BlackRock Inc. Q3 2018 Filing

Filed November 9, 2018

Portfolio Value

$2.3T

Holdings

4,989

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (4,989 positions)

StockValue
BFAMBRIGHT HORIZONS FAM SOL IN D
$326.2M
NWSANEWS CORP NEW
$326.1M
BDCBELDEN INC
$325.9M
IDIINTERDIGITAL INC
$325.9M
MZTILANCASTER COLONY CORP
$325.9M
VISNCOMMSCOPE HLDG CO INC
$325.8M
MUBISHARES TR
$325.6M
EWGISHARES INC
$324.1M
EXLSEXLSERVICE HOLDINGS INC
$323.8M
JJSFJ & J SNACK FOODS CORP
$323.8M
SKAASKECHERS U S A INC
$323.7M
EVHCENVISION HEALTHCARE CORP
$323.7M
CAMBREX CORP
$323.6M
MANHMANHATTAN ASSOCS INC
$323.6M
LBTYBLIBERTY GLOBAL PLC
$323.3M
DDD3-D SYS CORP DEL
$323.1M
REXRREXFORD INDL RLTY INC
$322.5M
ATGEADTALEM GLOBAL ED INC
$322.4M
UCBUNITED CMNTY BKS BLAIRSVLE G
$321.8M
JHGJANUS HENDERSON GROUP PLC
$321.7M
MNROMONRO INC
$321.0M
CALYCALLAWAY GOLF CO
$320.9M
FHIFEDERATED INVS INC PA
$320.8M
IBKCIBERIABANK CORP
$320.3M
SUXSYNNEX CORP
$320.0M
CNMDCONMED CORP
$319.6M
BIOTELEMETRY INC
$319.5M
IVREURINVESCO MORTGAGE CAPITAL INC
$318.2M
BARCLAYS BANK PLC
$318.2M
MOMENTA PHARMACEUTICALS INC
$317.7M
RRCRANGE RES CORP
$317.5M
AXTAAXALTA COATING SYS LTD
$317.3M
SRCLSTERICYCLE INC
$317.2M
TRMKTRUSTMARK CORP
$316.7M
WBC1EURWABCO HLDGS INC
$316.4M
IRDMIRIDIUM COMMUNICATIONS INC
$315.7M
XLVSELECT SECTOR SPDR TR
$315.0M
PINNACLE FOODS INC DEL
$314.8M
SHUTTERFLY INC
$314.8M
SKTTANGER FACTORY OUTLET CTRS I
$314.0M
CWTCALIFORNIA WTR SVC GROUP
$313.8M
CVLTCOMMVAULT SYSTEMS INC
$313.7M
CARRIZO OIL & GAS INC
$313.7M
RDNRADIAN GROUP INC
$313.4M
TECH DATA CORP
$313.4M
NHINATIONAL HEALTH INVS INC
$313.3M
OIIOCEANEERING INTL INC
$313.3M
SPX FLOW INC
$313.3M
CRSCARPENTER TECHNOLOGY CORP
$313.1M
BKIEURBLACK KNIGHT INC
$312.1M
DORMDORMAN PRODUCTS INC
$311.7M
ENRENERGIZER HLDGS INC NEW
$311.5M
DISCAUSDDISCOVERY INC
$311.5M
SRC ENERGY INC
$311.0M
WTWEURWEIGHT WATCHERS INTL INC NEW
$311.0M
HLFHERBALIFE NUTRITION LTD
$310.9M
NAVINAVIENT CORPORATION
$310.6M
ABMABM INDS INC
$309.6M
BLDTOPBUILD CORP
$309.0M
ADNTADIENT PLC
$308.8M
LXPUSDLEXINGTON REALTY TRUST
$308.3M
VLUEISHARES TR
$307.4M
CPE3EURCALLON PETE CO DEL
$306.5M
SFMSPROUTS FMRS MKT INC
$306.4M
NEUNEWMARKET CORP
$306.1M
NVSNNOVARTIS A G
$304.7M
INFYINFOSYS LTD
$304.4M
APY1USDAPERGY CORP
$303.4M
TRAVELPORT WORLDWIDE LTD
$303.4M
EPAMEPAM SYS INC
$303.2M
KKRKKR & CO INC
$302.5M
TKRTIMKEN CO
$301.8M
DOCUSDPHYSICIANS RLTY TR
$301.6M
FWRDUSDFORWARD AIR CORP
$301.1M
IOSPINNOSPEC INC
$301.0M
LTCLTC PPTYS INC
$300.8M
BRCBRADY CORP
$300.4M
BB4AXOS FINL INC
$299.8M
SPPIUSDSPECTRUM PHARMACEUTICALS INC
$299.4M
PLCECHILDRENS PL INC
$298.6M
AMCXAMC NETWORKS INC
$297.9M
STAGSTAG INDL INC
$297.7M
FLOFLOWERS FOODS INC
$297.5M
SEMSELECT MED HLDGS CORP
$297.4M
ENQENTEGRIS INC
$296.5M
FW2NBANNER CORP
$296.4M
TGNATEGNA INC
$296.3M
OISOIL STS INTL INC
$295.8M
LCIILCI INDS
$295.4M
PENNPENN NATL GAMING INC
$294.9M
HOPEHOPE BANCORP INC
$294.0M
ANIXTER INTL INC
$293.9M
DYDYCOM INDS INC
$293.6M
VYXNCR CORP NEW
$293.2M
PODDINSULET CORP
$292.9M
HANHAWAIIAN HOLDINGS INC
$292.8M
PWRQUANTA SVCS INC
$292.5M
MUSAMURPHY USA INC
$292.4M
AEISADVANCED ENERGY INDS
$291.9M
CRUSCIRRUS LOGIC INC
$290.6M
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