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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
RA
2201
Resolute Advisors
California
$736M +$80.1M +12% 8.06% 1.87% 552
CCG
2202
Cypress Capital Group
Florida
$736M -$2.55M -0.3% 0.08% 72.1% 294
JGUA
2203
John G. Ullman & Associates
New York
$735M -$32.3M -4% 3.12% 60.4% 167
GLA
2204
Good Life Advisors
Pennsylvania
$734M +$207M +39% 0.86% 60% 389
PAM
2205
Private Asset Management
California
$733M -$17.2M -2% 1.19% 38.2% 157
ALAM
2206
Asahi Life Asset Management
Japan
$733M -$15.2M -2% 0.82% 101% 309
KGAMU
2207
KPS Global Asset Management (UK)
United Kingdom
$733M -$103M -12% 7.19% 1,074% 5
WSCM
2208
Wellington Shields Capital Management
New York
$733M -$94.2M -11% 0.5% 55.7% 306
A
2209
Apoletto
British Virgin Islands
$732M -$29.6M -4% 11% 177% 13
OC
2210
ORIX Corp
Japan
$732M -$32.1M -4% 4.2% 6.9% 1
FSWA
2211
Financial Synergies Wealth Advisors
Texas
$732M -$1.27M -0.2% 1.28% 48.6% 68
AAP
2212
Arax Advisory Partners
Colorado
$731M -$2.36M -0.3% 1.04% 43.8% 1,099
IAM
2213
Ion Asset Management
Israel
$731M -$83M -10% 4.88% 75% 62
MCM
2214
Manchester Capital Management
Vermont
$731M +$4.77M +0.7% 1.52% 53.6% 1,170
TCM
2215
Telos Capital Management
California
$731M -$25M -3% 1.11% 51.1% 191
GCM
2216
Galibier Capital Management
Ontario, Canada
$730M -$13.4M -2% 1.02% 37.7% 43
TCM
2217
Traynor Capital Management
Pennsylvania
$730M +$14.4M +2% 0.86% 180% 215
CIAS
2218
CFS Investment Advisory Services
New Jersey
$730M +$620M +565% 0.58% 42.1% 216
AWM
2219
Apollon Wealth Management
South Carolina
$730M +$170M +30% 0.18% 71.3% 495
IC
2220
Intel Corp
California
$730M +$561M +332% 7.16% 166% 8
FTS
2221
Fifth Third Securities
Ohio
$729M +$451M +162% 0.76% 43.7% 184
TLFA
2222
True Link Financial Advisors
California
$729M +$47.1M +7% 0.61% 21.3% 829
RCYC
2223
Richard C. Young & Co
Rhode Island
$728M -$58.4M -7% 2.64% 53.3% 76
BCC
2224
Biglari Capital Corp
Texas
$727M +$21.4M +3% 0.16% 91.6% 12
TAM
2225
Trust Asset Management
Texas
$727M -$10.1M -1% 0.84% 80.2% 205