LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2016 Filing

Filed August 8, 2016

Portfolio Value

$11.8B

Holdings

1,228

Report Date

Q2 2016

Filing Type

13F-HR

All Holdings (1,228 positions)

StockValue
KSUEURKansas City Southn
$4.5B
NWLNewell Brands Inc
$4.5B
GNWGenworth Finl Inc
$4.5B
TUPTupperware Corp
$4.5B
Allied Wrld Assur Com H
$4.4B
MASMasco Corp
$4.4B
EVEUREaton Vance Corp
$4.4B
RPMRpm International
$4.4B
Dean Foods Co New
$4.3B
AXTAAxalta Coating Sys Ltd
$4.3B
JACKJack In The Box Inc
$4.2B
ALSNAllison Transmission Hl
$4.2B
PBFPbf Energy Inc
$4.2B
Tcf Bkg & Svgs Fa Mi
$4.2B
Mallinckrodt Pub Ltd Co
$4.2B
CERNCHFCerner Corp
$4.2B
CECelanese Corp Del
$4.1B
SONSonoco Prods Co
$4.1B
FT2First Horizon Natl C
$4.1B
ATRAptargroup Inc
$4.1B
Apartment Invt & Mgm
$4.1B
WAFDWashington Fed Inc
$4.0B
ICEIntercontinentalexchang
$4.0B
XELXcel Energy Inc
$4.0B
XRAYDentsply Sirona Inc
$4.0B
Gcp Applied Technologie
$3.9B
Tech Data Corp
$3.9B
Time Inc New
$3.9B
DEDeere & Co
$3.9B
CHKPCheck Point Software
$3.9B
Linear Technology Co
$3.9B
DFSEURDiscover Finl Svcs
$3.9B
FDSFactset Resh Sys Inc
$3.8B
CDKCdk Global Inc
$3.8B
PRGOPerrigo Co Pcl
$3.8B
LSXMKUSDLiberty Siriusxm Grp-C
$3.8B
MHKMohawk Inds Inc
$3.8B
AMATApplied Materials In
$3.7B
PKGPackaging Corp Amer
$3.7B
OIIOceaneering Intl Inc
$3.7B
AMEAmetek Inc New
$3.7B
AMTAmerican Tower Reit
$3.7B
AKAMAkamai Technologies
$3.6B
LMEURLegg Mason Inc
$3.5B
GSGoldman Sachs Group
$3.5B
Tyco Intl Plc
$3.4B
Quintiles Transnational
$3.4B
FMBIUSDFirst Midwest Bancor
$3.4B
Healthsouth Corp
$3.4B
VOYAVoya Finl Inc
$3.4B
LSTRLandstar Sys Inc
$3.3B
Essendant Inc
$3.3B
T7DTransdigm Group Inc
$3.3B
PTCPtc Inc
$3.3B
OIEUROwens Ill Inc
$3.3B
CMECme Group Inc
$3.3B
CYHCommunity Health Sys
$3.3B
FFord Mtr Co Del
$3.3B
VIABViacom Inc New -B
$3.3B
ESEversource Energy
$3.3B
Calpine Corp
$3.3B
USBUS Bancorp Del
$3.2B
DGXQuest Diagnostics In
$3.2B
Vectren Corp
$3.2B
INGRIngredion Inc
$3.1B
HUNHuntsman Corp
$3.1B
BCOBrinks Co
$3.1B
Computer Sciences Co
$3.1B
KEYKeycorp
$3.0B
FLRFluor Corp
$3.0B
Frontier Communications
$3.0B
OCOwens Corning New
$3.0B
Cbs Corp
$3.0B
ARIApollo Coml Real Est Fi
$3.0B
UHSUniversal Health Svc
$3.0B
K6BKbr Inc
$3.0B
MANHManhattan Assocs Inc
$3.0B
3M4Masimo Corp
$3.0B
QRVOQorvo Inc
$2.9B
TDSTelephone & Data Sys In
$2.9B
WPCW P Carey Inc
$2.9B
Northstar Rlty Fin Corp
$2.9B
FBINFortune Brands Home & S
$2.9B
DISHDish Network Corp
$2.9B
Cooper Tire & Rubr
$2.8B
Johnson Ctls Inc
$2.8B
CRMSalesforce Com Inc
$2.8B
BRKRBruker Biosciences C
$2.8B
PEGPublic Svc Enterpris
$2.7B
General Cable Corp D
$2.7B
ZIONZions Bancorp
$2.7B
HIWHighwoods Pptys Inc
$2.6B
MTBM & T Bk Corp
$2.6B
AVBAvalonbay Cmntys Inc
$2.6B
CSLCarlisle Corp
$2.6B
Envision Healthcare Hld
$2.6B
NTRSNorthern Tr Corp
$2.6B
NXDRKindred Healthcare I
$2.6B
BENFranklin Res Inc
$2.6B
ONOn Semiconductor Cor
$2.5B
PreviousPage 5 of 13Next