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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
PCA
3776
Prospect Capital Advisors
California
$84.4M -$33.2M -28% 1% 125% 26
LCG
3777
Lisanti Capital Growth
New York
$84.4M -$10.8M -11% 10.5% 1,060% 133
AG
3778
Appleton Group
Wisconsin
$84.2M +$7.43M +10% 1.07% 58.3% 23
MTIM
3779
Marathon Trading Investment Management
Pennsylvania
$84M -$44.5M -35% 0.35% 19.9% 165
ODCM
3780
Old Dominion Capital Management
Virginia
$83.7M +$4.52M +6% 2.56% 45.9% 48
BCM
3781
Boyle Capital Management
Iowa
$83.4M +$10.9M +15% 5.23% 19.6% 23
PL
3782
Plancorp LLC
Missouri
$83.4M -$271K -0.3% 4.84% 53.5% 89
GIM
3783
Greenwich Investment Management
Connecticut
$83.2M -$1.85M -2% 1.48% 56
OAM
3784
Occidental Asset Management
California
$82.9M +$4.73M +6% 3.46% 66.4% 76
WM
3785
WCG Management
New York
$82.8M -$54.3M -40% 1.11% 30% 39
IR
3786
Invictus RG
Bermuda
$82.6M -$22M -21% 3.78% 289% 787
SR
3787
Sloane Robinson
United Kingdom
$82.5M -$13.2M -14% 26.3% 175% 17
ICM
3788
IMS Capital Management
Oregon
$82.5M +$1.43M +2% 1.66% 87.8% 137
SCP
3789
Syntal Capital Partners
Texas
$82.4M -$8.5M -9% 4.19% 102% 84
GCP
3790
Glen Capital Partners
Massachusetts
$81.9M -$3.66M -4% 0.34% 6
LIM
3791
Lancaster Investment Management
United Kingdom
$81.9M -$15.2M -16% 17.3% 62.1% 1
LCM
3792
Lonestar Capital Management
California
$81.5M +$2.64M +3% 0.09% 45.2% 15
UONDDL
3793
University of Notre Dame du Lac
Indiana
$81.4M -$26.1M -24% 0.55% 59
JFA
3794
Johanson Financial Advisors
California
$81.2M +$4.55M +6% 2.63% 96.1% 70
HMC
3795
Higher Moment Capital
Massachusetts
$81.1M +$38.3M +89% 3.24% 11.8% 5
PPCM
3796
PW Partners Capital Management
Illinois
$81.1M -$32.4M -29% 12.5% 10
CMC
3797
Catterton Management Company
Connecticut
$81.1M +$14.8M +22% 22.4% 15.6% 1
FCFC
3798
First Commonwealth Financial Corp
Pennsylvania
$80.5M -$3.88M -5% 1.02% 62.6% 92
CCM
3799
Context Capital Management
California
$80.4M +$16.2M +25% 0.48% 3.54% 51
WA
3800
WESPAC Advisors
California
$80.4M -$5.96M -7% 2.97% 64.3% 138