Hedge Funds Similar to Martin Investment ,

13F Portfolio OverlapQ1 2026Martin Investment , portfolio →
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Most similar hedge funds by 13F overlap

Martin Investment Management, LLC is an institutional investor managing $300M across 47 U.S. equity positions as of Q1 2026. Based on the overlap of conviction holdings in their latest 13F filings, the hedge funds with portfolios most similar to Martin Investment , are Foresight Global Investors,, SALT Holding, CAUSEWAY, with shared positions in $AZN, $NVS, $SONY, $ASML, $DB, $APTV. The full ranking of 25 similar funds is below.

Substantial overlap · 3 shared positions
$154M
29 positions
#2SALT Holding Corp.Smart money
Notable overlap · 3 shared positions
$165M
24 positions
Notable overlap · 4 shared positions
$8.1B
107 positions
Notable overlap · 5 shared positions
$3.7B
410 positions
Notable overlap · 6 shared positions
$372M
46 positions
Notable overlap · 6 shared positions
$277M
94 positions
Notable overlap · 4 shared positions
$850M
281 positions
Notable overlap · 3 shared positions
$462M
44 positions
Notable overlap · 6 shared positions
$1.3B
49 positions
Notable overlap · 4 shared positions
$207M
53 positions
Notable overlap · 6 shared positions
$2.8B
241 positions
Notable overlap · 4 shared positions
$503M
87 positions
Notable overlap · 5 shared positions
$2.1B
122 positions
Notable overlap · 7 shared positions
$102M
56 positions
Notable overlap · 3 shared positions
$408M
24 positions
Notable overlap · 5 shared positions
$1.7B
87 positions
Notable overlap · 7 shared positions
$739M
164 positions
Notable overlap · 3 shared positions
$171M
47 positions
Notable overlap · 3 shared positions
$1.0B
154 positions
Notable overlap · 3 shared positions
$489M
32 positions
Notable overlap · 3 shared positions
$115M
55 positions
Notable overlap · 7 shared positions
$581M
125 positions
Some overlap · 3 shared positions
$332M
65 positions
Some overlap · 3 shared positions
$55M
36 positions
$958M
80 positions

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Similarity is derived from each fund’s latest 13F-HR filing with the SEC. Funds are ranked by the overlap of distinctive conviction holdings; near-universal mega-cap positions are excluded so the ranking reflects shared strategy, not common index exposure. Data is informational only and not investment advice.