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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
LOCC
3976
Lombard Odier & Cie (Canada)
Quebec, Canada
$35.1M +$6.5M +23% 3.67% 19.2% 83
CI
3977
CAZ Investments
Texas
$35.1M +$55K +0.2% 0.48% 40.5% 31
SCP
3978
Scoria Capital Partners
Connecticut
$35.1M 17.9% 16
ROTUOC
3979
Regents of the University of California
California
$35M +$5.28M +18% 13.7% 76.8% 27
SPWA
3980
SteelBridge Private Wealth Advisors
Florida
$34.4M +$1.33M +4% 7.1% 48
HSS
3981
Harrison Street Securities
Illinois
$34.4M +$3.7M +12% 0.23% 41.2% 48
SWM
3982
Strategic Wealth Management
Washington
$33.8M +$0 0% 0.4% 52.7% 8
NCA
3983
NCM Capital Advisers
North Carolina
$33.6M -$1.24M -4% 4.86% 45.4% 96
GI
3984
Greenwood Investments
Massachusetts
$33.4M -$20.8M -38% 7.65% 1.73% 12
NAM
3985
Needelman Asset Management
California
$33.3M -$1.73M -5% 2.36% 30.6% 37
SCM
3986
Sabal Capital Management
California
$33.2M -$10.3M -24% 5.2% 26
NVCHI
3987
New Vernon Capital Holdings II
New Jersey
$33.1M -$794K -2% 5.37% 76.7% 17
RAM
3988
Roumell Asset Management
Maryland
$32.7M -$11.3M -26% 3.17% 46.7% 16
PAM
3989
PartnerRe Asset Management
Connecticut
$32.7M +$3.73M +13% 0% 3.72% 2
CMC
3990
Catterton Management Company
Connecticut
$32.5M -$34.3M -51% 51.3% 15.6% 1
DPA
3991
Devon Park Associates
$30.8M +$6.62M +27% 27.4% 1
HPA
3992
Hilltop Park Associates
New York
$30.4M +$23.2M +322% 10.9% 182% 33
ACM
3993
Altai Capital Management
California
$30.1M +$5.24M +21% 21.1% 104% 1
MC
3994
Mitra Capital
Massachusetts
$29.9M -$25.9M -46% 14.7% 20
BM
3995
Belfer Management
New York
$29.5M +$6.97M +31% 31% 84.4% 1
DMS
3996
Discretionary Management Services
Kansas
$29.4M +$4.1M +16% 2.03% 11.1% 15
CRAM
3997
Claren Road Asset Management
New York
$29.3M +$20.9M +249% 3.51% 5
HIP
3998
Hatteras Investment Partners
North Carolina
$29.2M +$11.3M +63% 14.2% 71
MACF
3999
Margaret A Cargill Foundation
Minnesota
$28.4M -$3.67M -11% 6.57% 42.3% 1
ACM
4000
Akanthos Capital Management
California
$27.7M -$3.63M -12% 7.15% 15.2% 21