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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
CC
726
Cannell & Co
New York
$2.08B -$734M -26% 18.4% 51.5% 253
Twin Tree Management
727
Twin Tree Management
Texas
$2.08B +$483M +30% 2.03% 7.65% 919
NA
728
NewEdge Advisors
Louisiana
$2.08B -$438M -17% 15.2% 66.4% 932
F
729
Folketrygdfondet
Norway
$2.07B -$996M -32% 29% 6.32% 10
TCM
730
Tenor Capital Management
New York
$2.06B +$192M +10% 0.33% 1.92% 236
Qube Research & Technologies (QRT)
731
Qube Research & Technologies (QRT)
United Kingdom
$2.06B -$1.13B -35% 14.5% 23.6% 1,944
ACM
732
American Capital Management
New York
$2.06B -$330M -14% 12.2% 95.6% 75
EWA
733
EP Wealth Advisors
California
$2.04B -$385M -16% 17% 59.2% 450
BHC
734
Bowen Hanes & Co
Florida
$2.04B -$387M -16% 12.5% 106% 156
CCMLC
735
Cardinal Capital Management LLC (Connecticut)
Connecticut
$2.03B -$1.24B -38% 32.7% 15.7% 60
CCM
736
Cadian Capital Management
New York
$2.03B -$231M -10% 20.2% 67.2% 34
HI
737
Horizon Investments
North Carolina
$2.03B -$254M -11% 6.71% 62.2% 528
PI
738
PEAK6 Investments
Illinois
$2.02B -$488M -19% 2.72% 0.02% 1,950
NA
739
NextCapital Advisers
Illinois
$2.02B -$64.5M -3% 13.9% 6.89% 18
CAG
740
Crestwood Advisors Group
Massachusetts
$2.02B -$508M -20% 16.2% 71.6% 262
SFFS
741
Stonehage Fleming Financial Services
Jersey
$2.01B -$279M -12% 11.5% 85.3% 204
FI
742
Focused Investors
California
$2B -$518M -21% 22% 48.2% 22
SI
743
Scharf Investments
California
$2B -$556M -22% 15.2% 65.9% 44
CCA
744
Catalyst Capital Advisors
New York
$1.99B -$1.12B -36% 25.6% 48% 348
SMFG
745
Sumitomo Mitsui Financial Group
Japan
$1.99B +$744M +60% 14.5% 114% 120
CI
746
Cambiar Investors
Colorado
$1.99B -$1.12B -36% 21.5% 48.4% 191
SGI
747
Swan Global Investments
Colorado
$1.99B -$730M -27% 12.9% 33.3% 24
PF
748
Phoenix Financial
Israel
$1.97B -$411M -17% 21.7% 81.3% 332
TCMV
749
Technology Crossover Management VII
California
$1.97B -$333M -14% 6.85% 35.2% 4
CAM
750
Cidel Asset Management
Ontario, Canada
$1.97B -$448M -19% 21.9% 49.6% 120