LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2021 Filing

Filed August 5, 2021

Portfolio Value

$22.7B

Holdings

1,518

Report Date

Q2 2021

Filing Type

13F-HR

All Holdings (1,518 positions)

StockValue
FBPFirst Bancorp P R
$1.1M
BSYBentley Sys Inc
$1.1M
BCOVUSDBrightcove Inc
$1.1M
GDGeneral Dynamics Cor
$1.1M
ROKURoku Inc
$1.1M
Radius Health Inc
$1.1M
MODVQModivcare Inc
$1.1M
BOOTBoot Barn Hldgs Inc
$1.1M
BNRBurning Rock Biotech Lt
$1.1M
FFICFlushing Finl Corp
$1.1M
ATRAGBXAtara Biotherapeutics I
$1.1M
NSSCNapco Sec Sys Inc
$1.1M
NBHCNational Bk Hldgs Corp
$1.1M
MKSIMks Instrument Inc
$1.1M
EFTTechtarget Inc
$1.1M
LILALiberty Latin America L
$1.1M
CVLGCovenant Trans Inc
$1.1M
NGVCNatural Grocers By Vita
$1.1M
DOCHealthpeak Pptys Inc
$1.1M
RBCRbc Bearings Inc
$1.1M
8LP1Laredo Petroleum Inc
$1.1M
Oneconnect Finl Technol
$1.1M
SANMSanmina Corporation
$1.1M
XXYCross Ctry Healthcar
$1.1M
SFLSfl Corporation Ltd
$1.1M
AMBAAmbarella Inc
$1.1M
TUPTupperware Corp
$1.1M
VLGEAVillage Super Mkt In
$1.1M
BEAMBeam Therapeutics Inc
$1.1M
PDCOEURPatterson Companies
$1.1M
TXRHTexas Roadhouse Inc
$1.1M
RBBRbb Bancorp
$1.0M
MIMEMimecast Ltd
$1.0M
ORIOld Rep Intl Corp
$1.0M
UGIUgi Corp New
$1.0M
JBSSSanfilippo John B &
$1.0M
IGTInternational Game Tech
$1.0M
AMEDAmedisys Inc
$1.0M
IOSPInnospec Inc
$1.0M
NUSNu Skin Enterprises
$1.0M
USFDUS Foods Hldg Corp
$1.0M
PRUPrudential Finl Inc
$1.0M
TSNTyson Foods Inc
$1.0M
MGIEURMoneygram Intl Inc
$1.0M
VRRMVerra Mobility Corp
$1.0M
IBCPIndependent Bank Corp M
$1.0M
BDQMAlbireo Pharma Inc
$1.0M
IEIInsight Enterprises
$1.0M
PPHMEURAvid Bioservices Inc
$1.0M
CRKComstock Res Inc
$1.0M
LFVNLifevantage Corp
$1.0M
SPWHSportsmans Whse Hldgs I
$1.0M
LASRNlight Inc
$1.0M
VERUEURVeru Inc
$1.0M
XNCRXencor Inc
$1.0M
MEDMedifast Inc
$1.0M
PRGSProgress Software Co
$1.0M
FIZZNational Beverage Co
$1.0M
PWIPower Integrations I
$999K
CPRXCatalyst Pharm Partn
$999K
HBBHamilton Beach Brands H
$998K
WELLWelltower Inc
$997K
SGCSuperior Uniform Grp
$996K
Istar Finl Inc
$991K
RMRegional Mgmt Corp
$991K
Pzena Investment Mgmt I
$991K
HSIHeidrick & Struggles
$988K
AVLRUSDAvalara Inc
$987K
TRVTravelers Companies
$985K
ACLSAxcelis Technologies In
$984K
EYENational Vision Hldgs I
$981K
NVROEURNevro Corp
$979K
TTEKTetra Tech Inc New
$975K
DC4Dexcom Inc
$973K
CARGCargurus Inc
$972K
FCFranklin Covey Co
$971K
ESNTEssent Group Ltd
$970K
VECOVeeco Instrs Inc Del
$966K
RILYB Riley Finl Inc
$964K
SBACSBA COMMUNICATIONS CORP
$962K
ABMAbm Inds Inc
$961K
SHYFShyft Group Inc
$961K
HIWHighwoods Pptys Inc
$960K
BEKEKe Hldgs Inc
$959K
PSXPhillips 66
$954K
OVVOvintiv Inc
$953K
WSCWillscot Mobil Mini Hld
$951K
UDRUdr Inc
$951K
ISBCUSDInvestors Bancorp Inc N
$949K
BEPCBrookfield Renewable Co
$946K
ONEM1life Healthcare Inc
$945K
07SSecureworks Corp
$945K
PQ3Provident Finl Svcs
$942K
AGSPlayags Inc
$941K
WTSWatts Water Tech
$933K
PFGCPerformance Food Group
$930K
WMBWilliams Cos
$928K
EDITEditas Medicine Inc
$924K
MOVMovado Group Inc
$920K
PCYOPurecycle Corp
$913K
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