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
201
AOSSmith A O Corp 'b'
362,395$20.4B128.09%
202
MOMOUSDMomo Inc
548,616$20.3B127.23%
203
TTWOTake-Two Interactive
274,014$20.1B126.17%
204
TUPTupperware Corp
285,430$20.0B125.79%
205
HIWHighwoods Pptys Inc
378,288$19.2B120.37%
206
UTXZUnited Technologies
155,962$19.0B119.50%
207
VLOValero Energy Corp N
280,599$18.9B118.78%
208
TSNTyson Foods Inc
297,306$18.6B116.84%
209
CPTCamden Ppty Tr
216,667$18.5B116.25%
210
THGHanover Ins Group In
208,130$18.4B115.75%
211
LOWLowes Cos Inc
235,942$18.3B114.79%
212
Qiagen Nv
543,809$18.2B114.42%
213
PBCTEURPeoples United Financia
1,031,582$18.2B114.32%
214
UALUnited Contl Hldgs Inc
238,227$17.9B112.49%
215
STWDStarwood Ppty Tr Inc
796,775$17.8B111.94%
216
AWMSkyworks Solutions I
185,554$17.8B111.72%
217
BKBank Of New York Mellon
347,197$17.7B111.15%
218
CBChubb Limited
121,834$17.7B111.14%
219
SKTTanger Factory Outle
678,150$17.6B110.55%
220
CELGCelgene Corp
135,460$17.6B110.39%
221
LRCXEURLam Resh Corp
124,103$17.6B110.14%
222
GDGeneral Dynamics Cor
88,357$17.5B109.83%
223
IPGInterpublic Group Co
710,895$17.5B109.73%
224
TALTal Ed Group
141,963$17.4B108.95%
225
Sina Com
204,176$17.3B108.86%
226
AEPAmerican Elec Pwr In
249,119$17.3B108.59%
227
APHAmphenol Corp New
233,672$17.3B108.24%
228
HLTHilton Worldwide Hldgs
276,486$17.1B107.31%
229
MFAUSDMfa Mtg Invts Inc
2,036,817$17.1B107.23%
230
AIGAmerican Intl Group Inc
271,918$17.0B106.67%
231
National Instrs Corp
420,337$16.9B106.08%
232
IPInternational Paper
294,709$16.7B104.68%
233
SEESealed Air Corp New
372,650$16.7B104.66%
234
TWXCHFTime Warner Inc
163,848$16.5B103.23%
235
APAMArtisan Partners Asset
535,402$16.4B103.14%
236
AMDAdvanced Micro Devic
1,304,390$16.3B102.15%
237
CATCaterpillar Inc
151,474$16.3B102.14%
238
EX9Exelixis Inc
659,592$16.2B101.94%
239
JDJd Com Inc
411,609$16.1B101.29%
240
COPConocophillips
366,843$16.1B101.19%
241
DUKDuke Energy Corp New
192,894$16.1B101.18%
242
CAGConagra Brands Inc
450,005$16.1B100.97%
243
OMCOmnicom Group
193,527$16.0B100.67%
244
FMCF M C Corp
218,210$15.9B100.02%
245
ERIEErie Indty Co
126,103$15.8B98.97%
246
DXCDxc Technology Co
202,450$15.5B97.46%
247
UTHUnited Therapeutics
119,143$15.5B96.98%
248
TTCToro Co
222,446$15.4B96.71%
249
ETNEaton Corp Plc
198,000$15.4B96.70%
250
HEHawaiian Elec Indust
466,619$15.1B94.81%
251
ELSEquity Lifestyle Ppt
174,675$15.1B94.63%
252
LEGLeggett & Platt Inc
285,588$15.0B94.14%
253
PNRPentair Plc
224,649$14.9B93.80%
254
UNMUnumprovident Corp
318,806$14.9B93.28%
255
ATVIEURActivision Blizzard Inc
253,093$14.6B91.43%
256
STXSeagate Technology Plc
370,927$14.4B90.19%
257
Dct Industrial Trust In
268,651$14.4B90.09%
258
SYU1Synovus Finl Corp
324,099$14.3B89.97%
259
MANManpower Inc
127,589$14.2B89.39%
260
Vectren Corp
239,298$14.0B87.75%
261
EVEUREaton Vance Corp
294,043$13.9B87.31%
262
ENREnergizer Hldgs Inc New
286,271$13.7B86.26%
263
BLKCHFBlackrock Inc
32,386$13.7B85.84%
264
ACGLArch Cap Group Ltd
145,941$13.6B85.43%
265
VEEVVeeva Sys Inc
217,586$13.3B83.71%
266
KLACKla-Tencor Corp
145,636$13.3B83.62%
267
Ggp Inc
563,498$13.3B83.30%
268
DELLDell Technologies Inc
216,899$13.3B83.17%
269
IRIngersoll-Rand Plc
144,882$13.2B83.09%
270
Staples Inc
1,314,761$13.2B83.08%
271
NRANrg Energy Inc
761,381$13.1B82.27%
272
Hcp Inc
408,988$13.1B82.02%
273
CPBCampbell Soup Co
246,248$12.8B80.58%
274
ARMKAramark Hldgs Corp
310,410$12.7B79.82%
275
PRAProassurance Corp
207,563$12.6B79.19%
276
NUANEURNuance Communication
721,708$12.6B78.84%
277
Suntrust Bks Inc
221,175$12.5B78.72%
278
BPOPPopular Inc
300,090$12.5B78.54%
279
Bunge Limited
167,689$12.5B78.50%
280
BALLBall Corp
295,444$12.5B78.25%
281
Vantiv Inc
196,471$12.4B78.08%
282
BFHAlliance Data System
47,840$12.3B77.06%
283
EDConsolidated Edison
151,375$12.2B76.77%
284
PHParker Hannifin Corp
76,073$12.2B76.29%
285
TMOThermo Fisher Scientifi
69,542$12.1B76.13%
286
AEEAmeren Corp
219,080$12.0B75.15%
287
BWXTBwx Technologies Inc
245,542$12.0B75.11%
288
MCKMckesson Hboc Inc
70,531$11.6B72.82%
289
NEENextera Energy Inc
81,834$11.5B71.95%
290
WSTWest Pharmaceutical
121,254$11.5B71.92%
291
SABRSabre Corp
521,605$11.4B71.25%
292
CCKCrown Holdings Inc
189,579$11.3B70.97%
293
SONSonoco Prods Co
219,515$11.3B70.82%
294
CIMChimera Invt Corp
605,302$11.3B70.76%
295
DRIDarden Restaurants I
124,681$11.3B70.76%
296
HFCUSDHollyfrontier Corp
409,948$11.3B70.66%
297
AFWAlign Technology Inc
74,791$11.2B70.45%
298
LAMRLamar Advertising Co Ne
152,547$11.2B70.42%
299
AWCAmerican Wtr Wks Co Inc
143,904$11.2B70.38%
300
MSMMsc Indl Direct Inc
129,256$11.1B69.72%
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