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)

StockValue
SIVBEURSvb Finl Group
$14.9M
AMCRAmcor Plc
$14.9M
VRSNVerisign Inc
$14.6M
ROLRollins Inc
$14.5M
VEEVVeeva Sys Inc
$14.5M
HEIHeico Corp New
$14.5M
IRIngersoll Rand Inc
$14.4M
VENVentas Inc
$14.4M
HLFHerbalife Ltd
$14.3M
GEGeneral Elec Co
$14.2M
TMUST-Mobile Us Inc
$14.1M
AKAMAkamai Technologies
$14.1M
CRUSCirrus Logic Corp
$13.9M
FAFFirst Amern Finl Corp
$13.7M
ABMDEURAbiomed Inc
$13.5M
CPBCampbell Soup Co
$13.5M
KEYSKeysight Technologies I
$13.2M
VVVValvoline Inc
$13.0M
NFLXNetflix Com Inc
$13.0M
MCDMcdonalds Corp
$13.0M
ILMNIllumina Inc
$12.8M
IEXIdex Corp
$12.6M
RGLDRoyal Gold Inc
$12.4M
TEAMAtlassian Corp Plc
$12.4M
COUPEURCoupa Software Inc
$12.2M
CHKPCheck Point Software
$12.2M
ZBHZimmer Hldgs Inc
$11.7M
KRKroger Co
$11.7M
IPGInterpublic Group Co
$11.6M
HSYHershey Foods Corp
$11.6M
HLTHilton Worldwide Hldgs
$11.6M
IDAIdacorp Inc
$11.5M
CVXChevron Corp
$11.5M
SWKStanley Black & Decker
$11.3M
LUVSouthwest Airls Co
$11.1M
LADLithia Mtrs Inc
$11.0M
BJBjs Whsl Club Hldgs Inc
$10.9M
DHID R Horton Inc
$10.9M
KIMKimco Realty Corp
$10.8M
BPOPPopular Inc
$10.7M
AESAes Corp
$10.7M
WRBBerkley W R Corp
$10.6M
GLGlobe Life Inc
$10.5M
AOSSmith A O Corp 'b'
$10.5M
WSOWatsco Inc
$10.2M
MHKMohawk Inds Inc
$10.2M
MKLMarkel Corp
$10.2M
MDUMdu Res Group Inc
$10.1M
PWRQuanta Svcs Inc
$9.8M
BSXBoston Scientific Co
$9.7M
CABOCable One Inc
$9.6M
DECKDeckers Outdoor Corp
$9.5M
ETREntergy Corp New
$9.5M
DWDMorgan Stanley
$9.5M
METMetlife Inc
$9.4M
HIWHighwoods Pptys Inc
$9.4M
NDAQNasdaq Stock Martket
$9.4M
AXPAmerican Express Co
$9.3M
IQVIqvia Hldgs Inc
$9.3M
LYBLyondellbasell Industri
$9.3M
VRSKVerisk Analytics Inc
$9.3M
CFGCitizens Finl Group Inc
$9.3M
NEUNewmarket Corp
$9.2M
HRBBlock H & R Inc
$9.1M
ALSAllstate Corp
$9.0M
NKENike Inc
$9.0M
MRSHMarsh & Mclennan Cos
$8.8M
ALKAlaska Airgroup
$8.7M
MMSMaximus Inc
$8.6M
CTLEURCenturylink Inc
$8.5M
HOGHarley Davidson Inc
$8.4M
MCXMccormick & Co Inc
$8.3M
CARRCarrier Global Corporat
$8.3M
ITTItt Inc
$8.3M
ACGLArch Cap Group Ltd
$8.2M
AG8Agilent Technologies
$8.1M
GKDGrand Canyon Ed Inc
$8.1M
PINCPremier Inc
$8.1M
NTAPNetapp Inc
$8.0M
ROPRoper Inds Inc New
$8.0M
WEAWestern Alliance Ban
$7.9M
SSDSimpson Manufacturin
$7.8M
DNKNDunkin Brands Group Inc
$7.7M
Nielsen Hldgs Plc
$7.7M
CMECme Group Inc
$7.7M
DVADavita Inc
$7.7M
FEFirst Energy Corp
$7.6M
MDLZMondelez Intl Inc
$7.6M
GISGeneral Mls Inc
$7.5M
MLB1Mercadolibre Inc
$7.5M
SBUXStarbucks Corp
$7.5M
HIGHartford Finl Svcs G
$7.4M
DISHDish Network Corp
$7.4M
LDOSLeidos Hldgs Inc
$7.4M
STZConstellation Brands
$7.4M
MTGMgic Invt Corp Wis
$7.3M
PPLPpl Corp
$7.2M
ECLEcolab Inc
$7.1M
XLNXEURXilinx Inc
$7.1M
CRWDCrowdstrike Hldgs Inc
$7.0M
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