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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
CM
1076
Corvex Management
New York
$2.01B -$86.5M -4% 7.85% 64.5% 56
FMWA
1077
Forvis Mazars Wealth Advisors
Missouri
$2.01B +$17.4M +0.9% 6.71% 51.6% 361
BAM
1078
Barrett Asset Management
New York
$2.01B +$101M +5% 4.53% 78.4% 473
PMAM
1079
Picton Mahoney Asset Management
Ontario, Canada
$2B -$9.31M -0.5% 6.71% 129% 522
LCM
1080
Logan Capital Management
Pennsylvania
$2B -$4.81M -0.2% 6.09% 106% 538
BB
1081
Busey Bank
Illinois
$1.99B +$244M +14% 8.25% 76.5% 322
5L
1082
55I LLC
Massachusetts
$1.99B +$647M +48% 3.67% 10.2% 314
FB
1083
Fulton Bank
Pennsylvania
$1.98B +$128M +7% 3.11% 34.7% 512
TPM
1084
Triasima Portfolio Management
Quebec, Canada
$1.98B +$227M +13% 13.3% 117% 187
SIMS
1085
SPT Invest Management Sarl
Luxembourg
$1.98B +$541M +38% 8.08% 3
HCM
1086
Himalaya Capital Management
Washington
$1.98B +$163M +9% 16.9% 71.2% 6
SRIM
1087
Saratoga Research & Investment Management
California
$1.98B +$112M +6% 5.12% 54.8% 45
IM
1088
Islet Management
New York
$1.97B +$914M +86% 1.42% 32.4% 198
DCM
1089
Dorsal Capital Management
California
$1.97B +$240M +14% 4.9% 149% 25
BCV
1090
Banque Cantonale Vaudoise
Switzerland
$1.96B +$166M +9% 6.01% 1,200
AC
1091
Addenda Capital
Quebec, Canada
$1.96B +$371M +23% 7.5% 51.5% 104
CIP
1092
CAS Investment Partners
Connecticut
$1.96B +$152M +8% 13% 958% 6
LMIM
1093
Lockheed Martin Investment Management
Maryland
$1.96B +$22.2M +1% 4.54% 58.4% 90
MAM
1094
Meeder Asset Management
Ohio
$1.95B +$1.5B +332% 8.01% 117% 2,577
BCM
1095
Bluefin Capital Management
New York
$1.95B +$420M +27% 5.89% 751
GCM
1096
Graham Capital Management
Connecticut
$1.95B -$46.1M -2% 4.68% 22% 172
ECM
1097
Evergreen Capital Management
Washington
$1.95B +$240M +14% 6.57% 53.9% 524
PFM
1098
Parsec Financial Management
North Carolina
$1.95B +$98.3M +5% 7.31% 70.8% 262
BFM
1099
Boothbay Fund Management
New York
$1.94B +$32.7M +2% 6.56% 95.8% 1,823
C
1100
Consulta
United Kingdom
$1.94B +$96.7M +5% 5.9% 54% 11