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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
ELI
1101
Empire Life Investments
Ontario, Canada
$1.09B -$222M -17% 22% 65.4% 113
SL
1102
Summitry LLC
California
$1.09B -$152M -12% 19.4% 80.7% 90
NIM
1103
Northeast Investment Management
Massachusetts
$1.09B -$268M -20% 13.8% 90.5% 179
TCA
1104
Taconic Capital Advisors
New York
$1.09B -$7.67M -0.7% 9.45% 77.6% 70
COLIM
1105
City of London Investment Management
United Kingdom
$1.09B -$334M -24% 24.8% 27.5% 151
GJIC
1106
Gamble Jones Investment Counsel
California
$1.09B -$196M -15% 12.8% 32.9% 213
CA
1107
Cambridge Associates
Massachusetts
$1.08B +$210M +24% 17.3% 40.7% 46
AF
1108
Advisornet Financial
Minnesota
$1.08B -$95.3M -8% 14.1% 54.1% 2,045
IWC
1109
Integrated Wealth Concepts
Massachusetts
$1.08B -$103M -9% 12.3% 55.3% 495
EP
1110
Edgestream Partners
New Jersey
$1.08B -$844M -44% 23% 31.6% 387
CAM
1111
Contour Asset Management
New York
$1.08B -$323M -23% 9.76% 185% 46
MAM
1112
Majedie Asset Management
United Kingdom
$1.08B -$293M -21% 16.5% 126% 86
ABTD
1113
Arvest Bank Trust Division
Oklahoma
$1.08B -$477M -31% 21.6% 148
ACM
1114
Ashe Capital Management
New Jersey
$1.08B -$231M -18% 22% 134% 12
DVF
1115
Discovery Value Fund
Singapore
$1.08B -$106M -9% 1.03% 212% 24
NP
1116
NS Partners
United Kingdom
$1.08B -$180M -14% 13.3% 98.8% 88
SC
1117
SRB Corp
Massachusetts
$1.07B -$163M -13% 12.2% 48.9% 189
BI
1118
BVF Inc
California
$1.07B -$246M -19% 13.9% 404% 61
ECM
1119
Evergreen Capital Management
Washington
$1.07B -$129M -11% 19.9% 53.9% 512
FHA
1120
First Horizon Advisors
Tennessee
$1.07B -$288M -21% 19.2% 55.2% 1,759
TCOV
1121
Trust Company of Vermont
Vermont
$1.07B -$257M -19% 17.6% 64.6% 986
GW
1122
GW & Wade
Massachusetts
$1.06B -$239M -18% 17.8% 32.2% 247
HP
1123
Hound Partners
New York
$1.06B -$367M -26% 28% 32.3% 51
FMW
1124
Farr Miller & Washington
District of Columbia
$1.06B -$323M -23% 19.8% 62.4% 153
HCMT
1125
Highland Capital Management (Tennessee)
Tennessee
$1.06B -$380M -26% 20.3% 90.5% 348