VICTORY CAPITAL MANAGEMENT INC Q3 2017 Filing

Filed October 27, 2017

Portfolio Value

$44.5B

Holdings

1,806

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (1,806 positions)

#StockSharesValue% PortfolioType
601
ROKROCKWELL AUTOMATION INC
736,982$131.3M0.30%
602
AEGNAEGION CORP
5,614$131.0M0.29%
603
SILCSILICOM LTD
2,217$130.0M0.29%
604
VIRTUSA CORP
3,444$130.0M0.29%
605
CONTROL4 CORP
4,421$130.0M0.29%
606
SNPSSYNOPSYS INC
1,606,101$129.3M0.29%
607
COTYCOTY INC
7,784$129.0M0.29%
608
EEMSISHARES
2,597$128.0M0.29%
609
POOLPOOL CORPORATION
1,186$128.0M0.29%
610
ATKRATKORE INTL GROUP INC
6,543$128.0M0.29%
611
SYU1SYNOVUS FINL CORP
2,778,260$128.0M0.29%
612
CNKCINEMARK HOLDINGS INC
3,510,900$127.1M0.29%
613
CALGON CARBON CORP
5,950$127.0M0.29%
614
NRANRG ENERGY INC
4,962$127.0M0.29%
615
THOTHOR INDS INC
1,008,111$126.9M0.29%
616
DOEURDIAMOND OFFSHORE DRILLING IN
8,667$126.0M0.28%
617
ASBASSOCIATED BANC CORP
5,178,754$125.6M0.28%
618
MRSHMARSH & MCLENNAN COS INC
1,493,555$125.2M0.28%
619
MOSMOSAIC CO NEW
5,793$125.0M0.28%
620
BURLBURLINGTON STORES INC
1,309,074$125.0M0.28%
621
AOSSMITH A O
2,095,029$124.5M0.28%
622
LZBLA Z BOY INC
4,624$124.0M0.28%
623
MDXGMIMEDX GROUP INC
10,453$124.0M0.28%
624
NVRNVR INC
43,126$123.1M0.28%
625
COR1EURCORESITE RLTY CORP
1,095$123.0M0.28%
626
NUTRI SYS INC NEW
2,184$122.0M0.27%
627
SSTKSHUTTERSTOCK INC
3,667$122.0M0.27%
628
ENOVCOLFAX CORP
2,897,556$120.7M0.27%
629
ROPROPER TECHNOLOGIES INC
494,024$120.2M0.27%
630
TTS1EURTILE SHOP HLDGS INC
9,486$120.0M0.27%
631
AESAES CORP
10,896$120.0M0.27%
632
SYNASYNAPTICS INC
3,073$120.0M0.27%
633
PGRPROGRESSIVE CORP OHIO
2,471,515$119.7M0.27%
634
EP3ORASURE TECHNOLOGIES INC
5,305$119.0M0.27%
635
CABOCABLE ONE INC
163$118.0M0.27%
636
STLAFIAT CHRYSLER AUTOMOBILES N
6,614$118.0M0.27%
637
ATHENE HLDG LTD
2,190,004$117.9M0.26%
638
HUBBHUBBELL INC
1,006,203$116.7M0.26%
639
CSLCARLISLE COS INC
1,162,395$116.6M0.26%
640
WDCWESTERN DIGITAL CORP
1,343,096$116.0M0.26%
641
TEN1TENNECO INC
1,894$115.0M0.26%
642
CNMDCONMED CORP
2,180,586$114.4M0.26%
643
APARTMENT INVT & MGMT CO
2,591$114.0M0.26%
644
DLTHDULUTH HLDGS INC
5,633$114.0M0.26%
645
ROSTROSS STORES INC
1,747,203$112.8M0.25%
646
RGAREINSURANCE GROUP AMER INC
807,362$112.7M0.25%
647
YPFYPF SOCIEDAD ANONIMA
5,015$112.0M0.25%
648
COLBCOLUMBIA BKG SYS INC
2,636,219$111.0M0.25%
649
HSKAEURHESKA CORP
1,257$111.0M0.25%
650
HAEHAEMONETICS CORP
2,414,526$108.3M0.24%
651
HTDCORCEPT THERAPEUTICS INC
5,584$108.0M0.24%
652
GGALGRUPO FINANCIERO GALICIA S A
2,076$107.0M0.24%
653
REXRREXFORD INDL RLTY INC
3,743$107.0M0.24%
654
BIOTELEMETRY INC
3,228$107.0M0.24%
655
SUPERIOR ENERGY SVCS INC
9,997,075$106.8M0.24%
656
ROICUSDRETAIL OPPORTUNITY INVTS COR
5,559$106.0M0.24%
657
BAXBAXTER INTL INC
1,671,163$104.9M0.24%
658
CMACOMERICA INC
1,372,675$104.7M0.24%
659
BLUEBIRD BIO INC
758,791$104.2M0.23%
660
HRBBLOCK H & R INC
3,944$104.0M0.23%
661
IWNISHARES TR
835,001$103.6M0.23%
662
LFUSLITTELFUSE INC
527,002$103.2M0.23%
663
IXYS CORP
4,341$103.0M0.23%
664
SRC ENERGY INC
10,546,990$102.0M0.23%
665
HP5AEQUITY COMWLTH
3,353,851$102.0M0.23%
666
PKNPERKINELMER INC
1,469,020$101.3M0.23%
667
QAD INC
2,947$101.0M0.23%
668
SRCLSTERICYCLE INC
1,409$101.0M0.23%
669
PFGCPERFORMANCE FOOD GROUP CO
3,563,912$100.7M0.23%
670
SUPNSUPERNUS PHARMACEUTICALS INC
2,505$100.0M0.22%
671
XLFISELECT SECTOR SPDR TR
1,821$98.0M0.22%
672
DIODDIODES INC
3,272,472$97.9M0.22%
673
SBACSBA COMMUNICATIONS CORP NEW
676,678$97.5M0.22%
674
FT2FIRST HORIZON NATL CORP
5,069,590$97.1M0.22%
675
FLRFLUOR CORP NEW
2,309$97.0M0.22%
676
SSBUSDSOUTH ST CORP
1,070,254$96.4M0.22%
677
BHFBrighthouse Financial Inc
1,581$96.0M0.22%
678
ESNTESSENT GROUP LTD
2,351,264$95.2M0.21%
679
METAFACEBOOK INC
555,903$95.0M0.21%
680
HXLHEXCEL CORP NEW
1,651,360$94.8M0.21%
681
AMPLIFY SNACK BRANDS
13,189$94.0M0.21%
682
MTNVAIL RESORTS INC
410,753$93.7M0.21%
683
ADTNEURADTRAN INC
3,890,822$93.4M0.21%
684
AMGAFFILIATED MANAGERS GROUP
491,102$93.2M0.21%
685
CTOUSDCONSOLIDATED TOMOKA LD CO
1,540$93.0M0.21%
686
EGBNEAGLE BANCORP INC MD
1,386,541$93.0M0.21%
687
RNGRINGCENTRAL INC
2,215,342$92.5M0.21%
688
FLSFLOWSERVE CORP
2,155$92.0M0.21%
689
SSS1EURLIFE STORAGE INC
1,125$92.0M0.21%
690
UMBFUMB FINL CORP
1,225,050$91.3M0.21%
691
VVISA INC
866,045$91.1M0.20%
692
JWNUSDNORDSTROM INC
1,920$91.0M0.20%
693
PRGOPERRIGO CO PLC
1,074,770$91.0M0.20%
694
NTRSNORTHERN TR CORP
987,572$90.8M0.20%
695
LGNDLIGAND PHARMACEUTICALS INC
661,270$90.0M0.20%
696
BROADSOFT INC
1,782$90.0M0.20%
697
BEMIS INC
1,982$90.0M0.20%
698
MNSTMONSTER BEVERAGE CORP NEW
1,618,573$89.4M0.20%
699
ACACIA COMMUNICATIONS INC
1,894$89.0M0.20%
700
UNFUNIFIRST CORP MASS
586,882$88.9M0.20%
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