LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2020 Filing

Filed August 5, 2020

Portfolio Value

$20.8B

Holdings

1,447

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (1,447 positions)

StockValue
IPHIInphi Corp
$4.9M
ARWRArrowhead Pharmaceutica
$4.9M
NOCNorthrop Corp
$4.8M
FRFirst Industrial Rea
$4.8M
RMBS*Rambus Inc Del
$4.8M
MSGSMadison Square Garden C
$4.8M
MSMMsc Indl Direct Inc
$4.8M
TREXTrex Inc
$4.7M
ERIEErie Indty Co
$4.7M
Hms Hldgs Corp
$4.7M
0VVBViacomcbs Inc
$4.7M
WATWaters Corp
$4.7M
DTEDte Energy Co
$4.6M
CNCCentene Corp Del
$4.6M
ALXNAlexion Pharmaceutic
$4.6M
ZBRAZebra Technologies C
$4.6M
Ps Business Pks Inc
$4.6M
HTAEURHealthcare Tr Amer Inc
$4.5M
RLIRli Corp
$4.5M
PDCOEURPatterson Companies
$4.5M
OSKOshkosh Truck Corp
$4.4M
ZZillow Group Inc
$4.4M
APDAir Prods & Chems In
$4.4M
MTHMeritage Corp
$4.4M
PRDOPerdoceo Ed Corp
$4.4M
MZTILancaster Colony Cor
$4.4M
UI2Kemper Corp Del
$4.3M
ARWArrow Electrs Inc
$4.3M
BRXBrixmor Ppty Group Inc
$4.3M
BHFBrighthouse Finl Inc
$4.3M
XNCRXencor Inc
$4.3M
BOHBank Hawaii Corp
$4.2M
CNPCenterpoint Energy I
$4.2M
KNXKnight Swift Transn Hld
$4.2M
Weingarten Realty In
$4.2M
ESNTEssent Group Ltd
$4.1M
SMTCSemtech Corp
$4.1M
HPHelmerich & Payne In
$4.1M
MEDPMedpace Hldgs Inc
$4.1M
WKCWorld Fuel Svcs Corp
$4.0M
BKNGBooking Hldgs Inc
$4.0M
VYXNcr Corp New
$4.0M
CNSCohen & Steers Inc
$4.0M
ANIKAnika Therapeutics Inc
$4.0M
IOSPInnospec Inc
$3.9M
A3IAmerisafe Inc
$3.9M
SYNASynaptics Inc
$3.9M
AMGAffiliated Managers
$3.9M
CFCf Inds Hldgs Inc
$3.9M
TTEKTetra Tech Inc New
$3.9M
HALOHalozyme Therapeutic
$3.8M
STRAStrategic Ed Inc
$3.8M
WTWWillis Towers Watson Pu
$3.8M
LENLennar Corp- Cl A
$3.8M
Neophotonics Corp
$3.8M
FFord Mtr Co Del
$3.8M
WAFDWashington Fed Inc
$3.8M
ACADAcadia Pharmaceutica
$3.8M
RTXRaytheon Technologies Corp
$3.7M
RSReliance Steel & Alu
$3.7M
EWBCEast West Bancorp In
$3.7M
SLABSilicon Laboratories
$3.7M
TSAAci Worldwide Inc
$3.7M
PHParker Hannifin Corp
$3.7M
FFINFirst Finl Bankshare
$3.7M
NAVINavient Corp
$3.7M
LSCCLattice Semiconducto
$3.7M
Bluebird Bio Inc
$3.6M
ORIOld Rep Intl Corp
$3.6M
AMEDAmedisys Inc
$3.6M
CHRSCoherus Biosciences Inc
$3.5M
SRJSpartannash Co
$3.5M
UFPIUFP Industries Inc.
$3.5M
TRMBTrimble Navigation L
$3.5M
APHAmphenol Corp New
$3.5M
HQYHealthequity Inc
$3.5M
AWMSkyworks Solutions I
$3.5M
WDFCWd 40 Co
$3.4M
JCIJohnson Ctls Intl Plc
$3.4M
LBEURL Brands Inc
$3.4M
EGPEastgroup Ppty Inc
$3.4M
DRIDarden Restaurants I
$3.4M
AM6Amicus Therapeutics Inc
$3.4M
TXRHTexas Roadhouse Inc
$3.4M
BLDRBuilders Firstsource
$3.4M
EVTCEvertec Inc
$3.4M
TPDTempur Pedic Intl In
$3.3M
DISDisney Walt Prodtns
$3.3M
AINAlbany Intl Corp
$3.3M
CBUCommunity Bk Sys Inc
$3.3M
MRNAModerna Inc
$3.3M
CPTCamden Ppty Tr
$3.3M
ISBCUSDInvestors Bancorp Inc N
$3.2M
SNPSSynopsys Inc
$3.2M
GLGlobe Life Inc
$3.2M
BDXBecton Dickinson
$3.2M
2L9Blueprint Medicines Cor
$3.2M
UFSDomtar Corp
$3.2M
OGEOge Energy Corp
$3.2M
BWABorg-Warner Automoti
$3.2M
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