BlackRock Inc. Q2 2018 Filing

Filed August 9, 2018

Portfolio Value

$2.2B

Holdings

5,014

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (5,014 positions)

StockValue
SCISERVICE CORP INTL
$622K
EVEUREATON VANCE CORP
$620K
SNASNAP ON INC
$620K
SRPTSAREPTA THERAPEUTICS INC
$620K
TMKTORCHMARK CORP
$619K
NKTREURNEKTAR THERAPEUTICS
$618K
XRAYDENTSPLY SIRONA INC
$617K
AWNADVANCE AUTO PARTS INC
$615K
ENERGEN CORP
$613K
CWCURTISS WRIGHT CORP
$611K
FIVEFIVE BELOW INC
$611K
EHCENCOMPASS HEALTH CORP
$610K
GDDYGODADDY INC
$609K
LKQ1LKQ CORP
$607K
WPX ENERGY INC
$607K
TOLTOLL BROTHERS INC
$605K
ALNYALNYLAM PHARMACEUTICALS INC
$605K
AOSSMITH A O
$604K
RSRELIANCE STEEL & ALUMINUM CO
$602K
ARNCCHFARCONIC INC
$601K
LBRDKLIBERTY BROADBAND CORP
$600K
SGENEURSEATTLE GENETICS INC
$593K
NCLHNORWEGIAN CRUISE LINE HLDG L
$592K
CPBCAMPBELL SOUP CO
$591K
RHIROBERT HALF INTL INC
$586K
PHMPULTE GROUP INC
$586K
MTNVAIL RESORTS INC
$585K
NSPINSPERITY INC
$585K
XPOXPO LOGISTICS INC
$584K
HRBBLOCK H & R INC
$583K
SUISUN CMNTYS INC
$583K
PBCTEURPEOPLES UNITED FINANCIAL INC
$583K
FDCFIRST DATA CORP NEW
$583K
NDSNNORDSON CORP
$580K
HQYHEALTHEQUITY INC
$577K
AQUA AMERICA INC
$577K
CA8ACACI INTL INC
$577K
MPTMEDICAL PPTYS TRUST INC
$576K
TXRHTEXAS ROADHOUSE INC
$575K
AXONAXON ENTERPRISE INC
$574K
NRANRG ENERGY INC
$574K
SSNCSS&C TECHNOLOGIES HLDGS INC
$573K
FIRSTCASH INC
$573K
COUSINS PPTYS INC
$573K
ICFISHARES TR
$572K
TTCTORO CO
$572K
NEOGNEOGEN CORP
$571K
SONSONOCO PRODS CO
$570K
UTHUNITED THERAPEUTICS CORP DEL
$569K
POOLPOOL CORPORATION
$569K
RGLDROYAL GOLD INC
$568K
AABAUSDALTABA INC
$567K
AVAAVISTA CORP
$566K
NAVIDEA BIOPHARMACEUTICALS I
$566K
APARTMENT INVT & MGMT CO
$565K
CFRCULLEN FROST BANKERS INC
$564K
FAFFIRST AMERN FINL CORP
$562K
BROBROWN & BROWN INC
$562K
BLKBBLACKBAUD INC
$561K
VMWEURVMWARE INC
$560K
ASGNASGN INC
$559K
GNTXGENTEX CORP
$559K
PDCEUSDPDC ENERGY INC
$559K
FNFFIDELITY NATIONAL FINANCIAL
$559K
TECHBIO TECHNE CORP
$559K
RNRRENAISSANCERE HOLDINGS LTD
$558K
SABRSABRE CORP
$557K
CSLCARLISLE COS INC
$556K
SBCSABRA HEALTH CARE REIT INC
$555K
ORIOLD REP INTL CORP
$553K
EPREPR PPTYS
$553K
PNRPENTAIR PLC
$550K
CHECHEMED CORP NEW
$550K
CBSHCOMMERCE BANCSHARES INC
$550K
TREXTREX CO INC
$549K
LSTRLANDSTAR SYS INC
$548K
LAMRLAMAR ADVERTISING CO NEW
$546K
SLABSILICON LABORATORIES INC
$545K
HPTUSDHOSPITALITY PPTYS TR
$545K
MURMURPHY OIL CORP
$544K
HRCHILL ROM HLDGS INC
$543K
LEGLEGGETT & PLATT INC
$543K
ONON SEMICONDUCTOR CORP
$543K
CONECYRUSONE INC
$542K
MEDIDATA SOLUTIONS INC
$541K
MATMATTEL INC
$541K
DISCKUSDDISCOVERY INC
$539K
HAEHAEMONETICS CORP
$539K
RLRALPH LAUREN CORP
$539K
LIVNLIVANOVA PLC
$538K
INVHINVITATION HOMES INC
$538K
WBSWEBSTER FINL CORP CONN
$537K
BUWABIO RAD LABS INC
$537K
AMGAFFILIATED MANAGERS GROUP
$535K
FT2FIRST HORIZON NATL CORP
$534K
GDOTGREEN DOT CORP
$531K
LASALLE HOTEL PPTYS
$530K
SSS1EURLIFE STORAGE INC
$530K
SIRIEURSIRIUS XM HLDGS INC
$529K
OLNOLIN CORP
$528K
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