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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
LKIM
2176
Lawson Kroeker Investment Management
Nebraska
$337M -$6.61M -2% 1.59% 61.2% 92
YL
2177
YCG LLC
Texas
$336M +$3.69M +1% 0.26% 77.9% 63
BWFA
2178
Baltimore-Washington Financial Advisors
Maryland
$336M -$7.28M -2% 0.23% 87.1% 328
KJHP
2179
K.J. Harrison & Partners
Ontario, Canada
$336M -$6.62M -2% 0.24% 100% 198
MC
2180
MIG Capital
California
$336M +$35.1M +12% 1.08% 92% 32
WCP
2181
Welch Capital Partners
New York
$336M +$27.5M +9% 2.92% 69.2% 43
ECM
2182
Ensemble Capital Management
California
$336M +$15.4M +5% 0.31% 36.2% 49
AAIM
2183
American Assets Investment Management
California
$334M +$21.3M +7% 0.5% 316% 117
BTNA
2184
Bremer Trust National Association
Minnesota
$334M +$20.1M +6% 0.29% 31.2% 256
SC
2185
Sageview Capital
Connecticut
$334M +$121M +57% 14.4% 458% 5
LIM
2186
Longfellow Investment Management
Massachusetts
$334M +$32.9M +11% 10.9% 46.3% 54
TMNFIC
2187
Tokio Marine & Nichido Fire Insurance Company
Japan
$334M -$18.5M -5% 0.15% 9
3AM
2188
3D Asset Management
Connecticut
$333M +$2.44M +0.7% 1.41% 0.82% 44
JIP
2189
Jaffetilchin Investment Partners
Florida
$333M +$2.73M +0.8% 0.99% 80.4% 264
BIA
2190
Biondo Investment Advisors
Pennsylvania
$333M -$4.01M -1% 2.38% 102% 85
VC
2191
Vestor Capital
Illinois
$333M +$33.6M +11% 0.17% 164% 110
GC
2192
Garde Capital
Washington
$333M +$2.87M +0.9% 0.94% 58.5% 151
FBC
2193
Fairfield, Bush & Co
Connecticut
$332M -$10.4M -3% 1.17% 102% 176
SMI
2194
Shelter Mutual Insurance
Missouri
$332M +$12.7M +4% 2.37% 51.7% 43
SGDR
2195
SPX Gestao de Recursos
Brazil
$332M +$145M +78% 0.68% 65.9% 42
PCM
2196
Piermont Capital Management
Missouri
$331M +$2.98M +0.9% 1.29% 33.3% 285
HAM
2197
Hillcrest Asset Management
Texas
$331M +$748K +0.2% 0.44% 97.2% 50
SE
2198
Summit Equities
New Jersey
$331M +$27M +9% 0.8% 40.7% 24
CF
2199
Cypress Funds
California
$331M -$49.6M -13% 2.79% 202% 26
GCA
2200
Greenwood Capital Associates
South Carolina
$331M -$18.5M -5% 0.26% 60.4% 179