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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
TAM
1601
TFG Asset Management
Cayman Islands
$660M +$139M +27% 0.65% 44% 45
KB
1602
Kimelman & Baird
New York
$660M +$3.28M +0.5% 2.22% 128
QAM
1603
Quentec Asset Management
New York
$659M +$109M +20% 3.38% 30.4% 46
PMG
1604
ProVise Management Group
Florida
$659M +$36.2M +6% 2.71% 54.4% 357
HCM
1605
Herndon Capital Management
Georgia
$659M -$27.2M -4% 2.08% 20.2% 216
CI
1606
Cooper Investors
Australia
$659M +$31.8M +5% 7.9% 36
WCP
1607
Waterfront Capital Partners
New York
$658M +$5.69M +0.9% 4.29% 54.5% 82
DIA
1608
Dean Investment Associates
Ohio
$658M +$58.9M +10% 0.81% 31.8% 229
SGAM
1609
Steinberg Global Asset Management
Florida
$657M +$24.1M +4% 1.29% 32.8% 251
KBG
1610
Kahn Brothers Group
New York
$656M +$74.4M +13% 27.4% 14.7% 35
AT
1611
Arden Trust
Delaware
$655M +$14.5M +2% 2.54% 22.5% 369
FWM
1612
Frontier Wealth Management
Missouri
$653M -$334K -0.1% 2.49% 42.9% 427
MM
1613
Main Management
California
$653M +$30.9M +5% 3.48% 56.4% 49
BGCP
1614
Bristol Gate Capital Partners
Ontario, Canada
$653M +$6.99M +1% 2.79% 72.1% 25
IAS
1615
INR Advisory Services
Pennsylvania
$653M +$24.4M +4% 2.57% 21.9% 124
RFA
1616
Reilly Financial Advisors
California
$653M +$31.1M +5% 3.77% 99.9% 1,016
CCP
1617
Corient Capital Partners
California
$652M +$11M +2% 2.45% 39.2% 318
CHP
1618
Castle Hook Partners
New York
$652M -$204M -24% 1.54% 160% 80
FNFDCM
1619
Folger Nolan Fleming Douglas Capital Management
District of Columbia
$652M -$17.8M -3% 1.69% 43.1% 171
VFM
1620
Viking Fund Management
North Dakota
$652M -$95.4M -13% 5.67% 55.6% 144
SIC
1621
Sigma Investment Counselors
Michigan
$652M +$23M +4% 2.33% 50.2% 137
TSAM
1622
Trinity Street Asset Management
United Kingdom
$651M +$44.1M +7% 11.5% 72.7% 15
MYLI
1623
Meiji Yasuda Life Insurance
Japan
$651M +$15.2M +2% 3.38% 22.9% 346
LFAS
1624
Level Four Advisory Services
Texas
$650M -$332M -34% 1.88% 71.1% 501
HC
1625
Highstar Capital
New York
$649M -$320M -33% 0.33% 5.86% 2