Ken Griffin Citadel Advisors | $657.1B | 12624 | +6.6% | FAZ, LABD, LABD, SINT |
Warren Buffett Berkshire Hathaway | $267.3B | 41 | -8.1% | CVX, KO, HEI-A, KHC |
Israel Englander Millennium Management | $234.3B | 5976 | +1.1% | BDN, BWB, BFAM, BRLT |
| $185.3B | 219 | -6.8% | BSX, BMY, CI, CVS |
Jim Simons Renaissance Technologies | $75.8B | 3456 | +6.5% | BLNE, SINT, BBNX, CAI |
Bill Nygren Oakmark Select Fund | $62.4B | 177 | -6.3% | BC, CSX, CVS, CDNS |
First Eagle Investment First Eagle Investment Management | $54.9B | 404 | -0.7% | BXP, BTI, BKD, CAE |
Chris Hohn TCI Fund Management | $52.7B | 9 | +1.3% | CNI, GE, MSFT, MCO |
Philippe Laffont Coatue Management | $40.8B | 74 | +25.4% | CAI, CDNS, CVNA, FIG |
Andreas Halvorsen Viking Global Investors | $38.5B | 78 | +3.9% | BSX, CSX, CPT, CVNA |
Bill & Melinda Gates Foundation Bill & Melinda Gates Foundation Trust | $36.6B | 23 | -7.6% | CNI, CAT, KOF, DHR |
Chase Coleman Tiger Global Management | $32.4B | 56 | +22.2% | CRCL, CPAY, FIG, FIGR |
Richard Pzena Pzena Investment | $30.9B | 154 | -14.0% | UBS, USNA, VALE, VREX |
Polen Capital Polen Capital Management | $30.8B | 232 | -5.7% | BSX, BRLT, BKD, CRS |
Ray Dalio Bridgewater Associates | $25.5B | 1014 | -0.4% | SAM, BSX, BYD, BFAM |
Paul Singer Elliott Management | $22.7B | 35 | +8.4% | HYG, OXLC, PEP, PSX |
| $19.8B | 35 | -7.0% | CHD, CLX, GGG, HD |
Christopher Davis Davis Advisors | $19.2B | 107 | -2.6% | BXP, CI, CVS, CTRA |
William von Mueffling Cantillon Capital | $18.2B | 38 | -3.0% | ECL, EFX, FAST, FWONK |
Cathie Wood ARK Investment Management | $16.8B | 196 | +44.9% | BFLY, CRS, CAT, CERS |
Duan Yongping H&H International | $14.7B | 11 | -0.7% | DIS, MSFT, OXY, PDD |
Bill Ackman Pershing Square Capital Management | $14.6B | 11 | -12.2% | CMG, SEG, GOOG, GOOGL |
Stephen Mandel Lone Pine Capital | $13.7B | 25 | +18.5% | CVNA, CIEN, MSFT, PM |
Thomas Gayner Markel Group | $12.3B | 129 | -9.0% | BAM, BF-A, BF-B, BC |
Ruane Cunniff Sequoia Fund | $12.2B | 66 | +4.4% | CMG, BRK-A, MA, TRMB |
Chuck Akre Akre Capital Management | $10.0B | 19 | -23.5% | KMX, CPRT, DHR, FICO |
John Armitage Egerton Capital | $9.5B | 24 | -0.9% | BSX, CRS, LAMR, MSFT |
| $9.4B | 107 | -5.8% | LESL, WEX, BYD, BRC |
Thomas Russo Gardner Russo & Quinn | $9.3B | 85 | -54.9% | BF-A, BF-B, CAT, CVX |
Carl Icahn Icahn Capital Management | $9.1B | 13 | -30.2% | UAN, CTRI, IEP, IFF |
| $9.0B | 46 | -1.4% | CRS, CASY, FIX, CYH |
Dan Sundheim D1 Capital Partners | $8.7B | 38 | +0.6% | CRS, CLH, DHR, DIS |
Jensen Investment Jensen Investment Management | $8.1B | 87 | -13.1% | BMY, CDNS, CPB, CHD |
Brad Gerstner Altimeter Capital Management | $7.6B | 23 | +29.4% | GEMI, CART, MSFT, PDD |
Sarah Ketterer Causeway Capital | $7.6B | 105 | +2.8% | BXP, BTI, CCL, CGAU |
Lee Ainslie Maverick Capital | $7.5B | 203 | +9.2% | SAM, EAT, BTI, BKE |
David Tepper Appaloosa Management | $7.4B | 45 | +10.1% | CFG, CMA, GLW, DAL |
Yacktman Asset Yacktman Asset Management | $7.3B | 70 | -9.9% | CNQ, CATO, CLX, KO |
Steven Romick FPA Crescent | $7.2B | 62 | +0.3% | KMX, C, DAR, GPOR |
| $7.0B | 23 | -14.8% | CDNS, CPRT, EFX, FICO |
Howard Marks Oaktree Capital Management | $6.7B | 165 | -9.6% | CBL, CX, EXE, GTX |
David Abrams Abrams Capital | $6.2B | 13 | -3.5% | CRCL, LAD, GOOGL, ABG |
AltaRock Partners AltaRock Partners | $5.5B | 9 | -5.4% | FICO, MSFT, MCO, TDG |
Seth Klarman Baupost Group | $4.8B | 22 | -4.9% | DG, FI, GPC, UNP |
Larry Robbins Glenview Capital Management | $4.5B | 54 | -10.2% | BRKR, BC, BFLY, BFLY-WT |
Glenn Greenberg Brave Warrior Advisors | $4.3B | 33 | -13.7% | LEN, MAR, MSFT, MRP |
Dev Kantesaria Valley Forge Capital | $4.2B | 9 | -20.4% | EFX, FICO, INTU, MCO |
Nelson Peltz Trian Fund Management | $4.1B | 7 | -2.9% | GE, GEHC, IVZ, JHG |
Lindsell Train Lindsell Train | $4.1B | 28 | -9.6% | GOOGL, AXP, CP, CME |
Stanley Druckenmiller Duquesne Family Office | $4.1B | 65 | +8.2% | CRS, CMG, C, CLF |
| $3.2B | 9 | +15.4% | OXY, PDD, GOOG, GOOGL |
Leon Cooperman Omega Advisors | $3.2B | 41 | +5.9% | CI, EPD, EWC, EPP |
Harry Burn Sound Shore Management | $3.0B | 38 | -3.6% | CSX, CTRA, C, DIS |
FPA Queens Road Bragg Financial | $3.0B | 344 | -4.4% | BXP, BMY, BAM, BF-B |
Francois Rochon Giverny Capital | $3.0B | 52 | -5.2% | BRO, KMX, CPRT, CACC |
Samantha McLemore Patient Capital | $2.5B | 41 | +8.4% | CVS, C, CROX, PLAY |
Clifford Sosin CAS Investment Partners | $2.2B | 5 | +76.2% | CVNA, CDLX, HGV, SWIM |
Prem Watsa Fairfax Financial | $2.1B | 29 | +20.8% | LULU, OXY, PENN, PFE |
David Einhorn Greenlight Capital | $2.0B | 40 | +22.1% | AER, COYA, NUVB-WT, KPLTW |
Mason Hawkins Longleaf Partners | $2.0B | 49 | -18.8% | SAM, ENOV, DIS, ESRT |
Wallace Weitz Weitz Investment | $1.8B | 48 | -13.7% | KMX, DHR, EFX, IT |
Robert Citrone Discovery Capital Management | $1.8B | 86 | +41.5% | PSN, PCG, PINS, EAT |
Michael Burry Scion Asset Management | $1.4B | 8 | -24.9% | LULU, HAL, MOH, NVDA |
Bruce Berkowitz Fairholme Capital | $1.2B | 12 | -27.4% | CNR, EPD, OXY, JOE |
Tweedy Browne Tweedy Browne Company | $1.2B | 97 | -3.3% | WTFC, BMY, CVS, CLF |
Pat Dorsey Dorsey Asset Management | $1.1B | 9 | -2.9% | ENOV, DHR, AER, GOOG |
David Katz Matrix Asset Advisors | $1.1B | 107 | -2.6% | SKYX, TGT, ACN, MDT |
Triple Frond Partners Triple Frond Partners | $918.0M | 11 | +9.3% | ILMN, LRCX, MSFT, TDG |
Christopher Bloomstran Semper Augustus | $801.2M | 38 | +6.5% | CVX, KO, CMI, DECK |
| $737.0M | 99 | -7.6% | AMZN, CNA, CASY, CVX |
Dennis Hong ShawSpring Partners | $672.6M | 11 | -21.3% | INTU, FWONK, OKTA, BLND |
Greg Alexander Conifer Management | $631.1M | 5 | +0.7% | GPI, LAD, EQH, RMNI |
David Rolfe Wedgewood Partners | $547.9M | 19 | -6.1% | CPRT, MSFT, MSI, ODFL |
Third Avenue Third Avenue Management | $532.7M | 50 | -12.0% | CTLP, CET, CMA, ECPG |
Kahn Brothers Kahn Brothers Group | $531.8M | 53 | -11.3% | BMY, CSX, CVX, C |
Robert Olstein Olstein Capital | $529.6M | 103 | -15.6% | BRC, CVS, CENTA, CFG |
Glenn Welling Engaged Capital | $407.6M | 9 | -52.2% | CGNX, FRPT, VFC, BL |
Josh Tarasoff Greenlea Lane Capital | $343.0M | 8 | -3.9% | MKL, TRUP, GOOGL, AMZN |
Norbert Lou Punch Card Management | $322.4M | 6 | -11.6% | CROX, FI, PDD, BRK-A |
Bill Miller Miller Value Partners | $272.2M | 36 | -1.5% | BMY, BKE, BBW, CALM |
Bryan Lawrence Oakcliff Capital | $231.7M | 8 | -14.3% | GIL, LEN, TDG, GOOG |
Francis Chou Chou Associates | $207.7M | 31 | -1.8% | C, CACC, IMO, LEA |
Tom Bancroft Makaira Partners | $194.7M | 12 | -22.9% | CDW, WHD, HEI-A, LAMR |
Alex Roepers Atlantic Investment | $174.1M | 11 | +2.1% | GPK, OSK, PVH, WFRD |
Mark Hillman Hillman Value Fund | $171.8M | 53 | -17.8% | BMY, BF-B, CVS, CPB |
Guy Spier Aquamarine Capital | $170.2M | 12 | -7.7% | SRG, DJCO, MU, BRK-B |
ValueAct Capital ValueAct Capital | $3.7M | 26 | -5.2% | NLY, SNA, IT, RGS |