LOS ANGELES CAPITAL MANAGEMENT LLC Q3 2018 Filing

Filed November 5, 2018

Portfolio Value

$19.1B

Holdings

1,375

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,375 positions)

StockValue
Tivity Health Inc
$1.8M
AMWDAmerican Woodmark Co
$1.7M
2L9Blueprint Medicines Cor
$1.7M
GEFGreif Inc
$1.7M
CBPXEURContinental Bldg Prods
$1.7M
Nanometrics Inc
$1.7M
KEYKeycorp
$1.7M
Meridian Bancorp Inc Md
$1.7M
THSTreehouse Foods Inc
$1.7M
STRAStrategic Ed Inc
$1.7M
THOThor Inds Inc
$1.7M
MRCYMercury Computer Sys
$1.7M
HOMBHome Bancshares Inc
$1.7M
HSTMHealthstream Inc
$1.7M
TREXTrex Inc
$1.7M
WTWEURWeight Watchers Intl
$1.7M
RCLRoyal Caribbean Crui
$1.7M
Brightsphere Investmnt
$1.7M
CALMCal Maine Foods Inc
$1.7M
Plantronics Inc New
$1.7M
MCOMoodys Corp
$1.7M
INFOIhs Markit Ltd
$1.6M
NYCBEURNew York Cmnty Banco
$1.6M
SCHN1EURSchnitzer Stl Inds
$1.6M
Cambrex Corp
$1.6M
FRMEFirst Merchants Corp
$1.6M
MGNXMacrogenics Inc
$1.6M
Fbl Finl Group Inc
$1.6M
AVNSAvanos Med Inc
$1.6M
TILEInterface Inc
$1.6M
LHCGUSDLhc Group Inc
$1.6M
JT5Mueller Wtr Prods In
$1.6M
ENQEntegris Inc
$1.6M
EGBNEagle Bancorp Inc Md
$1.6M
MCYMercury Genl Corp Ne
$1.6M
ITCIEURIntra Cellular Therapie
$1.6M
Gcp Applied Technologie
$1.5M
Dean Foods Co New
$1.5M
USNAUSANA Inc
$1.5M
Energen Corp
$1.5M
COUPEURCoupa Software Inc
$1.5M
Essendant Inc
$1.5M
HTDCorcept Therapeutics
$1.5M
TTDThe Trade Desk Inc
$1.5M
GBYSangamo Biosciences
$1.5M
REGIEURRenewable Energy Group
$1.5M
Cardtronics Plc
$1.5M
Park Electrochemical
$1.5M
DTEDte Energy Co
$1.5M
TYLTyler Technologies I
$1.5M
CSIIEURCardiovascular Sys Inc
$1.5M
VSMEURVersum Matls Inc
$1.5M
DLXDe Luxe Check Printe
$1.5M
WTWisdomtree Invts Inc
$1.5M
ZBHZimmer Hldgs Inc
$1.5M
BTUPeabody Energy Corp New
$1.5M
WWWWolverine World Wide
$1.4M
JOBSUSD51job Inc
$1.4M
NUENucor Corp
$1.4M
XELXcel Energy Inc
$1.4M
ASGNAsgn Inc
$1.4M
CFFNCapitol Fed Finl Inc
$1.4M
BJRIBjs Restaurants Inc
$1.4M
LDOSLeidos Hldgs Inc
$1.4M
Colony Capital Inc
$1.4M
BMIBadger Meter Inc
$1.4M
BBSIBarrett Business Ser
$1.4M
NLYEURAnnaly Capital Mgmt.
$1.4M
FELEFranklin Elec Inc
$1.4M
LITELumentum Hldgs Inc
$1.4M
CALYCallaway Golf Co
$1.3M
Nutri Sys Inc New
$1.3M
VCVisteon Corp
$1.3M
EPAMEpam Sys Inc
$1.3M
PTCPtc Inc
$1.3M
GIIIG-Iii Apparel Group
$1.3M
AEPAmerican Elec Pwr In
$1.3M
LGNDLigand Pharmaceuticals
$1.3M
MXIMMaxim Integrated Pro
$1.3M
NSCNorfolk Southern Cor
$1.3M
FFBCFirst Finl Bancorp
$1.3M
Dsw Inc
$1.3M
NWSNews Corp New
$1.3M
MG1Mge Energy Inc
$1.3M
IM8NInsmed Inc
$1.3M
Shutterfly Inc
$1.3M
EVHCEnvision Healthcare Cor
$1.3M
HCCWarrior Met Coal Inc
$1.3M
GBTUSDGlobal Blood Therapeuti
$1.3M
CARGCargurus Inc
$1.3M
KFYKorn Ferry Intl
$1.3M
AATAmerican Assets Tr Inc
$1.2M
FGENEURFibrogen Inc
$1.2M
THCTenet Healthcare Corp
$1.2M
ATHSAthene Hldg Ltd
$1.2M
SEESealed Air Corp New
$1.2M
KOPKoppers Holdings Inc
$1.2M
PEBPebblebrook Hotel Tr
$1.2M
CHEFChefs Whse Inc
$1.2M
PATKPatrick Inds Inc
$1.2M
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