EARNEST PARTNERS LLC Q1 2020 Filing

Filed May 14, 2020

Portfolio Value

$8.9B

Holdings

1,181

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,181 positions)

#StockSharesValue% PortfolioType
601
FLT1EURFLEETCOR TECHNOL
39$7.0M0.08%
602
WTRGESSENTIAL UTILIT
175$7.0M0.08%
603
USA TRUCK INC
2,130$7.0M0.08%
604
TRUTRANSUNION
99$7.0M0.08%
605
AFWALIGN TECHNOLOGY
43$7.0M0.08%
606
EPAMEPAM SYSTEMS INC
33$6.0M0.07%
607
ANETEURARISTA NETWORKS
29$6.0M0.07%
608
KDPKEURIG DR PEPPER INC
245$6.0M0.07%
609
EFXEQUIFAX INC
51$6.0M0.07%
610
BNSBANK OF NOVA SCO
161$6.0M0.07%
611
AMHAMERICAN HOMES-A
242$6.0M0.07%
612
ABXBARRICK GOLD CRP
334$6.0M0.07%
613
AJGARTHUR J GALLAGH
74$6.0M0.07%
614
SPLKCHFSPLUNK INC
49$6.0M0.07%
615
XYLXYLEM INC
86$6.0M0.07%
616
IPINTL PAPER CO
207$6.0M0.07%
617
CINFCINCINNATI FIN
73$6.0M0.07%
618
PODDINSULET CORP
39$6.0M0.07%
619
WBC1EURWABCO HOLDINGS
41$6.0M0.07%
620
COUPEURCOUPA SOFTWARE I
46$6.0M0.07%
621
PANWPALO ALTO NETWOR
37$6.0M0.07%
622
KTCCKEY TRONIC CORP
2,000$6.0M0.07%
623
QIAGEN NV
156$6.0M0.07%
624
FICOFAIR ISAAC CORP
20$6.0M0.07%
625
WATWATERS CORP
32$6.0M0.07%
626
HBIOHARVARD BIOSCIEN
2,600$6.0M0.07%
627
AVNSAVANOS MEDICAL I
210$6.0M0.07%
628
BMRNBIOMARIN PHARMAC
74$6.0M0.07%
629
RPMRPM INTL INC
109$6.0M0.07%
630
GPCGENUINE PARTS CO
84$6.0M0.07%
631
SG3SIGMATRON INTL
1,900$6.0M0.07%
632
FCXFREEPORT-MCMORAN
822$6.0M0.07%
633
CTRACABOT OIL & GAS
348$6.0M0.07%
634
EXREXTRA SPACE STOR
59$6.0M0.07%
635
TASTUSDCARROLS RESTAURA
3,300$6.0M0.07%
636
KEQUKEWAUNEE SCI
700$6.0M0.07%
637
MXIMMAXIM INTEGRATED
128$6.0M0.07%
638
LNGCHENIERE ENERGY
184$6.0M0.07%
639
QAD INC-B
250$6.0M0.07%
640
TSCOTRACTOR SUPPLY
66$6.0M0.07%
641
TIFEURTIFFANY & CO
50$6.0M0.07%
642
DEIDOUGLAS EMMETT
186$6.0M0.07%
643
MKLMARKEL CORP
7$6.0M0.07%
644
WSTWEST PHARMACEUT
39$6.0M0.07%
645
MLMMARTIN MAR MTLS
31$6.0M0.07%
646
DVADAVITA INC
83$6.0M0.07%
647
ZEN1EURZENDESK INC
88$6.0M0.07%
648
CLROCLEARONE COMMUNI
3,400$6.0M0.07%
649
BAMBROOKFIELD ASS-A
118$5.0M0.06%
650
PTCPTC INC
75$5.0M0.06%
651
DFSEURDISCOVER FINANCI
131$5.0M0.06%
652
AGNCAGNC INVESTMENT
438$5.0M0.06%
653
LENLENNAR CORP-A
119$5.0M0.06%
654
CSLCARLISLE COS INC
40$5.0M0.06%
655
S76STORE CAPITAL
268$5.0M0.06%
656
JECUSDJACOBS ENGIN GRP
68$5.0M0.06%
657
ALITHYA GROUP-A
2,861$5.0M0.06%
658
CTLEURCENTURYLINK INC
505$5.0M0.06%
659
RGLDROYAL GOLD INC
59$5.0M0.06%
660
CCKCROWN HOLDINGS I
81$5.0M0.06%
661
SHOPSHOPIFY INC - A
13$5.0M0.06%
662
BWXTBWX TECHNOLOGIES
94$5.0M0.06%
663
ULTAULTA BEAUTY INC
26$5.0M0.06%
664
COOCOOPER COS INC
17$5.0M0.06%
665
AZPNUSDASPEN TECHNOLOGY
52$5.0M0.06%
666
RFREGIONS FINANCIA
575$5.0M0.06%
667
VENVENTAS INC
203$5.0M0.06%
668
IEXIDEX CORP
39$5.0M0.06%
669
UDRUDR INC
128$5.0M0.06%
670
UBSUBS GROUP AG
570$5.0M0.06%
671
LDOSLEIDOS HOLDINGS
55$5.0M0.06%
672
CNPCENTERPOINT ENER
353$5.0M0.06%
673
NTAPNETAPP INC
130$5.0M0.06%
674
TFXTELEFLEX INC
17$5.0M0.06%
675
INCYINCYTE CORP
73$5.0M0.06%
676
CFGCITIZENS FINANCI
244$5.0M0.06%
677
RCMTRCM TECH INC
3,700$5.0M0.06%
678
FRCBFIRST REPUBLIC B
62$5.0M0.06%
679
NRANRG ENERGY
169$5.0M0.06%
680
MIC2EURMACQUARIE INFRAS
185$5.0M0.06%
681
WDCWESTERN DIGITAL
132$5.0M0.06%
682
DGXQUEST DIAGNOSTIC
61$5.0M0.06%
683
KMXCARMAX INC
90$5.0M0.06%
684
HNRGHALLADOR ENERGY CO
5,385$5.0M0.06%
685
POOLPOOL CORP
25$5.0M0.06%
686
SCISERVICE CORP INT
129$5.0M0.06%
687
CNSLEURCONSOLIDATED COM
1,036$5.0M0.06%
688
FITBFIFTH THIRD BANC
360$5.0M0.06%
689
ITGARTNER INC
52$5.0M0.06%
690
INVHINVITATION HOMES INC
225$5.0M0.06%
691
BF/BBROWN-FORMAN -B
99$5.0M0.06%
692
NVRNVR INC
2$5.0M0.06%
693
BSQUARE CORP
4,500$4.0M0.05%
694
CMTCORE MOLDING TEC
2,600$4.0M0.05%
695
UHSUNIVERSAL HLTH-B
39$4.0M0.05%
696
TRNTRINITY INDUSTRI
225$4.0M0.05%
697
AVYAVERY DENNISON
40$4.0M0.05%
698
YUSDALLEGHANY CORP
7$4.0M0.05%
699
GGGGRACO INC
75$4.0M0.05%
700
AMTTD AMERITRADE HO
115$4.0M0.05%
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