LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2017 Filing

Filed August 9, 2017

Portfolio Value

$15.9B

Holdings

1,185

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (1,185 positions)

#StockSharesValue% PortfolioType
101
WSOWatsco Inc
257,243$39.7B248.90%
102
PAYXPaychex Inc
693,370$39.5B247.73%
103
AMATApplied Materials In
950,341$39.3B246.34%
104
BRK/BBerkshire Hathaway Inc
230,916$39.1B245.41%
105
VVisa Inc
412,359$38.7B242.65%
106
BIIBBiogen Idec Inc
142,431$38.6B242.52%
107
NOCNorthrop Corp
150,031$38.5B241.67%
108
Leucadia Natl Co
1,460,543$38.2B239.75%
109
MDTMedtronic Plc
429,873$38.2B239.39%
110
SBUXStarbucks Corp
650,101$37.9B237.86%
111
HSYHershey Foods Corp
351,265$37.7B236.66%
112
BAHBooz Allen Hamilton Hld
1,156,788$37.6B236.20%
113
CITCintas Corp
298,035$37.6B235.71%
114
GGGGraco Inc
341,998$37.4B234.52%
115
AFLAflac Inc
475,694$37.0B231.87%
116
QCOMQualcomm Inc
662,434$36.6B229.53%
117
CICigna Corp
217,073$36.3B228.00%
118
Ihs Markit Ltd
823,318$36.3B227.52%
119
UPSUnited Parcel Servic
319,069$35.3B221.41%
120
Dst Sys Inc Del
568,516$35.1B220.10%
121
METMetlife Inc
633,823$34.8B218.50%
122
JNPJuniper Networks
1,246,169$34.7B218.01%
123
CHKPCheck Point Software
318,462$34.7B217.98%
124
BACVerizon Communications
773,588$34.5B216.78%
125
W3UWestern Un Co
1,790,682$34.1B214.05%
126
JKHYHenry Jack & Assoc I
326,847$34.0B213.03%
127
Coach Inc
715,088$33.9B212.42%
128
Dow Chem Co
535,934$33.8B212.10%
129
SMGScotts Co
375,907$33.6B211.02%
130
KMBKimberly Clark Corp
253,610$32.7B205.46%
131
AGOAssured Guaranty Ltd
777,339$32.4B203.59%
132
NLYEURAnnaly Capital Mgmt.
2,690,919$32.4B203.47%
133
Dun & Bradstreet Cor
297,635$32.2B201.98%
134
DHRDanaher Corp
381,390$32.2B201.96%
135
EBAEbay Inc
920,386$32.1B201.67%
136
SYYSysco Corp
635,788$32.0B200.79%
137
EDUNew Oriental Ed & Te
448,045$31.6B198.18%
138
NKENike Inc
527,489$31.1B195.29%
139
DVADavita Inc
480,338$31.1B195.19%
140
ORCLOracle Corp
617,965$31.0B194.43%
141
PXGBXPraxair Inc
229,675$30.4B191.03%
142
COSTCostco Whsl Corp New
190,169$30.4B190.84%
143
ISRGIntuitive Surgical I
32,247$30.2B189.27%
144
PPLPpl Corp
772,718$29.9B187.45%
145
7HPHp Inc
1,700,736$29.7B186.54%
146
CVSCvs Corp
367,412$29.6B185.50%
147
LPTUSDLiberty Ppty Tr
724,568$29.5B185.09%
148
SHWSherwin Williams Co
83,879$29.4B184.72%
149
NEMNewmont Mng Corp Hld
907,618$29.4B184.47%
150
CSCOCisco Sys Inc
932,896$29.2B183.23%
151
EWEdwards Lifesciences
246,889$29.2B183.18%
152
OPLNKar Auction Svcs Inc
693,524$29.1B182.64%
153
MSGSMadison Square Garden C
146,583$28.9B181.10%
154
CBOECboe Hldgs Inc
314,661$28.8B180.46%
155
GSGoldman Sachs Group
128,625$28.5B179.10%
156
CHHChoice Hotels Intl I
442,957$28.5B178.58%
157
DPZDominos Pizza Inc
134,097$28.4B177.99%
158
ZTSZoetis Inc
454,367$28.3B177.85%
159
TERTeradyne Inc
926,533$27.8B174.59%
160
WATWaters Corp
149,919$27.6B172.94%
161
REEverest Re Group Ltd
106,587$27.1B170.27%
162
GISGeneral Mls Inc
488,866$27.1B169.94%
163
IDXXIdexx Labs Inc
165,853$26.8B167.99%
164
EEFTEuronet Svcs Inc
303,248$26.5B166.25%
165
DALDelta Air Lines Inc Del
492,265$26.5B165.99%
166
HCAHca Holdings Inc
298,606$26.0B163.38%
167
GPKGraphic Packaging Hldg
1,886,981$26.0B163.16%
168
PPGPpg Inds Inc
236,218$26.0B162.99%
169
YYEURYy Inc
444,548$25.8B161.87%
170
ALLEAllegion Pub Ltd Co
312,488$25.3B159.06%
171
EQREquity Residential P
382,768$25.2B158.11%
172
AESAes Corp
2,266,386$25.2B158.00%
173
PGRProgressive Corp Ohi
570,932$25.2B157.95%
174
ADPAutomatic Data Proce
245,130$25.1B157.60%
175
ADSKAutodesk Inc
247,334$24.9B156.47%
176
LVSLas Vegas Sands Corp
390,075$24.9B156.38%
177
AMCXAmc Networks Inc
464,968$24.8B155.83%
178
SCIService Corp Intl
739,696$24.7B155.26%
179
TAPMolson Coors Brewing
285,894$24.7B154.89%
180
DWDMorgan Stanley
552,725$24.6B154.54%
181
ETREntergy Corp New
319,949$24.6B154.12%
182
NFGNational Fuel Gas Co
435,259$24.3B152.51%
183
HP5AEquity Comwlth
765,135$24.2B151.71%
184
DDominion Res Inc Va
306,123$23.5B147.20%
185
ORIOld Rep Intl Corp
1,184,981$23.1B145.22%
186
HTAEURHealthcare Tr Amer Inc
740,955$23.1B144.64%
187
KSUEURKansas City Southn
220,114$23.0B144.54%
188
Bemis Inc
497,856$23.0B144.48%
189
TSSTotal Sys Svcs Inc
392,421$22.9B143.44%
190
UGIUgi Corp New
470,843$22.8B143.03%
191
EMNEastman Chem Co
268,492$22.6B141.50%
192
Validus Holdings Ltd
429,176$22.3B139.95%
193
L3 Technologies Inc
130,437$21.8B136.75%
194
SWKStanley Black & Decker
153,447$21.6B135.51%
195
HDSUSDHd Supply Hldgs Inc
698,900$21.4B134.33%
196
HRSEURHarris Corp Del
193,563$21.1B132.49%
197
Quintiles IMS Holdings Inc
231,585$20.7B130.06%
198
ABTAbbott Labs
426,152$20.7B129.98%
199
Care Cap Pptys Inc
769,571$20.5B128.94%
200
AIZAssurant Inc
197,817$20.5B128.71%
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