Capital Management
Arizona
$89.9M -$6.33M -7% 2.88% 108% 102
LAIC
3567
Lederer & Associates Investment Counsel
California
$89.9M -$7.55M -8% 5.89% 76.7% 77
PCM
3568
Perkins Capital Management
Minnesota
$89.9M -$24M -21% 11.6% 175% 134
DS
3569
DRW Securities
Illinois
$89.6M -$20.8M -19% 1.03% 34.5% 129
SR
3570
Sloane Robinson
United Kingdom
$89.3M -$11.7M -12% 14.9% 175% 12
CSMF
3571
Charles Stewart Mott Foundation
Michigan
$89.3M 6.05% 88
VV
3572
Valentine Ventures
Oregon
$88.9M -$11M -11% 10.5% 26
BHBT
3573
Burke & Herbert Bank & Trust
Virginia
$88.9M -$4.99M -5% 6.74% 51.4% 111
NEPPG
3574
New England Professional Planning Group
Rhode Island
$88.3M +$12.1M +16% 4.82% 46.1% 52
AT
3575
Argent Trust
Texas
$88.1M -$14M -14% 8.52% 25.8% 130