BlackRock Inc. Q2 2017 Filing

Filed August 10, 2017

Portfolio Value

$1.9B

Holdings

4,995

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (4,995 positions)

StockValue
TBITRUEBLUE INC
$135K
GOVERNMENT PPTYS INCOME TR
$134K
ROCKGIBRALTAR INDS INC
$134K
SPXCSPX CORP
$134K
PEGAPEGASYSTEMS INC
$134K
SONIC CORP
$134K
MTSIMACOM TECH SOLUTIONS HLDGS I
$134K
BANCBANC OF CALIFORNIA INC
$133K
ARGOARGO GROUP INTL HLDGS LTD
$133K
TDOCTELADOC INC
$133K
SAMBOSTON BEER INC
$133K
WTWISDOMTREE INVTS INC
$133K
NVROEURNEVRO CORP
$133K
IRDMIRIDIUM COMMUNICATIONS INC
$133K
MOMOUSDMOMO INC
$132K
EWYISHARES
$132K
$132K
ASTEASTEC INDS INC
$132K
BGCPEURBGC PARTNERS INC
$132K
LBRDALIBERTY BROADBAND CORP
$131K
RYAAYRYANAIR HLDGS PLC
$131K
RADIUS HEALTH INC
$131K
CLIFFS NAT RES INC
$131K
EGBNEAGLE BANCORP INC MD
$131K
MULTI COLOR CORP
$130K
CVGWCALAVO GROWERS INC
$130K
CYS INVTS INC
$130K
US ECOLOGY INC
$130K
A3IAMERISAFE INC
$130K
ENSGENSIGN GROUP INC
$130K
SELECT INCOME REIT
$129K
AAOIAPPLIED OPTOELECTRONICS INC
$129K
SMPSTANDARD MTR PRODS INC
$129K
LOXO ONCOLOGY INC
$129K
JUNO THERAPEUTICS INC
$128K
CENTACENTRAL GARDEN & PET CO
$128K
SPSCSPS COMM INC
$128K
HYGHISHARES U S ETF TR
$128K
37MMRC GLOBAL INC
$128K
IBNICICI BK LTD
$128K
HLHECLA MNG CO
$128K
RPREALPAGE INC
$128K
COKECOCA COLA BOTTLING CO CONS
$128K
ADVISORY BRD CO
$127K
JPXAEROVIRONMENT INC
$127K
EP3ORASURE TECHNOLOGIES INC
$127K
DOMINION ENERGY INC
$127K
CHHCHOICE HOTELS INTL INC
$127K
ASIXADVANSIX INC
$127K
ACORDA THERAPEUTICS INC
$126K
OASEUROASIS PETE INC NEW
$126K
TMPTOMPKINS FINANCIAL CORPORATI
$126K
VGREURVECTOR GROUP LTD
$126K
CHCOCITY HLDG CO
$126K
CUMULUS MEDIA INC
$126K
NXDRKINDRED HEALTHCARE INC
$126K
RMAXRE MAX HLDGS INC
$126K
HTHHILLTOP HOLDINGS INC
$126K
CHS1USDCHICOS FAS INC
$125K
RWTREDWOOD TR INC
$125K
CBICHICAGO BRIDGE & IRON CO N V
$125K
ALGALAMO GROUP INC
$125K
RITE AID CORP
$125K
DDSDILLARDS INC
$125K
SWIFT TRANSN CO
$125K
STCSTEWART INFORMATION SVCS COR
$125K
SCSCSCANSOURCE INC
$124K
CFFNCAPITOL FED FINL INC
$124K
FSSFEDERAL SIGNAL CORP
$123K
RNSTRENASANT CORP
$123K
TWOU2U INC
$123K
ZNGAEURZYNGA INC
$123K
TRCOTRIBUNE MEDIA CO
$123K
CNDTCONDUENT INC
$123K
PATTERN ENERGY GROUP INC
$123K
CBBCINCINNATI BELL INC NEW
$123K
SPARK THERAPEUTICS INC
$123K
UNVREURUNIVAR INC
$123K
OXMOXFORD INDS INC
$123K
SSPSCRIPPS E W CO OHIO
$122K
ADTNEURADTRAN INC
$122K
DEODIAGEO P L C
$122K
UNIT CORP
$122K
LUMINEX CORP DEL
$122K
EDGGOLD FIELDS LTD NEW
$122K
XLRNACCELERON PHARMA INC
$122K
FDPFRESH DEL MONTE PRODUCE INC
$122K
SRJSPARTANNASH CO
$121K
GCI1EURGANNETT CO INC
$121K
CAPELLA EDUCATION COMPANY
$121K
XIFRNEXTERA ENERGY PARTNERS LP
$121K
SATSECHOSTAR CORP
$120K
VODVODAFONE GROUP PLC NEW
$120K
WGOWINNEBAGO INDS INC
$120K
U S G CORP
$120K
SUPERVALU INC
$120K
LIBERTY EXPEDIA HOLDINGS
$119K
BIOTELEMETRY INC
$119K
IEFISHARES TR
$119K
AM6AMICUS THERAPEUTICS INC
$119K
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