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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
MFM
1676
Marianas Fund Management
New York
$517M -$6.02M -1% 1.47% 26.4% 39
THSP
1677
Taube Hodson Stonex Partners
United Kingdom
$517M -$81.1M -14% 0.66% 8.82% 19
ICM
1678
Ionic Capital Management
New York
$517M -$51.8M -9% 0.88% 60.9% 313
PAM
1679
Palisade Asset Management
Minnesota
$516M +$49.8M +11% 7.74% 49.5% 132
YMRC
1680
Yorktown Management & Research Company
Virginia
$515M -$49.6M -9% 2.72% 167% 433
WDA
1681
Wendell David Associates
New Hampshire
$515M +$8.11M +2% 3.85% 59.6% 153
CWM
1682
Calamos Wealth Management
Illinois
$514M +$16.6M +3% 0.12% 90.3% 283
ST
1683
Smithfield Trust
Pennsylvania
$514M +$29M +6% 2.55% 38.4% 866
RCAG
1684
Rehmann Capital Advisory Group
Michigan
$514M +$37.6M +8% 1.98% 52.7% 406
WCM
1685
Windward Capital Management
California
$513M +$11.4M +2% 2.09% 65.7% 98
WC
1686
Wexford Capital
Florida
$513M +$88M +21% 6.03% 168% 112
SAM
1687
Steinberg Asset Management
New York
$513M -$70.1M -12% 1.78% 84.4% 51
GW
1688
GW & Wade
Massachusetts
$512M +$36.3M +8% 4.12% 32.2% 234
LM
1689
Litespeed Management
New York
$512M -$171M -25% 1.63% 69.7% 27
AA
1690
Ancient Art
Texas
$512M -$35.8M -7% 5.12% 111% 19
VIM
1691
Veritas Investment Management
United Kingdom
$511M -$12.6M -2% 3.91% 69% 89
SCM
1692
Schneider Capital Management
Pennsylvania
$511M +$27.3M +6% 3.62% 52.5% 81
GLAM
1693
Gardner Lewis Asset Management
Pennsylvania
$510M -$126M -20% 6.68% 270% 113
HCMNY
1694
Howard Capital Management (New York)
New York
$510M -$250K -0% 1.1% 76.8% 101
FCM
1695
FJ Capital Management
Virginia
$509M -$39.7M -7% 2.99% 28.4% 105
GC
1696
Giverny Capital
Quebec, Canada
$509M +$6.18M +1% 1.28% 93.9% 26
JCP
1697
Jabre Capital Partners
Switzerland
$508M +$28.6M +6% 1.77% 38.8% 133
MAA
1698
Matrix Asset Advisors
New York
$507M -$12.5M -2% 0.46% 59.1% 86
AP
1699
Appleton Partners
Massachusetts
$506M -$1.03M -0.2% 0.11% 70.9% 222
CCM
1700
Crestwood Capital Management
New York
$506M -$39.4M -7% 1.08% 198% 39