Legal & General Group Plc Q1 2020 Filing

Filed May 14, 2020

Portfolio Value

$171.0B

Holdings

3,354

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (3,354 positions)

#StockSharesValue% PortfolioType
201
HIHILLENBRAND INC
233,138$913.5M0.53%
202
BANCBANC OF CALIFORNIA INC
114,478$913.0M0.53%
203
AGYSAGILYSYS INC
54,684$913.0M0.53%
204
MR4MERIDIAN BIOSCIENCE INC
108,797$913.0M0.53%
205
KREFKKR REAL ESTATE FIN TR INC
60,798$913.0M0.53%
206
FDUSFIDUS INVT CORP
137,621$912.0M0.53%
207
SFNCSIMMONS 1ST NATL CORP
328,400$911.1M0.53%
208
WDAYWORKDAY INC
917,701$909.9M0.53%
209
BHEBENCHMARK ELECTRS INC
139,808$907.9M0.53%
210
2U INC
42,722$907.0M0.53%
211
OI*O-I GLASS INC
351,180$906.6M0.53%
212
AZOAUTOZONE INC
177,170$906.4M0.53%
213
GOOGLALPHABET INC
1,879,043$905.2M0.53%
214
KNSLKINSALE CAP GROUP INC
60,219$903.4M0.53%
215
OAKTREE STRATEGIC INCOME COR
163,563$903.0M0.53%
216
SAHSONIC AUTOMOTIVE INC
67,839$901.0M0.53%
217
WMBWILLIAMS COS INC
9,272,771$900.7M0.53%
218
TTMITTM TECHNOLOGIES INC
332,912$898.5M0.53%
219
GDSGDS HLDGS LTD
431,798$898.2M0.53%
220
STTSTATE STR CORP
2,553,747$896.5M0.52%
221
GOOGALPHABET INC
1,879,075$896.0M0.52%
222
VEEVVEEVA SYS INC
774,022$895.2M0.52%
223
ETRENTERGY CORP NEW
2,653,835$895.1M0.52%
224
RITMNEW RESIDENTIAL INVT CORP
556,552$894.9M0.52%
225
WTWWILLIS TOWERS WATSON PLC LTD
973,255$894.7M0.52%
226
WWWWOLVERINE WORLD WIDE INC
261,366$892.1M0.52%
227
TMUST MOBILE US INC
2,554,667$891.6M0.52%
228
CMICUMMINS INC
1,209,503$891.1M0.52%
229
COUPEURCOUPA SOFTWARE INC
53,259$889.6M0.52%
230
HWKNHAWKINS INC
24,919$887.0M0.52%
231
AMCXAMC NETWORKS INC
80,982$886.1M0.52%
232
HAFCHANMI FINL CORP
81,645$886.0M0.52%
233
WMSADVANCED DRAIN SYS INC DEL
28,424$885.0M0.52%
234
UEURBAN EDGE PPTYS
676,100$884.1M0.52%
235
CRMTAMERICAS CAR MART INC
15,859$884.0M0.52%
236
GJBSTEELCASE INC
89,551$883.0M0.52%
237
ICPTUSDINTERCEPT PHARMACEUTICALS IN
14,011$882.0M0.52%
238
ZM3ZUMIEZ INC
50,793$880.0M0.51%
239
JNJJOHNSON & JOHNSON
17,671,764$879.3M0.51%
240
PHPARKER HANNIFIN CORP
845,741$879.2M0.51%
241
NXQUANEX BUILDING PRODUCTS COR
87,172$879.0M0.51%
242
CVXCHEVRON CORP NEW
12,108,208$878.0M0.51%
243
OREALTY INCOME CORP
3,777,451$878.0M0.51%
244
CNXCNX RESOURCES CORPORATION
393,451$876.2M0.51%
245
ABTABBOTT LABS
11,097,987$876.1M0.51%
246
PSNPARSONS CORPORATION
419,488$873.1M0.51%
247
NVTA1EURINVITAE CORP
62,497$873.0M0.51%
248
NXPINXP SEMICONDUCTORS N V
2,145,679$872.5M0.51%
249
STNESTONECO LTD
40,011$871.0M0.51%
250
ADMARCHER DANIELS MIDLAND CO
4,305,195$871.0M0.51%
251
IM8NINSMED INC
54,254$870.0M0.51%
252
FULFULLER H B CO
159,122$869.6M0.51%
253
APAMARTISAN PARTNERS ASSET MGMT
40,436$869.0M0.51%
254
AGIALAMOS GOLD INC NEW
174,999$869.0M0.51%
255
MGRCMCGRATH RENTCORP
16,586$869.0M0.51%
256
BOTTOMLINE TECH DEL INC
119,930$868.5M0.51%
257
PCARPACCAR INC
2,304,616$868.3M0.51%
258
ZEN1EURZENDESK INC
92,742$868.1M0.51%
259
DBXDROPBOX INC
730,715$867.4M0.51%
260
TPHTRI POINTE GROUP INC
217,953$866.0M0.51%
261
DTEDTE ENERGY CO
2,009,933$865.5M0.51%
262
TALTAL EDUCATION GROUP
2,647,102$864.3M0.51%
263
SOLAR SR CAP LTD
89,063$863.0M0.50%
264
SCLSTEPAN CO
59,303$862.4M0.50%
265
BMYBRISTOL-MYERS SQUIBB CO
15,448,871$861.5M0.50%
266
TCBITEXAS CAPITAL BANCSHARES INC
85,652$859.0M0.50%
267
PROGENICS PHARMACEUTICALS IN
226,016$859.0M0.50%
268
SAIASAIA INC
76,262$858.8M0.50%
269
MTDMETTLER TOLEDO INTERNATIONAL
175,811$857.7M0.50%
270
BMRNBIOMARIN PHARMACEUTICAL INC
1,025,778$856.9M0.50%
271
FORRFORRESTER RESH INC
29,269$856.0M0.50%
272
EYENATIONAL VISION HLDGS INC
44,070$856.0M0.50%
273
PDFSPDF SOLUTIONS INC
73,027$856.0M0.50%
274
OKEONEOK INC NEW
3,478,283$855.6M0.50%
275
RSGREPUBLIC SVCS INC
1,904,032$855.3M0.50%
276
MCYMERCURY GENL CORP NEW
54,041$854.3M0.50%
277
BKCCUSDBLACKROCK CAP INVT CORP
387,250$854.0M0.50%
278
BCBEURPRIMO WATER CORPORATION
95,061$853.0M0.50%
279
RCORESOURCES CONNECTION INC
77,739$853.0M0.50%
280
BUSDBARNES GROUP INC
138,362$852.9M0.50%
281
CALMCAL MAINE FOODS INC
94,263$852.3M0.50%
282
MCKMCKESSON CORP
1,248,999$851.3M0.50%
283
AFWALIGN TECHNOLOGY INC
495,619$850.7M0.50%
284
CARGCARGURUS INC
44,882$850.0M0.50%
285
BIOTELEMETRY INC
283,490$849.6M0.50%
286
MDTMEDTRONIC PLC
9,371,394$846.2M0.49%
287
TRSTRIMAS CORP
36,591$845.0M0.49%
288
SXCSUNCOKE ENERGY INC
219,533$845.0M0.49%
289
PMTPENNYMAC MTG INVT TR
328,414$843.6M0.49%
290
VONAGE HLDGS CORP
684,197$842.1M0.49%
291
TEXTEREX CORP NEW
320,275$841.8M0.49%
292
MBTGBPMOBILE TELESYSTEMS PJSC
2,444,544$840.8M0.49%
293
SMPLSIMPLY GOOD FOODS CO
43,581$840.0M0.49%
294
COSTCOSTCO WHSL CORP NEW
2,942,479$839.1M0.49%
295
EXLSEXLSERVICE HOLDINGS INC
101,373$836.4M0.49%
296
FRMEFIRST MERCHANTS CORP
31,375$831.0M0.49%
297
BF/ABROWN FORMAN CORP
14,195$831.0M0.49%
298
B7SBROOKDALE SR LIVING INC
266,649$831.0M0.49%
299
TSNTYSON FOODS INC
1,886,779$830.7M0.49%
300
AAONAAON INC
118,992$829.9M0.49%
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