LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2018 Filing
Filed July 31, 2018
Portfolio Value
$18.1B
Holdings
1,428
Report Date
Q2 2018
Filing Type
13F-HR
All Holdings (1,428 positions)
| Stock | Value |
|---|---|
HRSEURHarris Corp Del | $775K |
SCLStepan Chem Co | $772K |
MMSMaximus Inc | $772K |
T7DTransdigm Group Inc | $771K |
BMIBadger Meter Inc | $770K |
—Five Prime Therapeutics | $766K |
PTENPatterson Uti Energy | $766K |
—Medidata Solutions Inc | $766K |
OSG1EUROverseas Shipholding Gr | $764K |
DUKDuke Energy Corp New | $762K |
AJRDEURAerojet Rocketdyne Hldg | $761K |
USFDUS Foods Hldg Corp | $761K |
RUSHARush Enterpises Inc | $757K |
WTTRSelect Energy Svcs Inc | $756K |
TKRTimken Co | $751K |
ANIKAnika Therapeutics Inc | $749K |
AYXEURAlteryx Inc | $748K |
—Exantas Cap Corp | $746K |
AM6Amicus Therapeutics Inc | $746K |
MHOM/I Homes | $744K |
REGRegency Ctrs Corp | $741K |
ACLSAxcelis Technologies In | $740K |
ARGOArgo Group Intl Hldgs L | $739K |
MDRXAllscripts Healthcar | $733K |
—Front Yd Residential Co | $733K |
INFOIhs Markit Ltd | $730K |
FFICFlushing Finl Corp | $727K |
BATRKUSDLiberty Braves Group-C | $721K |
VNDAVanda Pharmaceutical | $719K |
FIZZNational Beverage Co | $718K |
—Halcon Res Corp | $712K |
JOESt Joe Corp | $708K |
QDELUSDQuidel Corp | $702K |
ADUSAddus Homecare Corp | $702K |
BHRBraemar Hotels & Resort | $699K |
—Spx Flow Inc | $695K |
CAMPEURCalamp Corp | $694K |
CASSCass Information Sys | $694K |
—Lendingclub Corp | $693K |
—Apptio Inc | $680K |
DHID R Horton Inc | $679K |
CVGICommercial Veh Group | $677K |
QRVOQorvo Inc | $674K |
—Milacron Hldgs Corp | $673K |
THCTenet Healthcare Corp | $668K |
FISFidelity Natl Inform | $666K |
AIZAssurant Inc | $666K |
KFYKorn Ferry Intl | $664K |
GNTXGentex Corp | $663K |
WTWisdomtree Invts Inc | $662K |
ARTNAArtesian Res Corp | $662K |
TBHCKirklands Inc | $660K |
FLT1EURFleetcor Technologies I | $658K |
SA2DSandridge Energy Inc | $657K |
PFGCPerformance Food Group | $657K |
MYGNMyriad Genetics Inc | $654K |
WINAWinmark Corp | $654K |
GRPNCHFGroupon Inc | $652K |
ASGNAsgn Inc | $651K |
HRUSDHealthcare Rlty Tr | $649K |
KBALUSDKimball Intl Inc | $647K |
—Fts International Inc | $647K |
SSTKShutterstock Inc | $645K |
PSTGPure Storage Inc | $645K |
BLXBanco Latinoamerican | $643K |
—Mcbc Hldgs Inc | $640K |
SUISun Communities Inc | $638K |
QTWOQ2 Hldgs Inc | $638K |
SBG1Seacoast Bkg Corp Fla | $637K |
YORWYork Wtr Co | $631K |
—Sendgrid Inc | $629K |
—Paratek Pharmaceuticals | $627K |
A3IAmerisafe Inc | $619K |
VRNSVaronis Sys Inc | $617K |
MGNXMacrogenics Inc | $611K |
—Syros Pharmaceuticals I | $611K |
SWN1EURSouthwestern Energy | $609K |
6PMParamount Group Inc | $606K |
CHRChurchill Downs Inc | $604K |
CALYCallaway Golf Co | $604K |
COLMColumbia Sportswear | $602K |
WLYWiley John & Sons In | $602K |
LGNDLigand Pharmaceuticals | $601K |
DORMDorman Products Inc | $601K |
CYHCommunity Health Sys | $600K |
MTWManitowoc Co Inc | $600K |
TLYSTillys Inc | $599K |
VCELVericel Corp | $597K |
BFHAlliance Data System | $593K |
UCBUnited Cmnty Bks Blairs | $593K |
FFord Mtr Co Del | $588K |
—L3 Technologies Inc | $587K |
FNHCUSDFednat Hldg Co | $586K |
SD2Sandy Spring Bancorp | $584K |
PEGAPegasystems Inc | $576K |
—Channeladvisor Corp | $575K |
CLDTChatham Lodging Tr | $575K |
—Vonage Hldgs Corp | $572K |
CSGSCsg Sys Intl Inc | $568K |
—Aspen Insurance Hold | $566K |