LOS ANGELES CAPITAL MANAGEMENT LLC Q4 2021 Filing
Filed February 3, 2022
Portfolio Value
$26.8B
Holdings
1,376
Report Date
Q4 2021
Filing Type
13F-HR
All Holdings (1,376 positions)
| Stock | Value |
|---|---|
3TYTitan Machy Inc | $797K |
VBTXVeritex Hldgs Inc | $796K |
—Trean Ins Group Inc | $795K |
SMARGBPSmartsheet Inc | $795K |
IOSPInnospec Inc | $795K |
ONEM1life Healthcare Inc | $788K |
ARVNArvinas Inc | $788K |
PDPagerduty Inc | $784K |
RLGTRadiant Logistics In | $783K |
ORIOld Rep Intl Corp | $782K |
TTEKTetra Tech Inc New | $782K |
VERUEURVeru Inc | $780K |
ZBRAZebra Technologies C | $780K |
CSLCarlisle Corp | $780K |
ALTOAlto Ingredients Inc | $779K |
TMHCTaylor Morrison Home Co | $778K |
TWTRUSDTwitter Inc | $777K |
VRTSVirtus Invt Partners In | $777K |
CIVICivitas Resources Inc | $776K |
HBTHbt Finl Inc | $774K |
ARKOArko Corp | $769K |
TEN1Tenneco Automotive I | $768K |
CATYCathay Bancorp Inc | $763K |
MGYMagnolia Oil & Gas Corp | $763K |
—Ps Business Pks Inc | $762K |
DDSDillards Inc | $760K |
ASANAsana Inc | $757K |
MGIEURMoneygram Intl Inc | $757K |
BLKBBlackbaud Inc | $756K |
VRNSVaronis Sys Inc | $754K |
NTAPNetapp Inc | $750K |
FLWS1 800 Flowers Com | $748K |
HTBHometrust Bancshares In | $747K |
VIRVir Biotechnology Inc | $743K |
SCSantander Consumer Usa | $728K |
LPGDorian Lpg Ltd | $727K |
MASMasco Corp | $725K |
CA8ACaci Inc | $724K |
WAFDWashington Fed Inc | $722K |
VRTVEURVeritiv Corp | $721K |
BHBiglari Hldgs Inc | $721K |
PFGCPerformance Food Group | $720K |
RTXRaytheon Technologies C | $718K |
MEGMontrose Environmental | $717K |
BMRCBank Of Marin Bancorp | $716K |
GMREUSDGlobal Med Reit Inc | $713K |
G2CEveri Hldgs Inc | $713K |
IIINInsteel Inds Inc | $712K |
MORNMorningstar Inc | $711K |
XYZBlock Inc | $711K |
HGVHilton Grand Vacations | $708K |
INDBIndependent Bk Cp Ma | $708K |
CCKCrown Holdings Inc | $706K |
WEAWestern Alliance Ban | $706K |
KNSAKiniksa Pharmaceuticals | $706K |
XELXcel Energy Inc | $705K |
FISIFinancial Instns Inc | $701K |
LILALiberty Latin America L | $700K |
IRMDIradimed Corp | $697K |
MEDMedifast Inc | $695K |
PRIPrimerica Inc | $694K |
CNNECannae Hldgs Inc | $694K |
IRWDIronwood Pharmaceutical | $693K |
BRBR1GBPBellring Brands Inc | $691K |
SELBUSDSelecta Biosciences Inc | $690K |
KSSKohls Corp | $689K |
—Channeladvisor Corp | $686K |
FMNBFarmers Natl Banc Co | $683K |
CTSCts Corp | $683K |
LKFNLakeland Finl Corp | $682K |
OGM1Cogent Comm Group In | $682K |
OPRTOportun Finl Corp | $682K |
CASSCass Information Sys | $676K |
SITESiteone Landscape Suppl | $675K |
CHHChoice Hotels Intl I | $673K |
GNKGenco Shipping & Tradin | $672K |
JBSSSanfilippo John B & | $671K |
TUPTupperware Corp | $671K |
VICIVici Pptys Inc | $668K |
BDQMAlbireo Pharma Inc | $667K |
RIGLUSDRigel Pharmaceutical | $667K |
MARMarriott Intl Inc Ne | $666K |
CMRCBigcommerce Hldgs Inc | $666K |
WF2Wintrust Financial C | $662K |
PLAYDave & Busters Entmt In | $659K |
FBINFortune Brands Home & S | $658K |
ATLCAtlanticus Hldgs Corp | $657K |
PGCPeapack-Gladstone Fi | $657K |
BYByline Bancorp Inc | $651K |
—Del Taco Restaurants In | $646K |
BEAMBeam Therapeutics Inc | $645K |
PCSBUSDPcsb Finl Corp | $645K |
IBMInternational Business | $643K |
NWPXNorthwest Pipe Co | $641K |
CNKCinemark Holdings Inc | $640K |
CASHMeta Finl Group Inc | $640K |
KTBKontoor Brands Inc | $634K |
AGSPlayags Inc | $633K |
AMALAmalgamated Financial C | $632K |
PENPenumbra Inc | $625K |