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

Live Disclosures

Portfolio disclosures for 2025 Q3 are currently underway and will close on November 14th. As of this moment, 6,984 funds (~86%) have disclosed their holdings. The data below updates in real time the instant a fund submits a disclosure to the regulatory authority.

Name AUM AUM
Growth
AUM
Growth %
Quarter Est. Return 3 Year Est. Return Holdings Portfolio Turnover
SRF
6576
Silver Rock Financial
California
$69.3M -$11.9M -15% 30
DCM
6577
Deuterium Capital Management
Florida
$69.1M +$15.8M +30% 18
IA
6578
Invested Advisors
Pennsylvania
$68.7M 108
A
6579
Atomvest
Hong Kong
$68.5M +$15.2M +29% 6
TIM
6580
Tikehau Investment Management
France
$68.4M +$4.32M +7% 19
EVP
6581
Evergreen Venture Partners
Israel
$68.4M -$16M -19% 1
HI
6582
Hyundai Investments
South Korea
$68.4M +$9.23M +16% 1
AIP
6583
Arrowpoint Investment Partners
Singapore
$68.3M +$11.7M +21% 117
SAM
6584
Scion Asset Management
California
$68.1M +$11.9M +21% 18
LCM
6585
LDR Capital Management
New York
$68.1M -$9.19M -12% 39
NWM
6586
Navigation Wealth Management
Colorado
$68.1M +$159K +0.2% 35
MCM
6587
M28 Capital Management
Connecticut
$68M +$9.38M +16% 9
MGM
6588
Miura Global Management
New York
$67.9M -$25.1M -27% 26
SWCM
6589
Sullivan Wood Capital Management
District of Columbia
$67.9M +$19.9M +42% 21
CIS
6590
Continental Investors Services
Washington
$67.4M +$11.8M +21% 73
MA
6591
McGrath & Associates
North Carolina
$67.3M +$5.86M +10% 43
KAM
6592
Kinney Asset Management
Illinois
$67.1M -$7.15M -10% 3
CLP
6593
Charis Legacy Partners
Texas
$67M +$6.32M +10% 30
CMANY
6594
Capital Management Associates (New York)
New York
$67M +$5.73M +9% 46
MMC
6595
Mainsail Management Company
Texas
$66M -$63.8K -0.1% 2
CCA
6596
Corps Capital Advisors
Texas
$66M +$3.76M +6% 55
TCP
6597
Teleios Capital Partners
$65.7M -$21.6M -25% 1
KA
6598
Kinnevik AB
Sweden
$65.6M -$2.42M -4% 1
WWP
6599
Wise Wealth Partners
Arizona
$65.5M +$5.64M +9% 54
RCMF
6600
RK Capital Management (Florida)
Florida
$64.6M -$16.9M -21% 22