BlackRock Inc. Q1 2021 Filing

Filed May 7, 2021

Portfolio Value

$3.4T

Holdings

5,241

Report Date

Q1 2021

Filing Type

13F-HR

All Holdings (5,241 positions)

StockValue
VRNSVARONIS SYS INC
$483.4M
MRCYMERCURY SYS INC
$482.0M
WINGWINGSTOP INC
$481.8M
GRUBGRUBHUB INC
$480.6M
FHBFIRST HAWAIIAN INC
$478.9M
EFAVISHARES TR
$478.8M
SEESEALED AIR CORP NEW
$478.5M
EWTISHARES INC
$478.5M
GWREGUIDEWIRE SOFTWARE INC
$478.0M
SPIBSPDR SER TR
$477.9M
ENVUSDENVESTNET INC
$476.7M
WMSADVANCED DRAIN SYS INC DEL
$476.3M
GAPGAP INC
$475.7M
MSAMSA SAFETY INC
$474.7M
AWRAMER STATES WTR CO
$473.9M
SFNCSIMMONS 1ST NATL CORP
$473.2M
PRSPPERSPECTA INC
$472.4M
RRYDER SYS INC
$472.4M
ON1OLD NATL BANCORP IND
$472.3M
RXNEURREXNORD CORP
$471.6M
LIVNLIVANOVA PLC
$471.4M
HRBBLOCK H & R INC
$470.4M
TRIPTRIPADVISOR INC
$469.2M
MMSIMERIT MED SYS INC
$468.4M
ARNC1EURARCONIC CORPORATION
$468.2M
HWCHANCOCK WHITNEY CORPORATION
$468.0M
EXLSEXLSERVICE HOLDINGS INC
$466.7M
UPBDRENT A CTR INC NEW
$466.5M
SRSPIRE INC
$466.4M
GMEDGLOBUS MED INC
$466.3M
CMCCOMMERCIAL METALS CO
$465.3M
CWCURTISS WRIGHT CORP
$463.8M
SHOOMADDEN STEVEN LTD
$463.8M
GPIGROUP 1 AUTOMOTIVE INC
$462.4M
ACHOWENS & MINOR INC NEW
$462.3M
SCCOSOUTHERN COPPER CORP
$461.3M
CSIQCANADIAN SOLAR INC
$461.1M
BMIBADGER METER INC
$459.9M
OGM1COGENT COMMUNICATIONS HLDGS
$459.9M
PCHPOTLATCHDELTIC CORPORATION
$458.8M
HTAEURHEALTHCARE TR AMER INC
$458.3M
QDELUSDQUIDEL CORP
$457.8M
SFBSSERVISFIRST BANCSHARES INC
$457.4M
COOPER TIRE & RUBR CO
$456.6M
ENSENERSYS
$456.3M
QUALISHARES TR
$456.2M
COLBCOLUMBIA BKG SYS INC
$454.2M
QLYSQUALYS INC
$452.9M
PS BUSINESS PKS INC CALIF
$452.2M
IARTINTEGRA LIFESCIENCES HLDGS C
$451.6M
VRMUSDVROOM INC
$450.3M
UCTTULTRA CLEAN HLDGS INC
$450.3M
JWNUSDNORDSTROM INC
$450.0M
WBSWEBSTER FINL CORP CONN
$448.4M
ACHCACADIA HEALTHCARE COMPANY IN
$448.3M
TGTXTG THERAPEUTICS INC
$448.2M
OZKBANK OZK
$448.2M
FLOFLOWERS FOODS INC
$448.0M
FNBF N B CORP
$447.8M
HXLHEXCEL CORP NEW
$447.0M
HFCUSDHOLLYFRONTIER CORP
$446.6M
GGENPACT LIMITED
$445.7M
DORMDORMAN PRODS INC
$444.6M
FLSFLOWSERVE CORP
$444.3M
SCLSTEPAN CO
$444.0M
CVBFCVB FINL CORP
$443.0M
ISIIONIS PHARMACEUTICALS INC
$441.0M
TCBITEXAS CAP BANCSHARES INC
$441.0M
ATDALLEGHENY TECHNOLOGIES INC
$440.6M
OPTUALTICE USA INC
$440.5M
CTRECARETRUST REIT INC
$440.1M
AAONAAON INC
$439.9M
DGROISHARES TR
$439.0M
RYNRAYONIER INC
$438.8M
SONOSONOS INC
$438.4M
MUSAMURPHY USA INC
$438.1M
DBXDROPBOX INC
$437.7M
JBGSJBG SMITH PPTYS
$436.3M
CAKECHEESECAKE FACTORY INC
$436.1M
PLNTPLANET FITNESS INC
$436.0M
OLLIOLLIES BARGAIN OUTLET HLDGS
$435.1M
IBTXUSDINDEPENDENT BK GROUP INC
$435.0M
UCBUNITED CMNTY BKS BLAIRSVLE G
$434.6M
XHRXENIA HOTELS & RESORTS INC
$434.6M
GKDGRAND CANYON ED INC
$434.3M
MTGMGIC INVT CORP WIS
$434.3M
THGHANOVER INS GROUP INC
$434.1M
AELUSDAMERICAN EQTY INVT LIFE HLD
$433.9M
TLTISHARES TR
$433.8M
SANMSANMINA CORPORATION
$433.1M
SKYWSKYWEST INC
$432.8M
QTS RLTY TR INC
$432.5M
TRINSEO S A
$431.2M
FCNFTI CONSULTING INC
$431.0M
WGOWINNEBAGO INDS INC
$430.4M
APAAPA CORPORATION
$430.3M
AEBAALLETE INC
$430.2M
FLIRFLIR SYS INC
$430.0M
SSBUSDSOUTH ST CORP
$429.9M
ATHSATHENE HOLDING LTD
$429.6M
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