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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
LWIC
1551
Leith Wheeler Investment Counsel
British Columbia, Canada
$1.44B +$58.4M +4% 2.66% 54.9% 81
OC
1552
Oakworth Capital
Alabama
$1.44B -$17.7M -1% 1.08% 49.6% 704
CIM
1553
Cambria Investment Management
California
$1.43B -$210M -13% 2.21% 50% 484
CL
1554
CSS LLC
Illinois
$1.43B -$245M -15% 0.44% 40.1% 945
RCA
1555
Resonant Capital Advisors
Wisconsin
$1.43B +$63.6M +5% 0.03% 39.1% 378
AAM
1556
Aureus Asset Management
Massachusetts
$1.43B -$121M -8% 3.21% 88.4% 223
OFG
1557
Oxford Financial Group
Indiana
$1.43B -$118M -8% 1.07% 76.1% 309
BWP
1558
Baldwin Wealth Partners
Massachusetts
$1.43B -$22.4M -2% 1.23% 75% 249
GIM
1559
Generate Investment Management
New Zealand
$1.43B -$4.96M -0.3% 3.88% 96
FAIM
1560
Financial Advocates Investment Management
Washington
$1.42B -$332M -19% 2.13% 64.6% 780
QOP
1561
Quinn Opportunity Partners
Virginia
$1.42B +$42.2M +3% 6.82% 47.9% 459
AIP
1562
Atlas Infrastructure Partners
United Kingdom
$1.42B +$1.01B +241% 4.47% 13.2% 7
HBT
1563
Hills Bank & Trust
Iowa
$1.42B +$91.7M +7% 0.44% 55.1% 311
GLA
1564
Good Life Advisors
Pennsylvania
$1.42B +$46.5M +3% 2.29% 60% 525
BP
1565
BBR Partners
New York
$1.42B -$17M -1% 4.73% 55.8% 262
FSA
1566
Franklin Street Advisors
North Carolina
$1.42B -$88.5M -6% 4.66% 112% 172
CA
1567
Cullinan Associates
Kentucky
$1.41B -$143M -9% 0.44% 90.8% 226
AFG
1568
Albion Financial Group
Utah
$1.41B -$47.6M -3% 3.41% 61.1% 709
CCA
1569
Checchi Capital Advisers
California
$1.41B +$74.9M +6% 0.86% 51% 591
BFO
1570
Boston Family Office
Massachusetts
$1.41B -$43.8M -3% 1.74% 54.4% 287
EAM
1571
Evanson Asset Management
California
$1.41B -$48.7M -3% 0.57% 59.2% 323
EMFAT
1572
Emerald Mutual Fund Advisers Trust
Pennsylvania
$1.41B -$235M -14% 5.84% 272% 237
PP
1573
PDT Partners
New York
$1.41B +$279M +25% 3.6% 142% 877
PHK
1574
Point72 Hong Kong
Hong Kong
$1.4B -$203M -13% 1.58% 223% 664
VPC
1575
Vestal Point Capital
New York
$1.4B -$286M -17% 17% 86