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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
DCM
826
Dupont Capital Management
Delaware
$3.18B -$1.06B -25% 0.12% 97.6% 2,067
JCM
827
Junto Capital Management
New York
$3.17B +$35.7M +1% 3.18% 133% 78
SI
828
Scharf Investments
California
$3.17B -$125M -4% 1.48% 65.9% 51
WCMNY
829
Westchester Capital Management (New York)
New York
$3.17B -$767M -19% 1.89% 86.5% 435
ACM
830
Argent Capital Management
Missouri
$3.16B -$40.7M -1% 0.25% 97.9% 192
RL
831
Ruffer LLP
United Kingdom
$3.16B -$410M -11% 8.46% 88.9% 98
ASN
832
Advisory Services Network
Georgia
$3.14B -$25.4M -0.8% 0.23% 75.4% 3,727
BRWA
833
B. Riley Wealth Advisors
Florida
$3.14B +$65.4M +2% 0.41% 1,509
FA
834
FDx Advisors
Illinois
$3.14B +$127M +4% 0.98% 58.9% 859
PCM
835
Polaris Capital Management
Massachusetts
$3.14B +$37.5M +1% 0.88% 49.6% 105
WHRC
836
W.H. Reaves & Co
New Jersey
$3.13B +$59.4M +2% 1.6% 56% 73
SCM
837
Saba Capital Management
New York
$3.13B +$429M +16% 0.5% 22.7% 575
HI
838
Harbour Investments
Wisconsin
$3.13B -$4.34M -0.1% 0.86% 47.7% 4,193
VDI
839
Vaughan David Investments
Illinois
$3.13B -$70M -2% 0.88% 52.9% 200
CPO
840
Cerity Partners OCIO
New York
$3.12B +$86.1M +3% 1.18% 424
USGIU
841
U.S. Global Investors (USGI)
Texas
$3.12B +$139M +5% 4.23% 67.7% 169
EMPI
842
Elo Mutual Pension Insurance
Finland
$3.11B +$97.8M +3% 1.09% 97.2% 429
TCM
843
Tekla Capital Management
Massachusetts
$3.11B +$28.3M +0.9% 3.73% 62.3% 206
FWCM
844
Ferguson Wellman Capital Management
Oregon
$3.1B +$28.6M +0.9% 1.04% 89.3% 357
CAM
845
ClariVest Asset Management
California
$3.09B +$89.2M +3% 1.76% 106% 859
PFM
846
Premier Fund Managers
United Kingdom
$3.08B +$129M +4% 0.18% 72.4% 232
ANTB
847
AMG National Trust Bank
Colorado
$3.08B -$26.8M -0.9% 1.28% 46.8% 461
AAM
848
Alpine Associates Management
Florida
$3.08B -$563M -15% 11.2% 360% 79
LIMS
849
Lasalle Investment Management Securities
Maryland
$3.08B -$127M -4% 0.21% 5.28% 53
PHS
850
PFM Health Sciences
California
$3.08B -$27.1M -0.9% 10.1% 131% 94