LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2019 Filing

Filed July 29, 2019

Portfolio Value

$18.6B

Holdings

1,331

Report Date

Q2 2019

Filing Type

13F-HR

All Holdings (1,331 positions)

StockValue
SYMCEURSymantec Corp
$10.2M
LVSLas Vegas Sands Corp
$10.1M
CDWCdw Corp
$10.1M
HFCUSDHollyfrontier Corp
$10.1M
Tech Data Corp
$10.1M
WBSWebster Finl Corp Co
$10.0M
CUBECubesmart
$9.9M
CRLCharles Riv Labs Int
$9.8M
AMTTd Ameritrade Hldg C
$9.8M
HCAHca Holdings Inc
$9.7M
WECWec Energy Group Inc
$9.6M
ALSAllstate Corp
$9.6M
FLOFlowers Foods Inc
$9.6M
GEGeneral Elec Co
$9.4M
FTVFortive Corp
$9.4M
Cypress Semiconducto
$9.4M
NDAQNasdaq Stock Martket
$9.4M
BBTUSDBb&T Corp
$9.3M
PG4Principal Financial
$9.3M
HUMHumana Inc
$9.3M
UGIUgi Corp New
$9.3M
CTRPUSDCtrip Com Intl Ltd
$9.2M
FUODolby Laboratories I
$9.2M
DGDollar Gen Corp New
$9.1M
IQVIqvia Hldgs Inc
$9.1M
FRTEURFederal Realty Invt
$9.1M
Allergan Plc
$9.0M
SSS1EURLife Storage Inc
$8.9M
COLMColumbia Sportswear
$8.9M
CMAComerica Inc
$8.8M
EAElectronic Arts
$8.8M
EEFTEuronet Worldwide Inc
$8.8M
PHParker Hannifin Corp
$8.8M
Ihs Markit Ltd
$8.7M
TDCTeradata Corp Del
$8.6M
ESNTEssent Group Ltd
$8.5M
SONSonoco Prods Co
$8.5M
CABOCable One Inc
$8.4M
PAYCPaycom Software Inc
$8.4M
JXC1J2 Global Inc
$8.4M
ACGLArch Cap Group Ltd
$8.3M
HEHawaiian Elec Indust
$8.2M
CPTCamden Ppty Tr
$8.2M
VMWEURVmware Inc
$8.2M
RDNRadian Group Inc
$8.2M
VFCV F Corp
$8.1M
ALLYAlly Finl Inc
$8.0M
PFPTProofpoint Inc
$8.0M
FAFFirst Amern Finl Corp
$8.0M
SNPSSynopsys Inc
$8.0M
WSTWest Pharmaceutical
$7.9M
BKBank Of New York Mellon
$7.8M
APLEApple Hospitality Reit
$7.8M
DELLDell Technologies Inc
$7.8M
AWCAmerican Wtr Wks Co Inc
$7.7M
AJRDEURAerojet Rocketdyne Hldg
$7.7M
DECKDeckers Outdoor Corp
$7.6M
GWWGrainger W W Inc
$7.6M
BDNBrandywine Rlty Tr
$7.6M
FNBFnb Corp
$7.5M
ETNEaton Corp Plc
$7.5M
VRSKVerisk Analytics Inc
$7.4M
LBEURL Brands Inc
$7.3M
NSPInsperity Inc
$7.3M
CITUSDCit Group Inc
$7.2M
LNCLincoln Natl Corp In
$7.2M
TTEKTetra Tech Inc New
$7.2M
NYTNew York Times Co
$7.1M
MRSHMarsh & Mclennan Cos
$7.1M
MFAUSDMfa Mtg Invts Inc
$7.0M
XYZSquare Inc
$6.9M
BUSDBarnes Group Inc
$6.9M
EXPEExpedia Inc Del
$6.9M
ERIEErie Indty Co
$6.8M
RITMNew Residential Invt Co
$6.8M
WKCWorld Fuel Svcs Corp
$6.7M
VVVValvoline Inc
$6.7M
TTCToro Co
$6.7M
Hms Hldgs Corp
$6.7M
ATHMAutohome Inc
$6.7M
OMFOnemain Hldgs Inc
$6.7M
BAPCredicorp Ltd
$6.7M
MPWRMonolithic Pwr Sys I
$6.6M
OSKOshkosh Truck Corp
$6.6M
XRAYDentsply Sirona Inc
$6.5M
DNKNDunkin Brands Group Inc
$6.5M
ADPAutomatic Data Proce
$6.5M
WYNEURWyndham Destinations
$6.5M
SKAASkechers U S A Inc
$6.4M
DXCDxc Technology Co
$6.4M
Aqua America Inc
$6.4M
OUTOutfront Media Inc
$6.4M
CELGCelgene Corp
$6.3M
PCARPaccar Inc
$6.3M
CNPCenterpoint Energy I
$6.3M
APTVAptiv Plc
$6.2M
MOMOUSDMomo Inc
$6.1M
SEESealed Air Corp New
$6.1M
WF2Wintrust Financial C
$6.1M
CNKCinemark Holdings Inc
$6.1M
PreviousPage 4 of 14Next