BlackRock Inc. Q3 2018 Filing
Filed November 9, 2018
Portfolio Value
$2.3B
Holdings
4,989
Report Date
Q3 2018
Filing Type
13F-HR
All Holdings (4,989 positions)
| Stock | Value |
|---|---|
WHDCACTUS INC | $127K |
RRRRED ROCK RESORTS INC | $127K |
BOKFBOK FINL CORP | $127K |
CLVSEURCLOVIS ONCOLOGY INC | $127K |
—SELECT INCOME REIT | $127K |
GLNGGOLAR LNG LTD BERMUDA | $126K |
CIR2USDCIRCOR INTL INC | $126K |
DOOREURMASONITE INTL CORP NEW | $126K |
ADTNEURADTRAN INC | $126K |
—MULTI COLOR CORP | $126K |
—SEACOR HOLDINGS INC | $126K |
TBPHTHERAVANCE BIOPHARMA INC | $125K |
ANGOANGIODYNAMICS INC | $125K |
BLDRBUILDERS FIRSTSOURCE INC | $125K |
—XO GROUP INC | $125K |
WCCWESCO INTL INC | $125K |
MTORMERITOR INC | $125K |
XLRESELECT SECTOR SPDR TR | $125K |
OPTUALTICE USA INC | $125K |
—CRAY INC | $125K |
WFRDWEATHERFORD INTL PLC | $125K |
MCYMERCURY GENL CORP NEW | $125K |
FLEXFLEX LTD | $125K |
VIPSVIPSHOP HLDGS LTD | $124K |
—KINDER MORGAN INC DEL | $124K |
MNRUSDMONMOUTH REAL ESTATE INVT CO | $124K |
IPHSEURINNOPHOS HOLDINGS INC | $124K |
COKECOCA COLA BOTTLING CO CONS | $124K |
CVNACARVANA CO | $124K |
VGKVANGUARD INTL EQUITY INDEX F | $124K |
BGGUSDBRIGGS & STRATTON CORP | $124K |
YEXTYEXT INC | $124K |
HSTMHEALTHSTREAM INC | $124K |
—HORTONWORKS INC | $123K |
—PINNACLE ENTMT INC NEW | $123K |
MRTNMARTEN TRANS LTD | $123K |
SNAPSNAP INC | $123K |
COLMCOLUMBIA SPORTSWEAR CO | $123K |
MDGLMADRIGAL PHARMACEUTICALS INC | $123K |
IEFISHARES TR | $123K |
—CAPSTEAD MTG CORP | $123K |
GQ9SPDR GOLD TRUST | $122K |
PSMTPRICESMART INC | $122K |
JELDJELD-WEN HLDG INC | $122K |
ERIEERIE INDTY CO | $122K |
ATNIATN INTL INC | $122K |
UFCSUNITED FIRE GROUP INC | $122K |
—MONOTYPE IMAGING HOLDINGS IN | $122K |
IBNICICI BK LTD | $121K |
HSKAEURHESKA CORP | $121K |
EGRXEAGLE PHARMACEUTICALS INC | $121K |
HTLFEURHEARTLAND FINL USA INC | $120K |
PBYIPUMA BIOTECHNOLOGY INC | $120K |
—GARDNER DENVER HLDGS INC | $120K |
VRTSVIRTUS INVT PARTNERS INC | $120K |
—SEMGROUP CORP | $120K |
DEODIAGEO P L C | $120K |
ISCAUSDINTERNATIONAL SPEEDWAY CORP | $120K |
PFBCPREFERRED BK LOS ANGELES CA | $120K |
—PROVIDENCE SVC CORP | $120K |
—GLATFELTER | $119K |
AU3EURANGLOGOLD ASHANTI LTD | $118K |
MYEMYERS INDS INC | $118K |
TRTXTPG RE FIN TR INC | $118K |
BANCBANC OF CALIFORNIA INC | $118K |
HTLDEXPRESS INC | $118K |
XIFRNEXTERA ENERGY PARTNERS LP | $118K |
—SYNTEL INC | $118K |
AEGNAEGION CORP | $118K |
—TRUSTCO BK CORP N Y | $117K |
—GTT COMMUNICATIONS INC | $117K |
VGREURVECTOR GROUP LTD | $117K |
—TIER REIT INC | $117K |
37MMRC GLOBAL INC | $116K |
HAFCHANMI FINL CORP | $116K |
—REGULUS THERAPEUTICS INC | $116K |
—CBL & ASSOC PPTYS INC | $116K |
RUSHARUSH ENTERPRISES INC | $116K |
MFS1EURWELBILT INC | $116K |
—INTL FCSTONE INC | $116K |
MHOM/I HOMES INC | $116K |
TRTN-PATRITON INTL LTD | $115K |
—RUDOLPH TECHNOLOGIES INC | $115K |
AMPHAMPHASTAR PHARMACEUTICALS IN | $115K |
CBBCINCINNATI BELL INC NEW | $115K |
—ASCENA RETAIL GROUP INC | $115K |
OMFONEMAIN HLDGS INC | $115K |
—ACORDA THERAPEUTICS INC | $115K |
XLYSELECT SECTOR SPDR TR | $115K |
CPFCENTRAL PAC FINL CORP | $114K |
EDITEDITAS MEDICINE INC | $114K |
BFSSAUL CTRS INC | $114K |
—BOINGO WIRELESS INC | $114K |
VCSHVANGUARD SCOTTSDALE FDS | $114K |
—NATIONAL GEN HLDGS CORP | $114K |
RMAXRE MAX HLDGS INC | $114K |
JBSSSANFILIPPO JOHN B & SON INC | $113K |
GDSGDS HLDGS LTD | $113K |
STIPISHARES TR | $112K |
—IMPERVA INC | $112K |