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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
SM
2276
Sciencast Management
New Jersey
$356M -$19.8M -5% 21.7% 639
LF
2277
Lannebo Fonder
Sweden
$356M -$22.2M -6% 9.17% 49.8% 35
NGM
2278
North Growth Management
British Columbia, Canada
$356M -$90M -20% 20.2% 124% 50
MP
2279
Makaira Partners
California
$355M -$100M -22% 26.6% 49.5% 14
TIM
2280
Triodos Investment Management
Netherlands
$355M -$92.7M -21% 18.7% 90.2% 38
FA
2281
Faithward Advisors
Pennsylvania
$355M -$70.1M -16% 12.4% 72.7% 260
AG
2282
Aravt Global
New York
$355M -$199M -36% 13.8% 84% 14
VV
2283
Verity & Verity
South Carolina
$355M -$160M -31% 20.6% 47.2% 114
TIM
2284
Total Investment Management
Arizona
$355M -$169M -32% 17.8% 33.5% 57
CAM
2285
Claret Asset Management
Quebec, Canada
$354M -$166M -32% 23.2% 65.3% 202
NIM
2286
Needham Investment Management
New York
$353M -$13.6M -4% 20.7% 181% 117
RIA
2287
RPG Investment Advisory
California
$353M -$83.1M -19% 22% 147% 293
IR
2288
IAT Reinsurance
New York
$353M -$195M -36% 31.7% 1.09% 94
GKWIM
2289
Gerber Kawasaki Wealth & Investment Management
California
$353M -$43.8M -11% 10.8% 92.7% 148
GCM
2290
Gladius Capital Management
Illinois
$352M -$85.8M -20% 8.08% 10.8% 78
AFIMH
2291
American Family Insurance Mutual Holding
Wisconsin
$352M -$104M -23% 19.7% 2.63% 13
SW
2292
SlateStone Wealth
Florida
$351M -$85.7M -20% 15% 69.1% 230
BSPF
2293
British Steel Pension Fund
United Kingdom
$351M -$203M -37% 14.4% 29.7% 171
TLIC
2294
Taiyo Life Insurance Company
Japan
$351M +$171M +95% 20% 72.1% 6
FA
2295
FCG Advisors
New Jersey
$351M +$1.84M +0.5% 16.7% 19.7% 180
BBNA
2296
Bremer Bank National Association
Minnesota
$351M -$111M -24% 18.2% 37.4% 221
TCBWMS
2297
Texas Capital Bank Wealth Management Services
Texas
$351M -$102M -23% 19.7% 74% 131
HWA
2298
HCR Wealth Advisors
California
$350M -$62.7M -15% 11% 74.6% 264
EMG
2299
Ellington Management Group
Connecticut
$349M -$14.7M -4% 22.1% 0.66% 833
NA
2300
Newport Asia
California
$348M -$98.7M -22% 19.6% 5