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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
RCMNY
1601
Rubric Capital Management (New York)
New York
$612M -$246M -29% 26.9% 141% 70
CQS
1602
Credential Qtrade Securities
$612M -$125M -17% 20.5% 27.7% 335
CM
1603
Capula Management
Cayman Islands
$612M +$425M +228% 5.86% 44.1% 193
MCM
1604
Manchester Capital Management
Vermont
$611M -$301M -33% 18.1% 53.6% 578
AC
1605
Alexandria Capital
Virginia
$611M -$137M -18% 15.1% 66.9% 263
TTWM
1606
TCV Trust & Wealth Management
Virginia
$609M -$214M -26% 19.1% 55.3% 196
WI
1607
Wintrust Investments
Illinois
$609M -$105M -15% 17.4% 27.5% 378
WA
1608
WFM Asia
British Virgin Islands
$608M -$237M -28% 0.85% 72% 11
EC
1609
Estate Counselors
Wisconsin
$608M -$72.6M -11% 13% 43.1% 143
LBC
1610
Lowe Brockenbrough & Co
Virginia
$607M -$199M -25% 19.6% 69.9% 223
CLC
1611
Charles-Lim Capital
Hong Kong
$605M +$15.5M +3% 12.5% 10.4% 5
PCM
1612
Penn Capital Management
Pennsylvania
$604M -$340M -36% 28.6% 105% 247
AAI
1613
Aequim Alternative Investments
California
$604M +$66.6M +12% 4.99% 24.8% 76
CCA
1614
Conservest Capital Advisors
Pennsylvania
$604M -$162M -21% 18.1% 45.7% 79
SFM
1615
Sphera Funds Management
Israel
$604M -$150M -20% 8.63% 99.3% 110
GLAM
1616
Gardner Lewis Asset Management
Pennsylvania
$603M -$130M -18% 0.27% 270% 104
HHAA
1617
Henry H. Armstrong Associates
Pennsylvania
$603M -$91.3M -13% 12.4% 74.8% 65
TAM
1618
Taurus Asset Management
New York
$603M -$165M -21% 16.7% 26.9% 90
CCP
1619
Cardan Capital Partners
Colorado
$602M -$145M -19% 1.73% 64% 235
WCP
1620
Waterfront Capital Partners
New York
$602M -$48.8M -7% 15.4% 54.5% 60
WB
1621
Webster Bank
Connecticut
$602M -$181M -23% 15.9% 72.8% 550
OAMG
1622
Odey Asset Management Group
United Kingdom
$601M -$405M -40% 20.9% 259% 89
SSWM
1623
Smith Salley Wealth Management
North Carolina
$601M -$157M -21% 18.6% 81.6% 206
TNB
1624
Thomasville National Bank
Georgia
$600M -$48.2M -7% 17.8% 79.9% 206
IMC Chicago
1625
IMC Chicago
Illinois
$598M -$395M -40% 0.31% 1.9% 528