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)

StockValue
ALKAlaska Airgroup
$2.1M
EMEEmcor Group Inc
$2.0M
ESRTEmpire St Rlty Tr Inc
$2.0M
QUADQuad / Graphics Inc
$2.0M
WCGEURWellcare Group Inc
$2.0M
AALAmerican Airls Group In
$2.0M
MBTGBPMobile Telesystems O
$2.0M
Dime Cmnty Bancorp I
$2.0M
MRO*Marathon Oil Corp
$2.0M
ICEIntercontinentalexchang
$2.0M
WRKUSDWestrock Co
$2.0M
UPBDRent A Ctr Inc New
$2.0M
CFFNCapitol Fed Finl Inc
$2.0M
JECUSDJacobs Engr Group In
$2.0M
REGNRegeneron Pharmaceut
$2.0M
RRDEURDonnelley R R & Sons Co
$1.9M
EPCEdgewell Pers Care Co
$1.9M
Meridian Bancorp Inc Md
$1.9M
NWLINational Westn Life Gro
$1.9M
SLBSchlumberger Ltd
$1.9M
BRK-BQuality Care Pptys Inc
$1.9M
TRNOTerreno Rlty Corp
$1.9M
EMREmerson Elec Co
$1.9M
ARIApollo Coml Real Est Fi
$1.9M
RPMRpm International
$1.9M
MCYMercury Genl Corp Ne
$1.8M
BBTBerkshire Hills Banc
$1.8M
Cornerstone Ondemand In
$1.8M
UEOWestlake Chem Corp
$1.8M
MCOMoodys Corp
$1.8M
BERYEURBerry Plastics Group In
$1.8M
KEYSKeysight Technologies I
$1.8M
NYTNew York Times Co
$1.8M
Envision Healthcare Cor
$1.8M
LMTLockheed Martin Corp
$1.8M
HRUSDHealthcare Rlty Tr
$1.8M
Essendant Inc
$1.8M
UNPUnion Pac Corp
$1.8M
CMECme Group Inc
$1.8M
VREMack Cali Rlty Corp
$1.8M
ACCUSDAmerican Campus Cmnt
$1.7M
Phh Corp
$1.7M
ACHOwens & Minor Inc Ne
$1.7M
NUSNu Skin Enterprises
$1.7M
SAFTSafety Ins Group Inc
$1.7M
FDSFactset Resh Sys Inc
$1.7M
MNSTMonster Beverage Corp N
$1.7M
LBRDALiberty Broadband Corp
$1.7M
Rockwell Collins Inc
$1.7M
VSHVishay Intertechnolo
$1.7M
BHEBenchmark Electrs In
$1.7M
WTWWillis Towers Watson Pu
$1.7M
NWSNews Corp New
$1.7M
Bankrate Inc Del
$1.7M
EXPDExpeditors Intl Wash
$1.6M
CCChemours Co
$1.6M
USX1United States Stl Co
$1.6M
Five Prime Therapeutics
$1.6M
NDAQNasdaq Stock Martket
$1.6M
MG1Mge Energy Inc
$1.6M
RDNRadian Group Inc
$1.6M
Trinseo S A
$1.6M
Mcdermott Intl
$1.6M
IDAIdacorp Inc
$1.6M
TROWT.Rowe Price Group I
$1.6M
SUISun Communities Inc
$1.6M
SWXSouthwest Gas Holdings Inc
$1.5M
Chesapeake Lodging Tr
$1.5M
Electronics For Imag
$1.5M
Fbl Finl Group Inc
$1.5M
Oritani Finl Corp Del
$1.5M
WDFCWd 40 Co
$1.5M
Imperva Inc
$1.5M
KOPKoppers Holdings Inc
$1.5M
IVZInvesco Ltd
$1.5M
Ramco-Gershenson Ppt
$1.5M
WBAWalgreens Boots Allianc
$1.5M
Pinnacle Entmt Inc New
$1.5M
FDPFresh Del Monte Prod
$1.4M
CITUSDCit Group Inc
$1.4M
DENNDennys Corp
$1.4M
PWRQuanta Svcs Inc
$1.4M
BROBrown & Brown Inc
$1.4M
ATHMAutohome Inc
$1.4M
SANMSanmina Corporation
$1.4M
AEBAAllete Inc
$1.4M
RPRealpage Inc
$1.4M
Esterline Technologi
$1.4M
AMEDAmedisys Inc
$1.4M
WHRWhirlpool Corp
$1.4M
AVAAvista Corp
$1.4M
WSBFWaterstone Finl Inc Md
$1.3M
ADMArcher Daniels Midla
$1.3M
CHEChemed Corp New
$1.3M
CRLCharles Riv Labs Int
$1.3M
FRMEFirst Merchants Corp
$1.3M
CAKECheesecake Factory I
$1.3M
ENSEnersys
$1.3M
SEICSei Corp
$1.3M
RYNRayonier Inc
$1.3M
PreviousPage 7 of 12Next