LOS ANGELES CAPITAL MANAGEMENT LLC Q3 2020 Filing
Filed November 2, 2020
Portfolio Value
$21.7B
Holdings
1,426
Report Date
Q3 2020
Filing Type
13F-HR
All Holdings (1,426 positions)
| Stock | Value |
|---|---|
ATVIEURActivision Blizzard Inc | $49.6M |
AMGNAmgen | $48.8M |
EBAEbay Inc | $46.9M |
SEICSei Corp | $45.5M |
TSCOTractor Supply Co | $45.1M |
LMTLockheed Martin Corp | $44.0M |
CBOECboe Hldgs Inc | $43.9M |
PEPPepsico Inc | $43.6M |
STESteris Plc | $42.9M |
JDJd Com Inc | $42.4M |
WSTWest Pharmaceutical | $41.8M |
CTSHCognizant Technology | $41.7M |
DHRDanaher Corp | $38.9M |
NTESNetease Com Inc | $37.8M |
DOVDover Corp | $36.5M |
WDAYWorkday Inc | $36.2M |
HONHoneywell Intl Inc | $35.8M |
DGXQuest Diagnostics In | $35.8M |
ADSKAutodesk Inc | $35.5M |
GWWGrainger W W Inc | $34.9M |
FASTFastenal Co | $34.9M |
UNPUnion Pac Corp | $33.1M |
LINLinde Plc | $33.1M |
TTWOTake-Two Interactive | $32.5M |
LKQ1Lkq Corp | $32.2M |
ADIAnalog Devices Inc | $31.7M |
SFMSprouts Fmrs Mkt Inc | $31.3M |
PFEPfizer Inc | $31.1M |
CVSCvs Corp | $31.1M |
SYKStryker Corp | $31.1M |
GILDGilead Sciences Inc | $30.2M |
ZTSZoetis Inc | $29.6M |
HN9Hanesbrands Inc | $29.6M |
CHRWC H Robinson Worldwi | $29.4M |
HALHalliburton Co | $29.2M |
CMCSAComcast Corp New | $28.5M |
RHIRobert Half Intl Inc | $28.3M |
BLKCHFBlackrock Inc | $27.9M |
LIILennox Intl Inc | $27.7M |
RSGRepublic Svcs Inc | $26.6M |
SIRIEURSirius Xm Hldgs Inc | $25.8M |
MOAltria Group Inc | $25.7M |
FBINFortune Brands Home & S | $25.0M |
DPZDominos Pizza Inc | $25.0M |
MTBM & T Bk Corp | $24.6M |
XOMExxon Mobil Corp | $24.5M |
AMEAmetek Inc New | $24.4M |
DDDupont De Nemours Inc | $24.2M |
JBLJabil Circuit Inc | $24.1M |
MOSMosaic Co New | $24.1M |
WFCWells Fargo & Co New | $24.0M |
PSAPublic Storage Inc | $23.7M |
BROBrown & Brown Inc | $23.5M |
SUXSynnex Corp | $23.3M |
ZZillow Group Inc | $23.3M |
TRUTransunion | $23.0M |
CHEChemed Corp New | $22.6M |
MTDMettler Toledo Inter | $22.5M |
COFCapital One Finl Cor | $22.4M |
AJGGallagher Arthur J & | $22.2M |
USBUS Bancorp Del | $22.1M |
CPRTCopart Inc | $22.1M |
BRK/BBerkshire Hathaway Inc | $22.1M |
SEESealed Air Corp New | $21.8M |
BBYBest Buy Inc | $21.7M |
NEMNewmont Goldcorp Corpor | $21.1M |
FMCF M C Corp | $20.7M |
YUMCYum China Hldgs Inc | $20.7M |
EXPEagle Materials Inc | $19.9M |
JKHYHenry Jack & Assoc I | $19.7M |
VSTVistra Energy Corp | $19.7M |
NRANrg Energy Inc | $19.5M |
MXIMMaxim Integrated Pro | $19.4M |
EMREmerson Elec Co | $19.0M |
MLMMartin Marietta Matl | $18.9M |
SMGScotts Co | $18.9M |
TRVCCitigroup Inc | $18.8M |
CICigna Corp New | $18.5M |
WMWaste Mgmt Inc Del | $18.4M |
TTTrane Technologies Plc | $18.0M |
ODFLOld Dominion Fght Li | $18.0M |
MMM3m Co | $17.9M |
ANAutonation Inc | $17.4M |
PAYXPaychex Inc | $17.2M |
SRPTSarepta Therapeutics In | $17.1M |
NBIXNeurocrine Bioscienc | $17.0M |
IBMIntl Business Mchn | $16.6M |
SSS1EURLife Storage Inc | $16.4M |
BIDUNBaidu Com Inc | $16.3M |
CWCurtiss Wright Corp | $16.1M |
NEENextera Energy Inc | $16.0M |
0VVBViacomcbs Inc | $15.9M |
HDSUSDHd Supply Hldgs Inc | $15.8M |
SPGSimon Ppty Group Inc | $15.6M |
7HPHp Inc | $15.6M |
LBEURL Brands Inc | $15.4M |
CHTRCharter Communications | $15.4M |
AMTAmerican Tower Reit | $15.4M |
MPWRMonolithic Pwr Sys I | $15.0M |
MDTMedtronic Plc | $15.0M |