LOS ANGELES CAPITAL MANAGEMENT LLC Q1 2020 Filing

Filed May 4, 2020

Portfolio Value

$15.8T

Holdings

1,328

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,328 positions)

#StockSharesValue% PortfolioType
101
PFEPfizer Inc
1,151,171$37.6B0.24%
102
NOWServicenow Inc
130,347$37.4B0.24%
103
JBLJabil Circuit Inc
1,510,744$37.1B0.23%
104
DPZDominos Pizza Inc
111,317$36.1B0.23%
105
CLXClorox Co
201,496$34.9B0.22%
106
CVXChevron Corp
479,242$34.7B0.22%
107
FNFFidelity National Finan
1,376,749$34.3B0.22%
108
BROBrown & Brown Inc
940,477$34.1B0.22%
109
DGDollar Gen Corp New
225,060$34.0B0.22%
110
PAYXPaychex Inc
528,308$33.2B0.21%
111
TROWT.Rowe Price Group I
333,842$32.6B0.21%
112
HLTHilton Worldwide Hldgs
464,992$31.7B0.20%
113
DC4Dexcom Inc
114,469$30.8B0.20%
114
HRBBlock H & R Inc
2,167,751$30.5B0.19%
115
QRVOQorvo Inc
375,064$30.2B0.19%
116
CVSCvs Corp
509,630$30.2B0.19%
117
CBOECboe Hldgs Inc
334,372$29.8B0.19%
118
VSTVistra Energy Corp
1,866,047$29.8B0.19%
119
CPRTCopart Inc
424,947$29.1B0.18%
120
CINFCincinnati Finl Corp
385,778$29.1B0.18%
121
HEIHeico Corp New
387,851$28.9B0.18%
122
SPGSimon Ppty Group Inc
527,055$28.9B0.18%
123
POOLPool Corporation
142,375$28.0B0.18%
124
AFWAlign Technology Inc
159,764$27.8B0.18%
125
8CWCrown Castle Intl Corp
189,790$27.4B0.17%
126
IDXXIdexx Labs Inc
113,126$27.4B0.17%
127
AKAMAkamai Technologies
294,974$27.0B0.17%
128
HXLHexcel Corp New
719,623$26.8B0.17%
129
EVEUREaton Vance Corp
815,809$26.3B0.17%
130
NEUNewmarket Corp
67,624$25.9B0.16%
131
BLKCHFBlackrock Inc
58,602$25.8B0.16%
132
ADIAnalog Devices Inc
286,048$25.6B0.16%
133
ROPRoper Inds Inc New
82,195$25.6B0.16%
134
LHXL3harris Technologies I
141,713$25.5B0.16%
135
UTXZUnited Technologies
268,366$25.3B0.16%
136
TRVCCitigroup Inc
590,356$24.9B0.16%
137
RHIRobert Half Intl Inc
657,614$24.8B0.16%
138
WEAWestern Alliance Ban
810,879$24.8B0.16%
139
PWRQuanta Svcs Inc
756,650$24.0B0.15%
140
LINLinde Plc
137,833$23.8B0.15%
141
JKHYHenry Jack & Assoc I
150,828$23.4B0.15%
142
MOAltria Group Inc
604,424$23.4B0.15%
143
NEENextera Energy Inc
96,998$23.3B0.15%
144
ADPAutomatic Data Proce
169,196$23.1B0.15%
145
STTState Str Corp
433,638$23.1B0.15%
146
DOVDover Corp
273,369$22.9B0.15%
147
PHMPulte Homes Corp
1,006,141$22.5B0.14%
148
PLDPrologis Inc
278,411$22.4B0.14%
149
MTDMettler Toledo Inter
32,394$22.4B0.14%
150
SSS1EURLife Storage Inc
234,707$22.2B0.14%
151
YUMCYum China Hldgs Inc
520,126$22.2B0.14%
152
XOMExxon Mobil Corp
582,030$22.1B0.14%
153
FEFirst Energy Corp
544,791$21.8B0.14%
154
BSXBoston Scientific Co
668,752$21.8B0.14%
155
VRSKVerisk Analytics Inc
153,843$21.4B0.14%
156
RSGRepublic Svcs Inc
284,244$21.3B0.13%
157
OLEDUniversal Display Co
160,739$21.2B0.13%
158
BRKRBruker Biosciences C
581,823$20.9B0.13%
159
TSLATesla Mtrs Inc
39,752$20.8B0.13%
160
KEYSKeysight Technologies I
247,247$20.7B0.13%
161
LSTRLandstar Sys Inc
211,434$20.3B0.13%
162
CAHCardinal Health Inc
419,794$20.1B0.13%
163
MKLMarkel Corp
21,508$20.0B0.13%
164
SHWSherwin Williams Co
43,153$19.8B0.13%
165
FISFidelity Natl Inform
161,965$19.7B0.12%
166
WSTWest Pharmaceutical
128,645$19.6B0.12%
167
CMCSAComcast Corp New
561,181$19.3B0.12%
168
MMM3m Co
138,009$18.8B0.12%
169
NEMNewmont Goldcorp Corpor
404,681$18.3B0.12%
170
TEAMAtlassian Corp Plc
133,178$18.3B0.12%
171
CICigna Corp New
101,018$17.9B0.11%
172
SYYSysco Corp
390,878$17.8B0.11%
173
TSCOTractor Supply Co
210,878$17.8B0.11%
174
AJGGallagher Arthur J &
218,689$17.8B0.11%
175
SEICSei Corp
383,419$17.8B0.11%
176
MCHPMicrochip Technology
260,338$17.7B0.11%
177
EDUNew Oriental Ed & Te
159,336$17.2B0.11%
178
GISGeneral Mls Inc
321,437$17.0B0.11%
179
DALDelta Air Lines Inc Del
592,870$16.9B0.11%
180
BPOPPopular Inc
482,245$16.9B0.11%
181
ROLRollins Inc
466,263$16.9B0.11%
182
AMEAmetek Inc New
231,206$16.7B0.11%
183
COFCapital One Finl Cor
328,462$16.6B0.10%
184
EXPEagle Materials Inc
279,463$16.3B0.10%
185
LULULululemon Athletica Inc
85,895$16.3B0.10%
186
AKXAnsys Inc
69,616$16.2B0.10%
187
NWLNewell Rubbermaid In
1,214,885$16.1B0.10%
188
MBTGBPMobile Telesystems O
2,088,693$15.9B0.10%
189
WMWaste Mgmt Inc Del
169,484$15.7B0.10%
190
7HPHp Inc
878,361$15.2B0.10%
191
CERNCHFCerner Corp
240,492$15.1B0.10%
192
PNCPnc Financial Corp
155,829$14.9B0.09%
193
FISVFiserv Inc
156,593$14.9B0.09%
194
AMDAdvanced Micro Devic
325,252$14.8B0.09%
195
BBYBest Buy Inc
255,651$14.6B0.09%
196
LMEURLegg Mason Inc
294,871$14.4B0.09%
197
ALLEAllegion Pub Ltd Co
156,430$14.4B0.09%
198
COPConocophillips
451,335$13.9B0.09%
199
FAFFirst Amern Finl Corp
325,458$13.8B0.09%
200
SEESealed Air Corp New
556,646$13.8B0.09%
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