Best Investment Managers Stocks 2021
$ 1.72 K to $ 133.58 B
$0.00 to $901.81
-94.34% to 177.6%
-238.32 to 86.56
Blackrock Inc.

BlackRock’s purpose is to help more and more people experience financial well-being. As a fiduciary to investors and a leading provider of financial technology, our clients turn to us for the solutions they need when planning for their most important goals. As of September 30, 2020, the firm managed approximately $7.81 trillion in assets on behalf of investors worldwide.
Blackrock Inc. or BLK is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 133.58 B. Laurence Fink is the CEO of the company. Total employees of Blackrock Inc. are 16,500. The P/E Ratio of Blackrock Inc. is 22.39 and year till date stock price change percent is 12.42%.
KKR & Co. Inc.

KKR is a leading global investment firm that manages multiple alternative asset classes, including private equity, credit and real assets, with strategic partners that manage hedge funds. KKR aims to generate attractive investment returns for its fund investors by following a patient and disciplined investment approach, employing world-class people, and driving growth and value creation with KKR portfolio companies. KKR invests its own capital alongside the capital it manages for fund investors and provides financing solutions and investment opportunities through its capital markets business. References to KKR's investments may include the activities of its sponsored funds.
KKR & Co. Inc. or KKR is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 106.42 B. is the CEO of the company. Total employees of KKR & Co. Inc. are 1,583. The P/E Ratio of KKR & Co. Inc. is 29.68 and year till date stock price change percent is 49.5%.
Blackstone Inc

Blackstone is one of the world’s leading investment firms. It seeks to create positive economic impact and long-term value for its investors, the companies it invests in, and the communities in which it works. It does this by using extraordinary people and flexible capital to help companies solve problems. its $619 billion in assets under management include investment vehicles focused on private equity, real estate, public debt and equity, life sciences, growth equity, opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis.
Blackstone Inc or BX is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 102.51 B. is the CEO of the company. Total employees of Blackstone Inc are 3,165. The P/E Ratio of Blackstone Inc is 54.34 and year till date stock price change percent is 10.83%.
Apollo Global Management Inc

Apollo Global Management Inc or APO is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 65.91 B. is the CEO of the company. Total employees of Apollo Global Management Inc are . The P/E Ratio of Apollo Global Management Inc - Class A (New) is 12.66 and year till date stock price change percent is 25.18%.
Ares Management Corp

Ares Management Corporation is a leading global alternative investment manager operating three integrated businesses across Credit, Private Equity and Real Estate. Ares Management's investment groups collaborate to deliver innovative investment solutions and consistent and attractive investment returns for fund investors throughout market cycles. Ares Management's global platform had $149 billion of assets under management as of March 31, 2020 with more than 1,200 employees in over 20 offices in more than 10 countries.
Ares Management Corp or ARES is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 28.72 B. Michael Arougheti is the CEO of the company. Total employees of Ares Management Corp are 1,450. The P/E Ratio of Ares Management Corp - Class A is 74.31 and year till date stock price change percent is 24.5%.
T. Rowe Price Group Inc.

Founded in 1937, Baltimore-based T. Rowe Price Group, Inc. is a global investment management organization with $1.46 trillion in assets under management as of January 31, 2021. The organization provides a broad array of mutual funds, subadvisory services, and separate account management for individual and institutional investors, retirement plans, and financial intermediaries. The company also offers sophisticated investment planning and guidance tools. T. Rowe Price’s disciplined, risk-aware investment approach focuses on diversification, style consistency, and fundamental research.
T. Rowe Price Group Inc. or TROW is traded on NASDAQ. The total market value of the company is $ 23.60 B. William Stromberg is the CEO of the company. Total employees of T. Rowe Price Group Inc. are 3,700. The P/E Ratio of T. Rowe Price Group Inc. is 12.53 and year till date stock price change percent is 1.65%.
Brookfield Asset Management Inc.

Brookfield Asset Management Inc. is a leading global alternative asset manager with approximately US$600 billion of assets under management across real estate, infrastructure, renewable power, private equity and credit. Brookfield owns and operates long-life assets and businesses, many of which form the backbone of the global economy. Utilizing its global reach, access to large-scale capital and operational expertise, Brookfield offers a range of alternative investment products to investors around the world-including public and private pension plans, endowments and foundations, sovereign wealth funds, financial institutions, insurance companies and private wealth investors. Brookfield Asset Management is listed on the New York and Toronto stock exchanges under the symbol BAM and BAM.A respectively.
Brookfield Asset Management Inc. or BAM is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 18.09 B. J. Bruce Flatt is the CEO of the company. Total employees of Brookfield Asset Management Inc. are . The P/E Ratio of Brookfield Asset Management Inc. - Class A is and year till date stock price change percent is 4.37%.
Carlyle Group Inc (The)

The Carlyle Group is a global investment firm with deep industry expertise that deploys private capital across four business segments: Corporate Private Equity, Real Assets, Global Credit and Investment Solutions. With $230 billion of assets under management as of September 30, 2020, Carlyle's purpose is to invest wisely and create value on behalf of its investors, portfolio companies and the communities in which we live and invest. Carlyle employs more than 1,800 people in 30 offices across six continents.
Carlyle Group Inc (The) or CG is traded on NASDAQ. The total market value of the company is $ 14.30 B. is the CEO of the company. Total employees of Carlyle Group Inc (The) are 1,825. The P/E Ratio of Carlyle Group Inc (The) is and year till date stock price change percent is 3.58%.
Ares Capital Corp

Founded in 2004, Ares Capital is a leading specialty finance company focused on providing direct loans and other investments in private middle market companies in the United States. Ares Capital's objective is to source and invest in high-quality borrowers that need capital to achieve their business goals, which often leads to economic growth and employment. Ares Capital believes its loans and other investments in these companies can generate attractive levels of current income and potential capital appreciation for investors. Ares Capital utilizes its extensive, direct origination platform and incumbent borrower relationships to source and underwrite predominantly senior secured loans but also subordinated debt and equity investments. Ares Capital has elected to be regulated as a business development company ('BDC') and is the largest BDC by market capitalization as of December 31, 2020. Ares Capital is externally managed by a subsidiary of Ares Management Corporation, a publicly traded, leading global alternative investment manager.
Ares Capital Corp or ARCC is traded on NASDAQ. The total market value of the company is $ 13.29 B. Robert deVeer is the CEO of the company. Total employees of Ares Capital Corp are . The P/E Ratio of Ares Capital Corp is 7.48 and year till date stock price change percent is 12.78%.
Fortress Transportation and Infrastructure Investors LLC

Fortress Transportation and Infrastructure Investors LLC owns and acquires high quality infrastructure and equipment that is essential for the transportation of goods and people globally. FTAI targets assets that, on a combined basis, generate strong and stable cash flows with the potential for earnings growth and asset appreciation. FTAI is externally managed by an affiliate of Fortress Investment Group LLC, a leading, diversified global investment firm.
Fortress Transportation and Infrastructure Investors LLC or FTAI is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 13.06 B. Joseph Adams is the CEO of the company. Total employees of Fortress Transportation and Infrastructure Investors LLC are 101. The P/E Ratio of Fortress Transportation and Infrastructure Investors LLC is -238.32 and year till date stock price change percent is 177.6%.
Franklin Resources, Inc.

Franklin Resources, Inc. is a global investment management organization with subsidiaries operating as Franklin Templeton and serving clients in over 165 countries. Franklin Templeton's mission is to help clients achieve better outcomes through investment management expertise, wealth management and technology solutions. Through its specialist investment managers, the company brings extensive capabilities in equity, fixed income, multi-asset solutions and alternatives. With offices in more than 30 countries and approximately 1,300 investment professionals, the California-based company has over 70 years of investment experience. The company posts information that may be significant for investors in the Investor Relations and News Center sections of its website, and encourages investors to consult those sections regularly.
Franklin Resources, Inc. or BEN is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 10.59 B. is the CEO of the company. Total employees of Franklin Resources, Inc. are 11,800. The P/E Ratio of Franklin Resources, Inc. is 12.57 and year till date stock price change percent is -29.17%.
SEI Investments Co.

SEI's Investment Manager Services supplies investment organizations of all types with advanced operating infrastructure they must have to evolve and compete in a landscape of escalating business challenges. SEI's award-winning global operating platform provides investment managers and asset owners with customized and integrated capabilities across a wide range of investment vehicles, strategies and jurisdictions. Its services enable users to gain scale and efficiency, keep pace with marketplace demands, and run their businesses more strategically. SEI partners with more than 550 traditional and alternative asset managers, as well as sovereign wealth funds and family offices, representing nearly $30 trillion in assets, including 49 of the top 100 asset managers worldwide*.
SEI Investments Co. or SEIC is traded on NASDAQ. The total market value of the company is $ 8.78 B. Alfred West is the CEO of the company. Total employees of SEI Investments Co. are 3,976. The P/E Ratio of SEI Investments Co. is 17.7 and year till date stock price change percent is 7.16%.
Invesco Ltd

Invesco Ltd. is a global independent investment management firm dedicated to delivering an investment experience that helps people get more out of life. With offices in more than 20 countries, our distinctive investment teams deliver a comprehensive range of active, passive and alternative investment capabilities. Invesco managed US $1.35 trillion in assets on behalf of clients worldwide as of December 31, 2020.
Invesco Ltd or IVZ is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 7.69 B. Martin Flanagan is the CEO of the company. Total employees of Invesco Ltd are 8,512. The P/E Ratio of Invesco Ltd is -23.02 and year till date stock price change percent is -0.43%.
Healthequity Inc

HealthEquity and its subsidiaries administer HSAs and other consumer-directed benefits for its more than 12 million accounts in partnership with employers, benefits advisors, and health and retirement plan providers who share its mission to connect health and wealth and value its culture of remarkable 'Purple' service.
Healthequity Inc or HQY is traded on NASDAQ. The total market value of the company is $ 6.92 B. Jon Kessler is the CEO of the company. Total employees of Healthequity Inc are 3,020. The P/E Ratio of Healthequity Inc is 86.56 and year till date stock price change percent is 19.48%.
Hamilton Lane Inc

Hamilton Lane (NASDAQ: HLNE) is a leading private markets investment management firm providing innovative solutions to sophisticated investors around the world. Dedicated exclusively to private markets investing for 29 years, the firm currently employs more than 400 professionals operating in offices throughout North America, Europe, Asia Pacific and the Middle East. Hamilton Lane has approximately $547 billion in assets under management and supervision, composed of approximately $73 billion in discretionary assets and over $474 billion in advisory assets, as of September 30, 2020. Hamilton Lane specializes in building flexible investment programs that provide clients access to the full spectrum of private markets strategies, sectors and geographies.
Hamilton Lane Inc or HLNE is traded on NASDAQ. The total market value of the company is $ 6.20 B. Mario Giannini is the CEO of the company. Total employees of Hamilton Lane Inc are 450. The P/E Ratio of Hamilton Lane Inc - Class A is 48.83 and year till date stock price change percent is 35.79%.
Janus Henderson Group plc

Janus Henderson Group (JHG) is a leading global active asset manager dedicated to helping investors achieve long-term financial goals through a broad range of investment solutions, including equities, fixed income, quantitative equities, multi-asset and alternative asset class strategies. At 30 September 2020, Janus Henderson had approximately US$358 billion in assets under management, more than 2,000 employees, and offices in 27 cities worldwide. Headquartered in London, the company is listed on the New York Stock Exchange (NYSE) and the Australian Securities Exchange (ASX).
Janus Henderson Group plc or JHG is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 5.99 B. Richard Weil is the CEO of the company. Total employees of Janus Henderson Group plc are 2,053. The P/E Ratio of Janus Henderson Group plc is 12.92 and year till date stock price change percent is 28.99%.
FS KKR Capital Corp

FS/KKR Advisor, LLC is a partnership between FS Investments and KKR Credit that serves as the investment adviser to BDCs with approximately $16 billion in assets under management as of December 31, 2020.
FS KKR Capital Corp or FSK is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 5.67 B. Michael Forman is the CEO of the company. Total employees of FS KKR Capital Corp are . The P/E Ratio of FS KKR Capital Corp is and year till date stock price change percent is 2.42%.
Owl Rock Capital Corp

Owl Rock Capital Corporation (ORCC) is a specialty finance company focused on lending to U.S. middle-market companies. As of September 30, 2020, ORCC had investments in 110 portfolio companies with an aggregate fair value of $9.9 billion. ORCC has elected to be regulated as a business development company under the Investment Company Act of 1940, as amended. ORCC is externally managed by Owl Rock Capital Advisors LLC, an SEC-registered investment adviser that is an affiliate of Owl Rock Capital Partners. Owl Rock Capital Partners, together with its subsidiaries, is a New York based direct lending platform with approximately $23.7 billion of assets under management as of September 30, 2020.
Owl Rock Capital Corp or ORCC is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 5.25 B. is the CEO of the company. Total employees of Owl Rock Capital Corp are . The P/E Ratio of Owl Rock Capital Corp is 8.48 and year till date stock price change percent is 23.17%.
Affiliated Managers Group Inc.

AMG is a global asset management company with equity investments in leading boutique investment management firms. AMG's strategy is to generate long-term value by investing in leading independent active investment managers, through a proven partnership approach, and allocating resources across the Company's unique opportunity set to the areas of highest growth and return. AMG's innovative partnership approach allows each Affiliate's management team to own significant equity in their firm while maintaining operational autonomy. In addition, AMG provides centralized assistance to its Affiliates on strategy, marketing, distribution, and product development. As of September 30, 2020, AMG's aggregate assets under management were approximately $654 billion, across a broad range of active, return-oriented strategies.
Affiliated Managers Group Inc. or AMG is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 5.18 B. Sean Healey is the CEO of the company. Total employees of Affiliated Managers Group Inc. are 3,900. The P/E Ratio of Affiliated Managers Group Inc. is 11.03 and year till date stock price change percent is 14.78%.
Cohen & Steers Inc.

Cohen & Steers is a global investment manager specializing in liquid real assets, including real estate securities, listed infrastructure and natural resource equities, as well as preferred securities and other income solutions. Founded in 1986, the firm is headquartered in New York City, with offices in London, Dublin, Hong Kong and Tokyo.
Cohen & Steers Inc. or CNS is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 4.52 B. Robert Steers is the CEO of the company. Total employees of Cohen & Steers Inc. are 347. The P/E Ratio of Cohen & Steers Inc. is 34.91 and year till date stock price change percent is 20.44%.
Legg Mason, Inc.

Legg Mason, Inc. provides securities brokerage, trading and investment services. The firm's segment includes Global Asset Management. The segment: Global Asset Management provides investment advisory services to institutional and individual clients and to company-sponsored investment funds. It also offers Mutual Funds, ETFs, Closed-End Funds, Managed Accounts, Money Market Funds, Variable Investments and 529 College Savings Plans. The company was founded in 1981 and is headquartered in Baltimore, MD.
Legg Mason, Inc. or LM is traded on New York Stock Exchange. The total market value of the company is $ 4.45 B. Joseph Andrew Sullivan is the CEO of the company. Total employees of Legg Mason, Inc. are 3,059. The P/E Ratio of Legg Mason, Inc. is 17.65 and year till date stock price change percent is 0%.
Main Street Capital Corporation

Main Street is a principal investment firm that primarily provides long-term debt and equity capital to lower middle market companies and debt capital to middle market companies. Main Street's portfolio investments are typically made to support management buyouts, recapitalizations, growth financings, refinancings and acquisitions of companies that operate in diverse industry sectors. Main Street seeks to partner with entrepreneurs, business owners and management teams and generally provides 'one stop' financing alternatives within its lower middle market portfolio. Main Street's lower middle market companies generally have annual revenues between $10 million and $150 million. Main Street's middle market debt investments are made in businesses that are generally larger in size than its lower middle market portfolio companies. Main Street, through its wholly owned portfolio company MSC Adviser I, LLC ('MSC Adviser'), also maintains an asset management business through which it manages investments for third parties. MSC Adviser is registered as an investment adviser under the Investment Advisers Act of 1940.
Main Street Capital Corporation or MAIN is traded on NEW YORK STOCK EXCHANGE INC.. The total market value of the company is $ 4.30 B. Dwayne Hyzak is the CEO of the company. Total employees of Main Street Capital Corporation are 2,018. The P/E Ratio of Main Street Capital Corporation is 9.25 and year till date stock price change percent is 20.39%.
Federated Investors, Inc.

Federated Investors, Inc. engages in the provision of investment management products and related financial services. It sponsors, markets and provides investment-related services to sponsored investment companies, Federated Funds, and Separate Accounts which include separately managed accounts (SMAs), institutional accounts, sub-advised funds and other managed products in both domestic and international markets. The company was founded by John F. Donahue and Richard B. Fisher in October 1955 and is headquartered in Pittsburgh, PA.
Federated Investors, Inc. or FII is traded on New York Stock Exchange. The total market value of the company is $ 3.66 B. John Christopher Donahue is the CEO of the company. Total employees of Federated Investors, Inc. are . The P/E Ratio of Federated Investors, Inc. Class B is 13.45 and year till date stock price change percent is 0%.
Victory Capital Holdings Inc

Victory Capital is a diversified global asset management firm with $150.6 billion in assets under management as of February 28, 2021. The Company operates a next-generation business model combining boutique investment qualities with the benefits of a fully integrated, centralized operating and distribution platform.
Victory Capital Holdings Inc or VCTR is traded on NASDAQ. The total market value of the company is $ 3.54 B. David Brown is the CEO of the company. Total employees of Victory Capital Holdings Inc are 429. The P/E Ratio of Victory Capital Holdings Inc - Class A is 15.33 and year till date stock price change percent is 60.88%.
Focus Financial Partners Inc

Focus Financial Partners is a leading partnership of independent, fiduciary wealth management firms. Focus provides access to best practices, resources, and continuity planning for its partner firms who serve individuals, families, employers and institutions with comprehensive wealth management services. Focus partner firms maintain their operational independence, while they benefit from the synergies, scale, economics and best practices offered by Focus to achieve their business objectives.
Focus Financial Partners Inc or FOCS is traded on NASDAQ. The total market value of the company is $ 3.46 B. Ruediger Adolf is the CEO of the company. Total employees of Focus Financial Partners Inc are 3,519. The P/E Ratio of Focus Financial Partners Inc - Class A is and year till date stock price change percent is 40.53%.