Best Investors
The best performing investors this year
Your smart, good looking friend that sends you an email everytime a super investor makes a big move. Don't miss the opportunity to make millions
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Mohnish Pabrai
Pabrai Funds - +73.27% last year
- $174 Million portfolio:
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AMR (69.1%) -
CEIX (23.7%)
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Pat Dorsey
Dorsey Asset Management - +44.89% last year
- $832 Million portfolio:
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META (19.3%) -
GOOG (15.3%)
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Mark Massey
Altarock Partners - +41.31% last year
- $4.48 Billion portfolio:
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TDG (28.4%) -
MSFT (18.7%)
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Chase Coleman Iii
Tiger Global - +38.83% last year
- $14.8 Billion portfolio:
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META (20.6%) -
MSFT (15.7%)
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Cliff Sosin
Cas Investment Partners - +34.15% last year
- $619 Million portfolio:
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HGV (39.1%) -
CVNA (34.6%)
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Stanley Druckenmiller
Duquesne Family Office - +27.94% last year
- $2.94 Billion portfolio:
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NVDA (14.5%) -
MSFT (13.1%)
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Stan C. Moss
Polen Capital - +27.88% last year
- $41.7 Billion portfolio:
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AMZN (13.2%) -
NFLX (7.4%)
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Glenn Greenberg
Brave Warrior Advisors - +27.67% last year
- $4.28 Billion portfolio:
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ANTM (18.4%) -
APO (14.3%)
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Mario Gabelli
Gamco - +26.30% last year
- $8.65 Billion portfolio:
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CR (2.4%) -
HRI (2.4%)
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David Tepper
Appaloosa Lp - +26.27% last year
- $5.63 Billion portfolio:
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META (11.8%) -
MSFT (11.0%)
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David Einhorn
Greenlight Capital - +25.00% last year
- $1.84 Billion portfolio:
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GRBK (32.0%) -
CEIX (13.6%)
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David Abrams
Abrams Capital - +22.73% last year
- $2.96 Billion portfolio:
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LAD (21.6%) -
ABG (14.7%)
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Cathie Wood
Ark Invest - +17.21% last year
- $14.3 Billion portfolio:
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COIN (8.1%) -
ROKU (6.9%)
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Chris Davis
Davis Advisers - +16.51% last year
- $16.8 Billion portfolio:
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META (9.9%) -
WFC (7.7%)
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Bill Gates
Gates Foundation - +16.07% last year
- $42.4 Billion portfolio:
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MSFT (35.0%) -
BRK.B (19.2%)
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Ken Fisher
Fisher Asset Management - +15.61% last year
- $185 Billion portfolio:
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AAPL (5.5%) -
MSFT (5.1%)
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Julian Robertson
Tiger Management - +14.74% last year
- $0 portfolio:
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CME (Sold) -
TDG (Sold)
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Guy Spier
Aquamarine Capital - +13.15% last year
- $220 Million portfolio:
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BRK.B (23.1%) -
AXP (15.6%)
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Li Lu
Himalaya Capital - +12.98% last year
- $1.95 Billion portfolio:
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BAC (27.4%) -
GOOG (21.8%)
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Chris Hohn
Tci Fund - +12.95% last year
- $29.4 Billion portfolio:
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GE (16.9%) -
CNI (15.8%)
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Nicolai Tangen
Ako Capital - +11.73% last year
- $6.54 Billion portfolio:
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ACN (7.4%) -
V (7.4%)
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Sean Stannard-Stockton
Ensemble Capital - +11.47% last year
- $1.04 Billion portfolio:
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NFLX (9.1%) -
GOOGL (8.8%)
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Tom Russo
Gardner Holdings - +11.07% last year
- $9.6 Billion portfolio:
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BRK.A (14.2%) -
GOOG (11.8%)
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Chuck Akre
Akre Capital - +10.94% last year
- $11.9 Billion portfolio:
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MA (20.2%) -
MCO (15.6%)
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Steven Cohen
Point72 Asset Management - +9.16% last year
- $29.6 Billion portfolio:
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NVDA (2.7%) -
MSFT (2.6%)
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Ron Baron
Baron Funds - +8.54% last year
- $35.2 Billion portfolio:
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TSLA (11.8%) -
IT (5.7%)
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Terry Smith
Fundsmith - +7.41% last year
- $23.2 Billion portfolio:
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MSFT (14.1%) -
META (7.4%)
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Warren Buffett
Berkshire Hathaway - +7.29% last year
- $336 Billion portfolio:
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AAPL (52.1%) -
BAC (9.1%)
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Jim Simons
Renaissance Tech - +7.18% last year
- $59.9 Billion portfolio:
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NVO (2.8%) -
PLTR (1.4%)
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Jeremy Grantham
Gmo Asset Management - +6.31% last year
- $21.7 Billion portfolio:
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MSFT (5.1%) -
UNH (3.8%)
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Joel Greenblatt
Gotham Asset Management - +6.12% last year
- $5 Billion portfolio:
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SPY (8.3%) -
GSPY (5.5%)
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Yacktman
Yacktman Asset Management - +4.58% last year
- $10.5 Billion portfolio:
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CNQ (9.3%) -
MSFT (6.4%)
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Tom Gayner
Markel Corp - +4.24% last year
- $8.71 Billion portfolio:
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BRK.A (7.0%) -
BRK.B (6.4%)
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Brian Macauley
Broad Run - +2.77% last year
- $782 Million portfolio:
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AON (9.1%) -
AMT (8.5%)
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Howard Marks
Oaktree Capital - +1.83% last year
- $5.83 Billion portfolio:
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TRMD (29.1%) -
CHK (9.8%)
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Ken Griffin
Citadel - +1.82% last year
- $91 Billion portfolio:
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MSFT (2.1%) -
ATVI (1.6%)
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Ray Dalio
Bridgewater - +0.44% last year
- $16.9 Billion portfolio:
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IEMG (5.6%) -
IVV (5.5%)
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Gabe Plotkin
Melvin Capital - +0.00% last year
- $0 portfolio:
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COO (Sold) -
WWE (Sold)
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Bill Ackman
Pershing Square - -0.09% last year
- $9.91 Billion portfolio:
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CMG (21.3%) -
HLT (17.8%)
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Jeffrey Ubben
Valueact - -4.43% last year
- $5.74 Billion portfolio:
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FI (16.5%) -
FISV (15.0%)
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Daniel Loeb
Third Point - -4.77% last year
- $6.91 Billion portfolio:
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PCG (14.8%) -
MSFT (12.2%)
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Prem Watsa
Fairfax - -7.10% last year
- $1.42 Billion portfolio:
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OXY (25.5%) -
MU (21.2%)
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Jim Chanos
Kynikos Associates - -9.30% last year
- $3.91 Million portfolio:
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KRE (56.5%) -
QQQ (21.3%)
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Seth Klarman
Baupost Group - -11.37% last year
- $4.97 Billion portfolio:
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LBTYK (14.3%) -
CCC (13.1%)
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Charlie Munger
Daily Journal - -19.21% last year
- $165 Million portfolio:
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BAC (41.3%) -
WFC (41.2%)
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George Soros
Soros Fund - -31.82% last year
- $3.05 Billion portfolio:
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HZNP (12.5%) -
ATVI (9.3%)
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Michael Burry
Scion Asset Management - -41.49% last year
- $44.1 Million portfolio:
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STLA (18.3%) -
NXST (16.5%)
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Carl Icahn
Icahn Capital - -55.42% last year
- $10.1 Billion portfolio:
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IEP (58.4%) -
CVI (21.1%)