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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
SFM
1776
Sphera Funds Management
Israel
$629M +$55.9M +10% 11.3% 99.3% 144
A
1777
AdvicePeriod
California
$629M +$50.8M +9% 0.22% 31.5% 79
HFM
1778
Harvest Fund Management
China
$629M +$3.21M +0.5% 5.71% 209% 348
FEG
1779
Fund Evaluation Group
Ohio
$628M -$270M -30% 3.39% 48.4% 88
KBG
1780
Kahn Brothers Group
New York
$628M +$678K +0.1% 1.44% 14.7% 31
HHAM
1781
HITE Hedge Asset Management
Massachusetts
$628M +$169M +37% 13.4% 17.6% 69
GIG
1782
Goodnow Investment Group
Connecticut
$628M +$94M +18% 20.8% 236% 34
PAM
1783
PSquared Asset Management
Switzerland
$628M -$78.1M -11% 5.47% 237% 5
FM
1784
Foster & Motley
Ohio
$627M +$13.4M +2% 1.32% 49.7% 246
AIP
1785
ARS Investment Partners
New York
$627M -$190M -23% 3.78% 122% 159
BA
1786
Broadview Advisors
Wisconsin
$627M +$16.8M +3% 10.5% 65.3% 97
CCP
1787
Caymus Capital Partners
Texas
$626M +$27.4M +5% 22.8% 57.3% 23
FBB
1788
Fulton Breakefield Broenniman
Maryland
$625M +$48.2M +8% 2.52% 54.1% 116
BVDMP
1789
Bedrijfstakpensioenfonds Voor De Media PNO
Netherlands
$624M +$13.9M +2% 9.46% 116% 35
SGCA
1790
Steel Grove Capital Advisors
Tennessee
$623M -$14.6M -2% 4.96% 76.8% 331
GIM
1791
Grassi Investment Management
California
$623M +$6.65M +1% 1.34% 170% 121
BSPF
1792
British Steel Pension Fund
United Kingdom
$622M -$234M -27% 4.39% 29.7% 201
HCM
1793
Hilton Capital Management
New York
$621M +$286K +0% 2.46% 42.8% 403
ECA
1794
Endeavour Capital Advisors
Connecticut
$621M +$8.83M +1% 2.05% 24.3% 52
SAM
1795
Sandell Asset Management
New York
$620M -$53M -8% 3% 209% 56
MAC
1796
Monarch Alternative Capital
New York
$620M -$3.36M -0.5% 5.99% 107% 9
BFPW
1797
BOK Financial Private Wealth
Colorado
$620M +$13M +2% 1.1% 54.8% 126
PAM
1798
Private Asset Management
California
$620M +$34.5M +6% 2.05% 38.2% 161
BIM
1799
Barton Investment Management
Pennsylvania
$618M +$75.8M +14% 17.8% 218% 41
BSW
1800
Buckingham Strategic Wealth
Missouri
$618M +$104M +20% 3.71% 16.1% 375