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

Name AUM AUM
Growth
AUM
Growth %
Quarter Return 3 Year Return Holdings
MIM
2401
Monashee Investment Management
Massachusetts
$386M -$48.5M -11% 6.72% 186% 229
CCM
2402
Castine Capital Management
Massachusetts
$386M +$63.5M +20% 7.81% 14.2% 46
SMH
2403
Sanders Morris Harris
Texas
$385M +$180M +87% 3.68% 86.5% 286
TAM
2404
Tradition Asset Management
Virginia
$385M 4.01% 185
PI
2405
Parkside Investments
Illinois
$384M +$17.6M +5% 2.09% 41.9% 122
GCM
2406
Gabalex Capital Management
New York
$384M +$37.5M +11% 8.01% 25% 24
FSCM
2407
Front Street Capital Management
Montana
$384M +$2.43M +0.6% 3.36% 187% 66
GTC
2408
Ghost Tree Capital
New York
$383M +$31.4M +9% 12.3% 198% 52
VCM
2409
Vivaldi Capital Management
Illinois
$383M +$23.1M +6% 3.01% 52.2% 262
LBD
2410
Landsberg Bennett & Dubbaneh
Florida
$382M -$42.6M -10% 5.1% 72.3% 239
SAA
2411
Southeast Asset Advisors
Georgia
$382M +$8.11M +2% 2.76% 65.7% 113
SCP
2412
Steamboat Capital Partners
New York
$381M +$101M +36% 9.02% 269% 35
VCM
2413
Vision Capital Management
Oregon
$381M +$21.5M +6% 4.99% 56.5% 85
BPI
2414
Battery Partners IX
Massachusetts
$381M +$2.65M +0.7% 17.7% 415% 5
CFMC
2415
Curbstone Financial Management Corp
New Hampshire
$381M +$13.2M +4% 2.29% 48.5% 178
MRCP
2416
Manor Road Capital Partners
New York
$380M +$33.6M +10% 4.46% 50.2% 13
CAM
2417
Columbia Asset Management
Michigan
$380M +$5.19M +1% 5.4% 72.4% 222
FFWA
2418
FRG Family Wealth Advisors
Washington
$380M +$26.9M +8% 3.04% 82.7% 132
AAI
2419
American Assets Inc
California
$379M +$14.3M +4% 1.69% 7.31% 4
LGWM
2420
Litman Gregory Wealth Management
California
$379M +$11.7M +3% 2.09% 41.2% 245
FAG
2421
Financial Advisory Group
Texas
$378M +$15.7M +4% 2.78% 20.5% 73
SCM
2422
Simcoe Capital Management
New York
$377M +$4.7M +1% 0.54% 94.7% 13
VFM
2423
Viking Fund Management
North Dakota
$377M -$25.3M -6% 1.24% 55.6% 126
BEAM
2424
Baker Ellis Asset Management
Washington
$377M +$17.5M +5% 3.84% 59.9% 236
AR
2425
Argyll Research
Delaware
$376M -$33.4M -8% 0.56% 0.8% 3