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
701
AMTTD AMERITRADE HO
115$4.0M0.05%
702
TRYBARINGS BDC INC
500$4.0M0.05%
703
VICIVICI PROPERTIES
264$4.0M0.05%
704
USAPUNIVERSAL STAINL
500$4.0M0.05%
705
EHCENCOMPASS HEALTH
69$4.0M0.05%
706
0VVBVIACOMCBS INC-B
285$4.0M0.05%
707
QRVOQORVO INC
51$4.0M0.05%
708
KNXKNIGHT-SWIFT TRA
120$4.0M0.05%
709
IACIEURIAC/INTERACTIVEC
25$4.0M0.05%
710
ALLEALLEGION PLC
43$4.0M0.05%
711
FOXAFOX CORP A
175$4.0M0.05%
712
URIUNITED RENTALS
43$4.0M0.05%
713
SUSUNCOR ENERGY
231$4.0M0.05%
714
TWLOTWILIO INC - A
48$4.0M0.05%
715
NEUNEWMARKET CORP
10$4.0M0.05%
716
ACGLARCH CAPITAL GRP
153$4.0M0.05%
717
CMCAN IMPL BK COMM
61$4.0M0.05%
718
SJMJM SMUCKER CO
39$4.0M0.05%
719
W3UWESTERN UNION
220$4.0M0.05%
720
JDJD.COM INC-ADR
105$4.0M0.05%
721
OPTUALTICE USA INC-A
185$4.0M0.05%
722
TTCTORO CO
58$4.0M0.05%
723
GDDYGODADDY INC-A
76$4.0M0.05%
724
PHMPULTEGROUP INC
157$4.0M0.05%
725
WSOWATSCO INC
23$4.0M0.05%
726
BMOBANK OF MONTREAL
81$4.0M0.05%
727
SIRIEURSIRIUS XM HOLDIN
828$4.0M0.05%
728
XPOXPO LOGISTICS IN
85$4.0M0.05%
729
WRKUSDWESTROCK CO
153$4.0M0.05%
730
OLEDUNIVERSAL DISPLA
27$4.0M0.05%
731
PG4PRINCIPAL FINL
116$4.0M0.05%
732
REGREGENCY CENTERS
107$4.0M0.05%
733
WABWABTEC CORP
82$4.0M0.05%
734
CPBCAMPBELL SOUP CO
88$4.0M0.05%
735
HBANHUNTINGTON BANC
487$4.0M0.05%
736
CWCURTISS-WRIGHT
39$4.0M0.05%
737
VMWEURVMWARE INC-CL A
34$4.0M0.05%
738
IRINGERSOLL-RAND I
143$4.0M0.05%
739
LWLAMB WESTON
73$4.0M0.05%
740
NDAQNASDAQ INC
37$4.0M0.05%
741
ELANELANCO ANIMAL HE
190$4.0M0.05%
742
RPREALPAGE INC
68$4.0M0.05%
743
LYVLIVE NATION ENTE
86$4.0M0.05%
744
HIWHIGHWOODS PROP
109$4.0M0.05%
745
ATRAPTARGROUP INC
39$4.0M0.05%
746
ASHASHLAND GLOBAL H
82$4.0M0.05%
747
YUSDALLEGHANY CORP
7$4.0M0.05%
748
GRMNGARMIN LTD
48$4.0M0.05%
749
MFCMANULIFE FIN
318$4.0M0.05%
750
UGIUGI CORP
153$4.0M0.05%
751
OPCHOPTION CARE HEAL
375$4.0M0.05%
752
ROKUROKU INC
45$4.0M0.05%
753
HASHASBRO INC
56$4.0M0.05%
754
EXASEXACT SCIENCES
64$4.0M0.05%
755
ROLROLLINS INC
108$4.0M0.05%
756
CHTCHUNGHWA TEL-ADR
124$4.0M0.05%
757
HSICHENRY SCHEIN INC
80$4.0M0.05%
758
CHECHEMED CORP
10$4.0M0.05%
759
HSTHOST HOTELS & RE
376$4.0M0.05%
760
BRBROADRIDGE FINL
46$4.0M0.05%
761
GGGGRACO INC
75$4.0M0.05%
762
ETRAETRADE FINANCIA
111$4.0M0.05%
763
ALSNALLISON TRANSMIS
130$4.0M0.05%
764
LBRDKLIBERTY BR-C
40$4.0M0.05%
765
SGENEURSEATTLE GENETICS
35$4.0M0.05%
766
DOXAMDOCS LTD
66$4.0M0.05%
767
NTESNETEASE INC-ADR
11$4.0M0.05%
768
IIIINFORMATION SERV
1,700$4.0M0.05%
769
UMCUNITED MICRO-ADR
1,212$3.0M0.03%
770
WRBWR BERKLEY CORP
60$3.0M0.03%
771
ALLYALLY FINANCIAL I
217$3.0M0.03%
772
VAREURVARIAN MEDICAL S
34$3.0M0.03%
773
OVVOVINTIV INC
1,086$3.0M0.03%
774
MKTXMARKETAXESS
9$3.0M0.03%
775
HALHALLIBURTON CO
412$3.0M0.03%
776
GLPIGAMING AND LEISU
101$3.0M0.03%
777
BF/ABROWN-FORMAN -A
55$3.0M0.03%
778
CPTCAMDEN PROP TR
39$3.0M0.03%
779
FNFFNF GROUP
133$3.0M0.03%
780
SCXSTARRETT (LS)-A
900$3.0M0.03%
781
BAHBOOZ ALLEN HAMIL
37$3.0M0.03%
782
FWONALIBERTY MEDIA-C
95$3.0M0.03%
783
DCIDONALDSON CO INC
72$3.0M0.03%
784
MSGSMADISON SQUARE-A
12$3.0M0.03%
785
TYLTYLER TECHNOLOG
11$3.0M0.03%
786
TXTTEXTRON INC
127$3.0M0.03%
787
ARNCCHFARCONIC, INC.
207$3.0M0.03%
788
AWNADVANCE AUTO PAR
34$3.0M0.03%
789
EX9EXELIXIS INC
176$3.0M0.03%
790
NTRNUTRIEN LTD
100$3.0M0.03%
791
IPGINTERPUBLIC GRP
193$3.0M0.03%
792
LKQ1LKQ CORP
143$3.0M0.03%
793
ACMAECOM
86$3.0M0.03%
794
AIZASSURANT INC
27$3.0M0.03%
795
TRMBTRIMBLE INC
108$3.0M0.03%
796
JBGSJBG SMITH PROPER
83$3.0M0.03%
797
LIILENNOX INTL INC
17$3.0M0.03%
798
IPGPIPG PHOTONICS
26$3.0M0.03%
799
SSNCSS&C TECHNOLOGIE
63$3.0M0.03%
800
MTNVAIL RESORTS
19$3.0M0.03%
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