BlackRock Inc. Q1 2019 Filing

Filed May 9, 2019

Portfolio Value

$2.3B

Holdings

4,924

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (4,924 positions)

StockValue
SITCUSDSITE CENTERS CORP
$157K
HFWAHERITAGE FINL CORP WASH
$156K
SBSISOUTHSIDE BANCSHARES INC
$156K
CLDTCHATHAM LODGING TR
$156K
CALCALERES INC
$156K
CVA1EURCOVANTA HLDG CORP
$156K
MCDERMOTT INTL INC
$156K
LILALIBERTY LATIN AMERICA LTD
$155K
MEIMETHODE ELECTRS INC
$155K
CVCOCAVCO INDS INC DEL
$155K
AZZAZZ INC
$155K
LNNLINDSAY CORP
$155K
TTENTOTAL S A
$155K
PTCTPTC THERAPEUTICS INC
$155K
GMEGAMESTOP CORP NEW
$154K
FEYECHFFIREEYE INC
$154K
MMIMARCUS & MILLICHAP INC
$154K
TRANS WORLD ENTMT CORP
$154K
GBXGREENBRIER COS INC
$154K
SHYGISHARES TR
$154K
OISOIL STS INTL INC
$154K
BECNUSDBEACON ROOFING SUPPLY INC
$154K
WSBCWESBANCO INC
$153K
AEVI GENOMIC MEDICINE INC
$153K
XLCSELECT SECTOR SPDR TR
$153K
BLMNBLOOMIN BRANDS INC
$153K
FMXFOMENTO ECONOMICO MEXICANO S
$153K
FBCUSDFLAGSTAR BANCORP INC
$152K
BPYPNBROOKFIELD PROPERTY REIT INC
$152K
ESRTEMPIRE ST RLTY TR INC
$152K
DOMODOMO INC
$152K
ALGALAMO GROUP INC
$151K
FCNCAFIRST CTZNS BANCSHARES INC N
$151K
GDSGDS HLDGS LTD
$151K
EVBGEUREVERBRIDGE INC
$150K
BKUBANKUNITED INC
$150K
PATKPATRICK INDS INC
$150K
LUMINEX CORP DEL
$150K
QDELUSDQUIDEL CORP
$150K
PATTERN ENERGY GROUP INC
$149K
TRHCEURTABULA RASA HEALTHCARE INC
$149K
SMPSTANDARD MTR PRODS INC
$149K
APOGAPOGEE ENTERPRISES INC
$149K
TMPTOMPKINS FINANCIAL CORPORATI
$149K
BJRIBJS RESTAURANTS INC
$148K
STCSTEWART INFORMATION SVCS COR
$148K
GARDNER DENVER HLDGS INC
$148K
TIER REIT INC
$148K
A3IAMERISAFE INC
$148K
XLYSELECT SECTOR SPDR TR
$147K
KRATON CORPORATION
$147K
BHVNBIOHAVEN PHARMACTL HLDG CO L
$147K
TUPTUPPERWARE BRANDS CORP
$147K
PBIPITNEY BOWES INC
$146K
MBBISHARES TR
$146K
KLICKULICKE & SOFFA INDS INC
$146K
IRTCIRHYTHM TECHNOLOGIES INC
$145K
LADRLADDER CAP CORP
$145K
MTS SYS CORP
$145K
BIDSOTHEBYS
$145K
GCP APPLIED TECHNOLOGIES INC
$145K
NBRNABORS INDUSTRIES LTD
$145K
IQIQIYI INC
$145K
MGPIMGP INGREDIENTS INC NEW
$145K
FORTIVE CORP
$144K
CTSCTS CORP
$144K
AERIEURAERIE PHARMACEUTICALS INC
$144K
C&J ENERGY SVCS INC NEW
$144K
TRINSEO S A
$144K
SHENSHENANDOAH TELECOMMUNICATION
$143K
UVEUNIVERSAL INS HLDGS INC
$143K
WSFSWSFS FINL CORP
$142K
IEFISHARES TR
$142K
CARGCARGURUS INC
$142K
CENTACENTRAL GARDEN & PET CO
$142K
HASIHANNON ARMSTRONG SUST INFR C
$141K
TBITRUEBLUE INC
$141K
KEMET CORP
$141K
FRMEFIRST MERCHANTS CORP
$141K
OTTROTTER TAIL CORP
$141K
CEIXEURCONSOL ENERGY INC NEW
$140K
ARWRARROWHEAD PHARMACEUTICALS IN
$140K
MTCHEURMATCH GROUP INC
$140K
UPBDRENT A CTR INC NEW
$140K
TILEINTERFACE INC
$139K
HTLDHEARTLAND EXPRESS INC
$139K
HDVISHARES TR
$139K
LBRDALIBERTY BROADBAND CORP
$139K
ATRAGBXATARA BIOTHERAPEUTICS INC
$139K
MHOM/I HOMES INC
$139K
TCMDTACTILE SYS TECHNOLOGY INC
$138K
LNTHLANTHEUS HLDGS INC
$138K
DNREURDENBURY RES INC
$137K
COLMCOLUMBIA SPORTSWEAR CO
$137K
RPDRAPID7 INC
$137K
ADSWADVANCED DISP SVCS INC DEL
$137K
SXISTANDEX INTL CORP
$136K
FHBFIRST HAWAIIAN INC
$136K
PRFTUSDPERFICIENT INC
$136K
UEOWESTLAKE CHEM CORP
$136K
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