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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
KL
2301
KWMG LLC
Kansas
$685M +$18.5M +3% 0.95% 43.5% 144
MPAM
2302
Monarch Partners Asset Management
Massachusetts
$685M -$10.4M -1% 1.81% 135% 187
SJIC
2303
St. James Investment Company
Texas
$684M -$157M -19% 2.02% 37.8% 38
LOAMU
2304
Lombard Odier Asset Management (USA)
New York
$684M +$154M +29% 0.34% 8.43% 347
SFBLI
2305
Southern Farm Bureau Life Insurance
Mississippi
$683M -$44.7M -6% 1.97% 43.8% 40
EHPM
2306
Emery Howard Portfolio Management
California
$683M +$3.48M +0.5% 1.39% 66.5% 47
SGA
2307
Strategic Global Advisors
California
$683M +$132M +24% 2.04% 116% 161
SAM
2308
Sycomore Asset Management
France
$683M -$39M -5% 0.4% 133% 124
SCM
2309
SIR Capital Management
New York
$682M +$6.8M +1% 4.14% 39.5% 87
WP
2310
WMS Partners
Maryland
$682M +$7.56M +1% 0.4% 10.7% 298
PAS
2311
Professional Advisory Services
Florida
$681M -$7.77M -1% 0.38% 45.3% 81
CPM
2312
Crescent Park Management
California
$680M +$5.57M +0.8% 1.48% 123% 47
CWM
2313
Cahaba Wealth Management
Georgia
$679M +$32.2M +5% 0.81% 36.5% 135
FCMI
2314
Foresite Capital Management IV
California
$679M -$60.7M -8% 5.31% 1.86% 14
LCG
2315
Lisanti Capital Growth
New York
$678M -$129M -16% 12.7% 1,060% 174
AC
2316
AltraVue Capital
Washington
$677M +$112M +20% 0.89% 182% 33
AAM
2317
Azzad Asset Management
Virginia
$677M +$5.86M +0.9% 0.84% 86.9% 342
HIP
2318
Hengistbury Investment Partners
United Kingdom
$676M -$193M -22% 4.3% 118% 7
AH
2319
Allen Holding
New York
$676M +$19.5M +3% 5.09% 125% 17
HCM
2320
Howard Capital Management
Georgia
$676M +$149M +28% 0.01% 75.1% 78
CSC
2321
Cove Street Capital
California
$674M -$16.9M -2% 3.55% 49.8% 93
PIM
2322
Penobscot Investment Management
Massachusetts
$673M -$1.32M -0.2% 0.66% 84.3% 243
GS
2323
Gagnon Securities
New York
$673M -$31.2M -4% 5.93% 96.2% 120
SRCM
2324
Sage Rock Capital Management
New York
$673M -$89.6M -12% 0.98% 12.8% 272
AFP
2325
Ausdal Financial Partners
Iowa
$672M +$11.7M +2% 1.52% 42.6% 513