LOS ANGELES CAPITAL MANAGEMENT LLC Q1 2021 Filing
Filed May 5, 2021
Portfolio Value
$22.1B
Holdings
1,572
Report Date
Q1 2021
Filing Type
13F-HR
All Holdings (1,572 positions)
| Stock | Value |
|---|---|
HBTHbt Finl Inc | $803K |
ARVNArvinas Inc | $802K |
SHAKShake Shack Inc | $800K |
MGNXMacrogenics Inc | $800K |
EYENational Vision Hldgs I | $799K |
SANMSanmina Corporation | $799K |
GBYSangamo Biosciences | $798K |
PGNYProgyny Inc | $797K |
IMGNEURImmunogen Inc | $797K |
XEJAccuray Inc | $796K |
VCRAUSDVocera Communications I | $796K |
SFESSafeguard Scientifics I | $792K |
STRLSterling Constructio | $790K |
—Intersect Ent Inc | $787K |
—Argo Group Intl Hldgs L | $787K |
ASGNAsgn Inc | $783K |
LLLumber Liquidators Hldg | $782K |
ACMAecom Technology Corp D | $781K |
RADEURRite Aid Corp | $781K |
HAEHaemonetics Corp | $779K |
SIGASiga Pharmaceuticals | $779K |
HBBHamilton Beach Brands H | $773K |
BFAMBright Horizons Fam Sol | $770K |
WELLWelltower Inc | $765K |
CMTLComtech Telecommunic | $762K |
PACKRanpak Hldgs Corp | $760K |
RILYB Riley Finl Inc | $760K |
PLUSEplus Inc | $757K |
MFS1EURWelbilt Inc | $757K |
RCOResources Connection | $757K |
EEFTEuronet Worldwide Inc | $757K |
AVDAmerican Vanguard Co | $756K |
—Macatawa Bk Corp | $753K |
PFCPremier Financial Corp | $752K |
RMRegional Mgmt Corp | $752K |
REZIResideo Technologies In | $751K |
—Voxx Intl Corp | $745K |
DARDarling Intl Inc | $744K |
LRNStride Inc | $744K |
FTVFortive Corp | $744K |
WDCWestern Digital Corp | $743K |
—Plantronics Inc New | $741K |
FMNBFarmers Natl Banc Co | $740K |
DCIDonaldson Inc | $740K |
—Tristate Cap Hldgs Inc | $740K |
NVTA1EURInvitae Corp | $740K |
OVVOvintiv Inc | $739K |
EGRXEagle Pharmaceuticals I | $737K |
MDGLMadrigal Pharmaceutical | $732K |
RDNRadian Group Inc | $731K |
CMICummins Engine Inc | $730K |
BLKBBlackbaud Inc | $729K |
VVXVectrus Inc | $726K |
FOXFFox Factory Hldg Corp | $723K |
MGTXMeiragtx Holdings Plc | $722K |
—Sharps Compliance Co | $720K |
AHCOAdapthealth Corp | $719K |
CWCOConsolidated Water C | $719K |
AMALAmalgamated Financial C | $717K |
EXPOExponet Inc | $716K |
EX9Exelixis Inc | $716K |
CCSCentury Cmntys Inc | $715K |
EZPWEzcorp Inc | $714K |
—American National Group | $713K |
—Cantel Inc | $711K |
BZHBeazer Homes Usa Inc | $711K |
ENSGEnsign Group Inc | $710K |
BWINBrp Group Inc | $710K |
DTILPrecision Biosciences I | $702K |
GTNGray Television Inc | $699K |
SDGRSchrodinger Inc | $699K |
HZOMarinemax Inc | $698K |
XLNXEURXilinx Inc | $694K |
RMRRmr Group Inc | $692K |
IM8NInsmed Inc | $690K |
—Channeladvisor Corp | $687K |
SPTSprout Social Inc | $687K |
AMAntero Midstream Corp | $685K |
IRWDIronwood Pharmaceutical | $682K |
—Retail Value Inc | $681K |
HTBHometrust Bancshares In | $677K |
PSMTPricesmart Inc | $676K |
—Syros Pharmaceuticals I | $676K |
BEAMBeam Therapeutics Inc | $674K |
PGCPeapack-Gladstone Fi | $673K |
DISCKUSDDiscovery Communicatns | $673K |
PEGPublic Svc Enterpris | $672K |
CDNSCadence Designs Sys | $670K |
FSLRFirst Solar Inc | $670K |
APOEURApollo Global Mgmt Inc | $663K |
HRTGHeritage Ins Hldgs Inc | $661K |
CBTCabot Corp | $660K |
PCSBUSDPcsb Finl Corp | $655K |
GTLSChart Inds Inc | $653K |
AQUAUSDEvoqua Water Technologi | $649K |
PBVPrestige Brands Hldg | $647K |
STNGScorpio Tankers Inc | $646K |
BANDBandwidth Inc | $645K |
WTWisdomtree Invts Inc | $642K |
ICPTUSDIntercept Pharmaceutica | $641K |