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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
EDRH
601
Edmond de Rothschild Holding
Switzerland
$3.49B +$71M +2% 4.51% 61.8% 807
CCMG
602
Clark Capital Management Group
Pennsylvania
$3.47B +$284M +9% 3% 84.1% 328
Wolverine Trading
603
Wolverine Trading
Illinois
$3.47B +$0 0% 0.4% 6.5% 2,222
BB
604
BB Biotech
Switzerland
$3.46B -$155M -4% 4.98% 120% 34
Hudson Bay Capital Management
605
Hudson Bay Capital Management
Connecticut
$3.46B +$834M +32% 2.44% 62.4% 715
DSC
606
Donald Smith & Co
New York
$3.46B -$285M -8% 0.27% 165% 68
PCM
607
Palisade Capital Management
New Jersey
$3.46B +$506M +17% 6.18% 55.3% 498
SGAM
608
Smith Group Asset Management
Texas
$3.46B +$417M +14% 9.64% 479
VBA
609
Van Berkom & Associates
Quebec, Canada
$3.44B +$141M +4% 5.55% 68% 64
MIP
610
Mondrian Investment Partners
United Kingdom
$3.42B -$246M -7% 2.3% 38.1% 134
NAM
611
Nissay Asset Management
Japan
$3.42B +$218M +7% 4.01% 92.4% 732
JAM
612
Jupiter Asset Management
United Kingdom
$3.42B +$134M +4% 3.57% 84.2% 263
JP
613
Jana Partners
New York
$3.4B +$106M +3% 11.3% 36% 63
SLG
614
Silver Lake Group
California
$3.38B -$250M -7% 29.4% 92.4% 10
HCM
615
Highbridge Capital Management
New York
$3.38B -$443M -12% 0.62% 28.6% 1,127
AIA
616
Avalon Investment & Advisory
Texas
$3.37B +$138M +4% 3.55% 93.5% 361
CIP
617
Chartwell Investment Partners
Pennsylvania
$3.36B +$442M +15% 6.17% 57.2% 519
Walleye Trading
618
Walleye Trading
New York
$3.35B -$111M -3% 0.81% 8.49% 2,146
NAMA
619
Nikko Asset Management Americas
New York
$3.35B +$534M +19% 6.95% 256% 165
CI
620
Cincinnati Insurance
Ohio
$3.35B +$29.8M +0.9% 1.56% 50.1% 70
AI
621
Axiom Investors
Connecticut
$3.33B -$747M -18% 3.36% 241% 170
SI
622
Stephens Inc
Arkansas
$3.31B +$628M +23% 2.85% 65.5% 902
FT
623
Fiduciary Trust
Massachusetts
$3.3B +$66.7M +2% 2.98% 70.4% 463
NIM
624
NXG Investment Management
Texas
$3.29B +$413M +14% 12.3% 92.1% 166
BCIM
625
Black Creek Investment Management
Ontario, Canada
$3.28B +$223M +7% 1.21% 15.7% 28