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
Electro Scientific
$1.2M
T7DTransdigm Group Inc
$1.2M
NEMNewmont Mng Corp Hld
$1.2M
RAREUltragenyx Pharmaceutic
$1.2M
TXRHTexas Roadhouse Inc
$1.2M
CEIXEURConsol Energy Inc New
$1.2M
Steris Plc
$1.2M
CORECore Mark Holding Co
$1.2M
ANABAnaptysbio Inc
$1.2M
VTYVerint Sys Inc
$1.2M
Bottomline Tech Del
$1.2M
PHParker Hannifin Corp
$1.2M
CIOCity Office Reit Inc
$1.2M
Cimpress N V
$1.2M
MEIMethode Electrs Inc
$1.2M
TDCTeradata Corp Del
$1.2M
EPREpr Pptys
$1.2M
CTRECaretrust Reit Inc
$1.2M
HLTHilton Worldwide Hldgs
$1.2M
STAAStaar Surgical Co
$1.2M
HSIHeidrick & Struggles
$1.2M
WTSWatts Water Tech
$1.1M
Intersect Ent Inc
$1.1M
SF9Sanderson Farms Inc
$1.1M
NUVAGBPNuvasive Inc
$1.1M
MMSIMerit Med Sys Inc
$1.1M
Lsc Communications Inc
$1.1M
ALEXAlexander & Baldwin Inc
$1.1M
FAROFaro Technologies In
$1.1M
Zix Corp
$1.1M
KAIKadant Inc
$1.1M
TEVATeva Pharmaceutical
$1.1M
BLMNBloomin Brands Inc
$1.1M
PORPortland Gen Elec Co
$1.1M
BOOTBoot Barn Hldgs Inc
$1.1M
ARRYEURArray Biopharma Inc
$1.1M
RVNCEURRevance Therapeutics In
$1.1M
EXLSExlservice Holdings
$1.1M
K12 Inc
$1.1M
Retail Value Inc
$1.1M
STRLSterling Constructio
$1.1M
IOSPInnospec Inc
$1.1M
PGTIUSDPgt Inc
$1.1M
HSTHost Hotels & Resorts
$1.1M
NCMIEURNational Cinemedia I
$1.1M
HESHess Corp
$1.1M
Mcbc Hldgs Inc
$1.1M
AVDAmerican Vanguard Co
$1.1M
SUPNSupernus Pharmaceutical
$1.1M
IMAImax Corp
$1.1M
HLIHoulihan Lokey Inc
$1.1M
FWRDUSDForward Air Corp
$1.1M
NTESNetease Com Inc
$1.1M
IPARInter Parfums Inc
$1.0M
SU6Surmodics Inc
$1.0M
EVTCEvertec Inc
$1.0M
SIGISelective Ins Group
$1.0M
FWONALiberty Media Corp Dela
$1.0M
Integrated Device Te
$1.0M
FANGDiamondback Energy Inc
$1.0M
RNSTRenasant Corp
$1.0M
CSWCsw Industrials Inc
$1.0M
VRNSVaronis Sys Inc
$1.0M
AEISAdvanced Energy Inds
$1.0M
RRDEURDonnelley R R & Sons Co
$1.0M
RMRRmr Group Inc
$1.0M
EZPWEzcorp Inc
$1.0M
UFCSUnited Fire Group Inc
$1.0M
MODModine Mfg Co
$1.0M
MYRGMyr Group Inc Del
$1.0M
MDLZMondelez Intl Inc
$1.0M
Trinseo S A
$1.0M
Aimmune Therapeutics In
$1.0M
IDAIdacorp Inc
$997K
WMSAdvanced Drain Sys Inc
$996K
Syntel Inc
$996K
OGM1Cogent Comm Group In
$993K
ADTNEURAdtran Inc
$993K
EVEUREaton Vance Corp
$992K
QNSTQuinstreet Inc
$990K
ITTItt Inc
$987K
CITUSDCit Group Inc
$976K
CVCOCavco Inds Inc Del
$966K
CHRChurchill Downs Inc
$966K
VCELVericel Corp
$965K
DKSDicks Sporting Goods
$965K
Oritani Finl Corp Del
$957K
GBCIGlacier Bancorp Inc
$950K
HIHillenbrand Inc
$948K
DLTRDollar Tree Inc
$948K
HOMEAt Home Group Inc
$945K
NXRTNexpoint Residential Tr
$940K
AGNCAgnc Invt Corp
$938K
MIKUSDMichaels Cos Inc
$936K
WWayfair Inc
$935K
CTRNCiti Trends Inc
$933K
CROXCrocs Inc
$929K
EPCEdgewell Pers Care Co
$929K
CASHMeta Finl Group Inc
$926K
CFGCitizens Finl Group Inc
$926K
PreviousPage 9 of 14Next