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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
FCH
1126
Freestone Capital Holdings
Washington
$1.88B -$592M -24% 3.44% 74.5% 414
SCH
1127
Sylebra Capital (HK)
Hong Kong
$1.88B -$556M -23% 7.12% 17.1% 23
BC
1128
Boxer Capital
California
$1.88B -$278M -13% 5.57% 261% 84
CCM
1129
Chickasaw Capital Management
Tennessee
$1.87B +$66M +4% 7.06% 99.8% 85
HFCIX
1130
H&F Corporate Investors X
California
$1.87B +$514M +38% 37.9% 1
SGI
1131
Swan Global Investments
Colorado
$1.87B +$542M +41% 2.02% 33.3% 36
TBC
1132
Tweedy, Browne Co
Connecticut
$1.87B -$36.2M -2% 0.49% 46% 49
PL
1133
Plancorp LLC
Missouri
$1.87B +$14.4M +0.8% 2.6% 53.5% 264
LIM
1134
Lingotto Investment Management
United Kingdom
$1.86B +$317M +21% 17.5% 442% 36
BCPEMI
1135
Bain Capital Public Equity Management II
Massachusetts
$1.86B +$129M +7% 3.9% 213% 42
FFH
1136
Fairfax Financial Holdings
Ontario, Canada
$1.86B -$17.9M -1% 0.06% 98.5% 63
CSPIA
1137
Cary Street Partners Investment Advisory
Virginia
$1.86B +$304M +20% 2.46% 66.6% 1,947
FWTB
1138
First Western Trust Bank
Colorado
$1.86B -$187M -9% 7.43% 81.1% 188
NP
1139
NS Partners
United Kingdom
$1.86B -$40.3M -2% 4.17% 98.8% 77
NC
1140
NZS Capital
Colorado
$1.86B -$142M -7% 4.07% 144% 67
PCM
1141
Polaris Capital Management
Massachusetts
$1.86B -$807M -30% 1.53% 49.6% 95
CPIG
1142
Chicago Partners Investment Group
Illinois
$1.85B -$68.8M -4% 2.26% 59% 713
SCM
1143
Suvretta Capital Management
New York
$1.85B -$19.7M -1% 4.76% 180% 109
HPC
1144
Hill Path Capital
New York
$1.85B -$364M -16% 16.4% 16% 6
FP
1145
FPR Partners
California
$1.85B -$219M -11% 3.55% 34% 15
SP
1146
Symmetry Partners
Connecticut
$1.84B -$42.4M -2% 2.38% 48.1% 597
CCFCSB
1147
Cape Cod Five Cents Savings Bank
Massachusetts
$1.84B +$893M +94% 3.27% 20.2% 243
GC
1148
Giverny Capital
Quebec, Canada
$1.84B -$58.4M -3% 4.44% 93.9% 62
NMC
1149
New Mountain Capital
New York
$1.84B -$349M -16% 15.3% 12.8% 3
CAM
1150
ClariVest Asset Management
California
$1.84B -$155M -8% 0.34% 106% 870