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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
LWP
3951
Lumature Wealth Partners
Georgia
$224M -$24.7M -10% 10.1% 449
UID
3952
Union Investments & Development
Israel
$224M -$54M -19% 19.1% 17% 54
VAS
3953
VR Advisory Services
Cayman Islands
$224M +$10.3M +5% 16.4% 102% 80
OBWG
3954
Onyx Bridge Wealth Group
New York
$224M -$39.2M -15% 10.7% 55% 192
GAG
3955
Goodman Advisory Group
Massachusetts
$224M -$64.8M -22% 6.45% 64.9% 188
CPIA
3956
Cornell Pochily Investment Advisors
New York
$224M -$32.8M -13% 11.4% 64.3% 173
HGERS
3957
Householder Group Estate & Retirement Specialist
Arizona
$224M -$24.2M -10% 13.4% 213
GPSPJS
3958
General Pension Society PZU Joint Stock
Poland
$224M -$64.7M -22% 19.2% 75.2% 19
CP
3959
CPV Partners
Connecticut
$224M -$14.9M -6% 1.63% 24.1% 6
IWMA
3960
Ironwood Wealth Management (Arizona)
Arizona
$224M -$19.9M -8% 10.5% 24.3% 55
KWS
3961
Keystone Wealth Services
California
$224M -$28.6M -11% 12% 59.2% 190
IBOK
3962
Independence Bank of Kentucky
Kentucky
$223M -$29.3M -12% 12.7% 61.8% 427
WC
3963
Walthausen & Co
New York
$223M -$131M -37% 11.5% 63.1% 146
RCS
3964
Retirement Capital Strategies
California
$223M -$26.5M -11% 7.45% 50.7% 73
RAM
3965
Roanoke Asset Management
New Jersey
$223M -$46M -17% 14.3% 50.3% 115
AFA
3966
Arlington Financial Advisors
California
$223M -$40.8M -15% 15.1% 55.6% 54
RIP
3967
Rhino Investment Partners
Pennsylvania
$223M -$1.9M -0.8% 9.57% 25.6% 52
OR
3968
Olympiad Research
Connecticut
$223M -$105M -32% 5.95% 405
BAM
3969
Brave Asset Management
New Jersey
$222M -$67.6M -23% 10.4% 50.1% 163
MRWM
3970
ML&R Wealth Management
Texas
$222M -$48.4M -18% 15.3% 62
BIA
3971
BHK Investment Advisors
Alabama
$222M -$16.7M -7% 13.6% 43.9% 64
VC
3972
Vision Capital
Ontario, Canada
$222M -$156M -41% 9.08% 15.4% 15
KC
3973
Knuff & Co
California
$222M -$53.3M -19% 16.1% 94.8% 143
BA
3974
Ballast Advisors
Minnesota
$222M -$33.8M -13% 14.7% 64.9% 192
MM
3975
MWG Management
British Virgin Islands
$222M -$14M -6% 3.95% 71.9% 2