Smart Money Leaderboard


Performance Smart Money

Smart Money Leaderboard

Segui le mosse di portafoglio dei gestori di fondi più di successo al mondo — basato sui filing ufficiali SEC 13F, aggiornati ogni trimestre.

Updated: Apr 6, 2026 at 10:49 AM CEST
# Manager Strategy Return (YTD)
1
PL
Technology / Cross-Stage
Technology / Cross-Stage +32.41%
2
DE
Value / Short Selling
Value / Short Selling +26.06%
3
PD
Economic Moat / Quality
Economic Moat / Quality +13.33%
4
RD
All Weather / Macro
All Weather / Macro +7.82%
5
AH
Fundamental Long/Short
Fundamental Long/Short +6.38%
6
JG
Quantitative Value
Quantitative Value +4.66%
7
SK
Value / Distressed
Value / Distressed +2.73%
8
HM
Credit / Distressed
Credit / Distressed +0.08%
9
WB
Value Investing
Value Investing -3.92%
10
MP
Concentrated Value
Concentrated Value -3.92%
11
SD
Global Macro
Global Macro -6.06%
12
MB
Contrarian / Deep Value
Contrarian / Deep Value -6.08%
13
DT
Event-Driven
Event-Driven -11.60%
14
CW
Disruptive Innovation
Disruptive Innovation -12.45%
15
CH
Activist / Quality
Activist / Quality -14.10%
16
DL
Event-Driven / Activist
Event-Driven / Activist -18.32%
17
BA
Activist
Activist -20.30%
18
TS
Quality Growth
Quality Growth -20.85%
19
LL
Asia Value
Asia Value -21.63%
20
CC
Growth / Technology
Growth / Technology -37.42%
ℹ️ Returns are based on each manager's largest disclosed SEC 13F position. This does not represent actual fund performance. Data updates daily after market close.
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