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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
CCI
476
Columbus Circle Investors
$4.93B -$339M -6% 10.8% 366% 216
RRAM
477
River Road Asset Management
Kentucky
$4.92B -$346M -7% 2.69% 50.3% 181
NSLI
478
Nan Shan Life Insurance
Taiwan
$4.9B +$1.04B +27% 1.35% 22.8% 108
B
479
Barings
North Carolina
$4.89B -$347M -7% 0.31% 54.2% 986
SA
480
SPO Advisory
California
$4.86B +$34.2M +0.7% 2.66% 28.4% 18
DADC
481
D.A. Davidson & Co
Montana
$4.84B +$69.1M +1% 1.4% 57.8% 1,194
DILIC
482
Dai-ichi Life Insurance Company
Japan
$4.84B -$318M -6% 0.2% 87.2% 531
PSCM
483
Pershing Square Capital Management
New York
$4.83B -$1.04B -18% 0.72% 111% 8
SOADOR
484
State of Alaska Department of Revenue
Alaska
$4.8B +$615M +15% 1.06% 88.3% 1,653
FC
485
Fairpointe Capital
Illinois
$4.79B -$511M -10% 3.52% 48.1% 91
BPC
486
Banque Pictet & Cie
Switzerland
$4.75B -$257M -5% 0.21% 57.9% 381
MML Investors Services
487
MML Investors Services
Massachusetts
$4.73B -$527M -10% 0.63% 59.3% 1,506
OAM
488
Oxford Asset Management
United Kingdom
$4.71B +$71.7M +2% 3.47% 2,104
Assenagon Asset Management
489
Assenagon Asset Management
Luxembourg
$4.71B +$160M +4% 0.98% 96.8% 793
URS
490
Utah Retirement Systems
Utah
$4.7B -$57M -1% 0.13% 106% 991
SCM
491
Scopia Capital Management
New York
$4.7B -$490M -9% 0.46% 39.1% 39
BIP
492
Brandes Investment Partners
California
$4.69B -$263M -5% 1.33% 85.8% 168
PHS
493
PFM Health Sciences
California
$4.65B +$713M +18% 6.3% 131% 106
SIMG
494
Stephens Investment Management Group
Texas
$4.61B +$229M +5% 9.04% 122% 191
MCIM
495
Meadow Creek Investment Management
Georgia
$4.61B +$7.21M +0.2% 0.46% 53.3% 1,360
DLA
496
Douglas Lane & Associates
New York
$4.6B -$141M -3% 0.6% 73.4% 208
CGI
497
Comgest Global Investors
France
$4.57B -$30.2M -0.7% 1.54% 80.6% 61
PC
498
Paulson & Co
New York
$4.57B -$549M -11% 3.33% 143% 62
OSAM
499
O'Shaughnessy Asset Management
Connecticut
$4.57B +$285M +7% 0.37% 99.3% 1,059
VA
500
Valmark Advisers
Ohio
$4.56B -$97.7M -2% 1.03% 31.8% 201