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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
FTCM
1126
Fir Tree Capital Management
New York
$1.06B +$70.8M +7% 13.5% 9.32% 98
CG
1127
Cutler Group
California
$1.06B -$168M -14% 5.66% 39.6% 2,377
SI
1128
Sofinnova Investments
California
$1.05B -$304M -22% 11.4% 338% 76
SC
1129
Savant Capital
Illinois
$1.05B +$238M +29% 19.9% 48.1% 410
SHGA
1130
Sand Hill Global Advisors
California
$1.05B -$50.5M -5% 19.1% 50.5% 145
GFA
1131
Gallagher Fiduciary Advisors
Illinois
$1.05B +$69.7M +7% 24.3% 76.8% 8
PAG
1132
Pinnacle Advisory Group
Maryland
$1.04B -$444M -30% 9.51% 45.8% 170
BSW
1133
Buckingham Strategic Wealth
Missouri
$1.04B -$5.53M -0.5% 17.8% 16.1% 530
NSAM
1134
North Star Asset Management
Wisconsin
$1.04B -$356M -26% 18.6% 63.8% 299
AC
1135
Aristeia Capital
Connecticut
$1.03B -$320M -24% 9.33% 49.7% 93
RP
1136
Reinhart Partners
Wisconsin
$1.03B -$328M -24% 32.6% 68.3% 86
WPC
1137
Waters Parkerson & Co
Louisiana
$1.03B -$305M -23% 21.3% 54.2% 164
SHCM
1138
Sachem Head Capital Management
New York
$1.03B -$245M -19% 23.3% 89.3% 15
FI
1139
Fosun International
China
$1.03B -$174M -14% 11.3% 3.77% 245
HSA
1140
HBK Sorce Advisory
Pennsylvania
$1.03B -$118M -10% 19% 53.6% 466
MCI
1141
McDonald Capital Investors
California
$1.03B -$147M -12% 13.9% 104% 23
PIM
1142
Paradice Investment Management
Colorado
$1.03B -$411M -29% 31.9% 44.7% 46
HVCM
1143
HG Vora Capital Management
New York
$1.03B -$40.3M -4% 46.7% 35.8% 28
QAM
1144
QCI Asset Management
New York
$1.03B -$130M -11% 16.2% 53.4% 716
TSS
1145
Two Sigma Securities
New York
$1.02B -$262M -20% 3.78% 24.1% 1,543
Group One Trading
1146
Group One Trading
Illinois
$1.02B -$337M -25% 2.18% 11% 2,606
TIAM
1147
TT International Asset Management
United Kingdom
$1.02B 20.2% 135% 36
CFA
1148
Carroll Financial Associates
North Carolina
$1.02B -$240M -19% 19.5% 79.9% 1,818
DJSG
1149
D.J. St. Germain
Massachusetts
$1.02B -$174M -15% 17.3% 230
TYCC
1150
Texas Yale Capital Corp
Florida
$1.02B -$442M -30% 24.9% 170% 454