LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2020 Filing

Filed August 5, 2020

Portfolio Value

$20.8T

Holdings

1,447

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (1,447 positions)

#StockSharesValue% PortfolioType
101
4I1Philip Morris Intl Inc
674,484$47.3B0.23%
102
CHEChemed Corp New
103,884$46.9B0.23%
103
POOLPool Corporation
171,486$46.6B0.22%
104
MDTMedtronic Plc
505,382$46.3B0.22%
105
JBLJabil Circuit Inc
1,422,128$45.6B0.22%
106
SBUXStarbucks Corp
616,784$45.4B0.22%
107
QRVOQorvo Inc
406,354$44.9B0.22%
108
EBAEbay Inc
852,649$44.7B0.22%
109
VMCVulcan Matls Co
384,385$44.5B0.21%
110
STESteris Plc
288,658$44.3B0.21%
111
PSAPublic Storage Inc
222,073$42.6B0.21%
112
USBUS Bancorp Del
1,141,868$42.0B0.20%
113
FICOFair Isaac Corp
98,432$41.1B0.20%
114
JDJd Com Inc
681,835$41.0B0.20%
115
LWLamb Weston Hldgs Inc
638,315$40.8B0.20%
116
HEIHeico Corp New
399,790$39.8B0.19%
117
FNFFidelity National Finan
1,293,060$39.6B0.19%
118
CWCurtiss Wright Corp
442,373$39.5B0.19%
119
NTESNetease Com Inc
91,411$39.3B0.19%
120
OLEDUniversal Display Co
262,002$39.2B0.19%
121
PAYXPaychex Inc
508,667$38.5B0.19%
122
IDXXIdexx Labs Inc
115,908$38.3B0.18%
123
ADIAnalog Devices Inc
309,097$37.9B0.18%
124
DPZDominos Pizza Inc
102,057$37.7B0.18%
125
CVXChevron Corp
418,316$37.3B0.18%
126
PFEPfizer Inc
1,140,190$37.3B0.18%
127
DHRDanaher Corp
205,946$36.4B0.18%
128
CPRTCopart Inc
436,212$36.3B0.17%
129
AMDAdvanced Micro Devic
684,673$36.0B0.17%
130
BROBrown & Brown Inc
881,977$35.9B0.17%
131
CVSCvs Corp
549,780$35.7B0.17%
132
ADSKAutodesk Inc
145,702$34.9B0.17%
133
XOMExxon Mobil Corp
769,967$34.4B0.17%
134
WSTWest Pharmaceutical
151,452$34.4B0.17%
135
TJXTjx Cos Inc New
672,890$34.0B0.16%
136
FASTFastenal Co
793,193$34.0B0.16%
137
SEICSei Corp
611,698$33.6B0.16%
138
ZTSZoetis Inc
244,666$33.5B0.16%
139
BLKCHFBlackrock Inc
61,104$33.2B0.16%
140
ALLEAllegion Pub Ltd Co
322,874$33.0B0.16%
141
SPGSimon Ppty Group Inc
475,951$32.5B0.16%
142
VSTVistra Energy Corp
1,720,552$32.0B0.15%
143
JKHYHenry Jack & Assoc I
173,412$31.9B0.15%
144
DGXQuest Diagnostics In
277,499$31.6B0.15%
145
NEENextera Energy Inc
129,791$31.2B0.15%
146
LINLinde Plc
146,868$31.2B0.15%
147
DOWDow Inc
758,902$30.9B0.15%
148
PHMPulte Homes Corp
906,741$30.9B0.15%
149
GILDGilead Sciences Inc
392,588$30.2B0.15%
150
TRVCCitigroup Inc
590,623$30.2B0.15%
151
CHDChurch & Dwight Inc
388,267$30.0B0.14%
152
DOVDover Corp
305,727$29.5B0.14%
153
SHWSherwin Williams Co
50,488$29.2B0.14%
154
TSCOTractor Supply Co
220,817$29.1B0.14%
155
RHIRobert Half Intl Inc
534,840$28.3B0.14%
156
HXLHexcel Corp New
609,706$27.6B0.13%
157
NEUNewmarket Corp
68,453$27.4B0.13%
158
WDAYWorkday Inc
145,773$27.3B0.13%
159
VRSKVerisk Analytics Inc
159,868$27.2B0.13%
160
AKAMAkamai Technologies
250,929$26.9B0.13%
161
MANHManhattan Assocs Inc
281,635$26.5B0.13%
162
KEYSKeysight Technologies I
261,365$26.3B0.13%
163
MTBM & T Bk Corp
252,884$26.3B0.13%
164
8CWCrown Castle Intl Corp
156,956$26.3B0.13%
165
MTDMettler Toledo Inter
32,073$25.8B0.12%
166
AMATApplied Materials In
425,648$25.7B0.12%
167
MOAltria Group Inc
651,580$25.6B0.12%
168
YUMCYum China Hldgs Inc
529,081$25.4B0.12%
169
HRBBlock H & R Inc
1,779,270$25.4B0.12%
170
WFCWells Fargo & Co New
987,464$25.3B0.12%
171
CMCSAComcast Corp New
640,735$25.0B0.12%
172
BSXBoston Scientific Co
706,865$24.8B0.12%
173
TEAMAtlassian Corp Plc
136,258$24.6B0.12%
174
AMEAmetek Inc New
274,382$24.5B0.12%
175
HLTHilton Worldwide Hldgs
331,154$24.3B0.12%
176
RSGRepublic Svcs Inc
293,115$24.1B0.12%
177
IRIngersoll Rand Inc
815,364$22.9B0.11%
178
DDDupont De Nemours Inc
424,400$22.5B0.11%
179
CICigna Corp New
119,228$22.4B0.11%
180
AJGGallagher Arthur J &
226,484$22.1B0.11%
181
SSS1EURLife Storage Inc
232,263$22.1B0.11%
182
CAHCardinal Health Inc
417,231$21.8B0.10%
183
GWWGrainger W W Inc
68,292$21.5B0.10%
184
LSTRLandstar Sys Inc
190,227$21.4B0.10%
185
BURLBurlington Stores Inc
107,518$21.2B0.10%
186
BBYBest Buy Inc
238,919$20.9B0.10%
187
ROPRoper Inds Inc New
53,661$20.8B0.10%
188
SRPTSarepta Therapeutics In
129,367$20.7B0.10%
189
MRCYMercury Computer Sys
262,714$20.7B0.10%
190
ATVIEURActivision Blizzard Inc
270,530$20.5B0.10%
191
PWRQuanta Svcs Inc
521,419$20.5B0.10%
192
STTState Str Corp
319,035$20.3B0.10%
193
MMM3m Co
123,249$19.2B0.09%
194
VENVentas Inc
524,104$19.2B0.09%
195
INCYIncyte Pharmaceutica
182,183$18.9B0.09%
196
SEESealed Air Corp New
566,397$18.6B0.09%
197
EMREmerson Elec Co
295,677$18.3B0.09%
198
WMWaste Mgmt Inc Del
173,068$18.3B0.09%
199
HLFHerbalife Ltd
406,294$18.3B0.09%
200
NEMNewmont Goldcorp Corpor
295,188$18.2B0.09%
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