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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
RAM
876
RWC Asset Management
United Kingdom
$1.9B -$54M -3% 1.64% 40.7% 159
ONB
877
Old National Bancorp
Indiana
$1.9B -$39M -2% 0.47% 70.1% 658
WA
878
Whitebox Advisors
Minnesota
$1.9B -$194K -0% 0.04% 11.4% 115
DIA
879
Denver Investment Advisors
Colorado
$1.89B -$111M -6% 0.77% 31.8% 450
GCP
880
GSA Capital Partners
United Kingdom
$1.89B +$247M +15% 0.4% 63.5% 2,016
SII
881
Silchester International Investors
United Kingdom
$1.89B -$324M -15% 10.2% 54.7% 29
AWCI
882
Alpine Woods Capital Investors
New York
$1.89B -$118M -6% 3.49% 86.8% 475
TH
883
TCTC Holdings
Texas
$1.88B -$32.9M -2% 2.62% 54.3% 168
BOTOTLSJU
884
Board of Trustees of The Leland Stanford Junior University
California
$1.87B +$285M +18% 0.23% 67.8% 22
PMG
885
Private Management Group
California
$1.87B -$72M -4% 3.54% 47.3% 118
MFM
886
MHR Fund Management
New York
$1.87B -$364M -16% 16.4% 118% 14
CIA
887
Choate Investment Advisors
Massachusetts
$1.87B -$85.2M -4% 0.87% 63.2% 244
VF
888
Virtu Financial
New York
$1.86B -$28.6M -2% 0.69% 87.7% 3,167
CCM
889
Cadian Capital Management
New York
$1.85B +$219M +13% 9.47% 67.2% 32
PGFC
890
Peapack-Gladstone Financial Corp
New Jersey
$1.85B -$14.2M -0.8% 1.64% 59.3% 342
GI
891
Gradient Investments
Minnesota
$1.85B +$116M +7% 1.65% 46.2% 1,248
AACR
892
ACR Alpine Capital Research
Missouri
$1.84B -$45.4M -2% 1.24% 39.2% 31
OCAM
893
Onex Canada Asset Management
Ontario, Canada
$1.84B -$43.4M -2% 2.61% 75.5% 108
CG
894
Colony Group
Massachusetts
$1.84B +$240M +15% 0.19% 33.2% 546
HCMT
895
Highland Capital Management (Texas)
Texas
$1.83B -$39.1M -2% 2.19% 394
ADEF
896
Adams Diversified Equity Fund
Maryland
$1.83B -$32.2M -2% 0.71% 123% 232
JCAM
897
Jericho Capital Asset Management
New York
$1.83B -$88.3M -5% 15.3% 493% 39
BOI
898
Bank of Italy
Italy
$1.83B +$7.27M +0.4% 0.85% 61.7% 5
RHBC
899
R.H. Bluestein & Co
Michigan
$1.82B -$103M -5% 3.08% 69% 344
CL
900
CSS LLC
Illinois
$1.81B +$159M +10% 2% 40.1% 591