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)

StockValue
Dsw Inc
$564K
KPTIEURKaryopharm Therapeutics
$564K
Universal Fst Prods
$561K
SCTLRecro Pharma Inc
$559K
NBIXNeurocrine Bioscienc
$556K
SCHWSchwab Charles Cp Ne
$554K
Nic Inc
$551K
BDCBelden Cdt Inc
$547K
First Conn Bancorp Inc
$543K
CEIXEURConsol Energy Inc New
$543K
LBTYBLiberty Global Plc
$540K
MCHBHomestreet Inc
$540K
Hff Inc
$537K
RPRealpage Inc
$537K
Lydall Inc
$533K
RPDRapid7 Inc
$529K
Avx Corp New
$525K
HHC*Howard Hughes Corp Com
$523K
CSXCsx Corp
$520K
SWXSouthwest Gas Holdings Inc
$520K
HSIHeidrick & Struggles
$519K
BXCBluelinx Hldgs Inc
$518K
TTMITtm Technologies In
$518K
ITRIItron Inc
$517K
C&J Energy Svcs Inc New
$516K
CPSCooper Std Hldgs Inc
$516K
TYLTyler Technologies I
$513K
PIRSPieris Pharmaceuticals
$513K
Carbonite Inc
$511K
RMRRmr Group Inc
$510K
EFSCEnterprise Finl Svcs
$506K
PHParker Hannifin Corp
$505K
DIODDiodes Inc
$503K
Virtusa Corp
$503K
EHTHEhealth Inc
$501K
GTYGetty Rlty Corp New
$500K
OSKOshkosh Truck Corp
$495K
CPE3EURCallon Pete Co Del
$493K
SNDXSyndax Pharmaceuticals
$492K
LTHLifepoint Hospitals
$488K
UVVUniversal Corp
$485K
Spirit Rlty Cap Inc New
$484K
Capital Sr Living Co
$483K
CLDRCloudera Inc
$481K
SFStifel Finl Corp
$480K
IMAImax Corp
$479K
Cray Inc
$479K
IARTIntegra Lifesciences
$478K
VIACCbs Corp
$472K
MGMistras Group Inc
$472K
Acorda Therapeutics
$471K
TBITrueblue Inc
$471K
VREXVarex Imaging Corp
$469K
Tristate Cap Hldgs Inc
$468K
CSIIEURCardiovascular Sys Inc
$467K
PARRPar Pete Corp
$467K
Bancorpsouth Bk Tupelo
$466K
IPHSEURInnophos Holdings In
$465K
CNOBConnectone Bancorp Inc
$465K
LENLennar Corp
$461K
Infinity Ppty & Cas
$459K
SABRSabre Corp
$459K
HOMBHome Bancshares Inc
$457K
CNMDConmed Corp
$456K
KELYAKelly Svcs Inc
$456K
ESTEEUREarthstone Energy Inc
$455K
VRAVera Bradley Inc
$455K
MOG/AMoog Inc 'a'
$454K
SFBSServisfirst Bancshares
$451K
DENNDennys Corp
$447K
CRAICra Intl Inc
$447K
PKNPerkinelmer Inc
$445K
CMCOColumbus Mckinnon Co
$444K
GBCIGlacier Bancorp Inc
$443K
NBTBNbt Bancorp Inc
$440K
LINDLindblad Expeditions Hl
$435K
Basic Energy Svcs Inc N
$433K
OKTAOkta Inc
$432K
DCIDonaldson Inc
$431K
GMS1EURGms Inc
$429K
MANHManhattan Assocs Inc
$428K
SCVLShoe Carnival Inc
$426K
GEGGeo Group Inc New
$425K
Unit Corp
$423K
Firstcash Inc
$423K
SPSCSps Comm Inc
$423K
Baldwin & Lyons Inc
$420K
RGNXRegenxbio Inc
$420K
TEN1Tenneco Automotive I
$419K
KNSLKinsale Cap Group Inc
$410K
URBNUrban Outfitters Inc
$407K
K2m Group Hldgs Inc
$405K
Arris Intl Inc
$403K
CTRNCiti Trends Inc
$403K
Flotek Inds Inc Del
$403K
HEIHeico Corp New
$400K
ATSG*Air Trans Hldgs Inc
$400K
ENZBEnzo Biochem Inc
$400K
VVXVectrus Inc
$399K
Stemline Therapeutics I
$398K
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