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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
EDRS
2201
Edmond de Rothschild (Suisse)
Switzerland
$296M -$19.2M -6% 9.11% 488
RC
2202
RBO & Co
California
$296M -$10.5M -3% 5.62% 28.9% 61
SSA
2203
South Street Advisors
New York
$296M -$22.9M -7% 7.14% 141% 62
SSWM
2204
Sheets Smith Wealth Management
North Carolina
$296M -$70.2M -19% 4.72% 55.4% 247
BFS
2205
Baskin Financial Services
Ontario, Canada
$295M -$24.9M -8% 7.33% 86.7% 44
DTL
2206
Dynamic Technology Lab
Singapore
$295M +$6.9M +2% 11.4% 24.8% 1,260
GFM
2207
Gramercy Funds Management
Connecticut
$295M -$25.3M -8% 20.5% 77
FNBTCON
2208
First National Bank & Trust Co of Newtown
Pennsylvania
$294M -$12.9M -4% 3.94% 42.3% 113
WCP
2209
Welch Capital Partners
New York
$294M -$41.4M -12% 8.13% 69.2% 42
SLCM
2210
Seven Locks Capital Management
New York
$294M +$12.6M +4% 6.72% 25.6% 37
EBSAM
2211
Eubel Brady & Suttman Asset Management
Ohio
$294M -$10.6M -3% 6.15% 40.6% 84
KCM
2212
Knighthead Capital Management
New York
$293M -$128M -30% 12.8% 10.9% 14
SCA
2213
Stillwater Capital Advisors
Pennsylvania
$293M -$52.5M -15% 7.18% 115% 75
BP
2214
Berkshire Partners
Massachusetts
$292M -$16.9M -5% 5.46% 23.2% 1
LIM
2215
Lathrop Investment Management
Arkansas
$292M -$12.5M -4% 6.16% 72.1% 61
JWBC
2216
J.W. Burns & Co
New York
$292M -$13.3M -4% 5.08% 74.8% 163
RIG
2217
Raveneur Investment Group
New York
$292M +$15.1M +5% 2.07% 23
TMNFIC
2218
Tokio Marine & Nichido Fire Insurance Company
Japan
$292M -$41.7M -13% 6.21% 8
11A
2219
10-15 Associates
New York
$292M -$31.3M -10% 9.55% 33.2% 125
HCM
2220
Hilton Capital Management
New York
$292M -$62.4M -18% 5.02% 42.8% 119
CAM
2221
Chou Associates Management
Ontario, Canada
$291M -$35.8M -11% 12.6% 92% 25
MRM
2222
Michael R. Murphy
$291M -$27.9M -9% 15.5% 93.9% 27
TCOTO
2223
Trust Company of the Ozarks
Missouri
$290M -$69.6M -19% 0.3% 176
ECM
2224
Everence Capital Management
Indiana
$290M -$19.3M -6% 6.22% 82.7% 312
GA
2225
GFS Advisors
Texas
$289M -$14.3M -5% 10.5% 66.3% 134