EARNEST PARTNERS LLC Q3 2018 Filing

Filed November 14, 2018

Portfolio Value

$11.2B

Holdings

1,211

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,211 positions)

#StockSharesValue% PortfolioType
401
AIGAMERICAN INTERNA
446$24.0M0.22%
402
CICIGNA CORP
117$24.0M0.22%
403
MUMICRON TECH
540$24.0M0.22%
404
TWENTY-FIRST C-A
527$24.0M0.22%
405
PSXPHILLIPS 66
211$24.0M0.22%
406
PLDPROLOGIS INC
361$24.0M0.22%
407
SPARTON CORP
1,600$23.0M0.21%
408
ITWILLINOIS TOOL WO
163$23.0M0.21%
409
ODCOIL DRI CORP
600$23.0M0.21%
410
NKSHNATL BKSHS INC
500$23.0M0.21%
411
CTSHCOGNIZANT TECH-A
294$23.0M0.21%
412
IM8NINSMED INC
1,130$23.0M0.21%
413
BKBANK NY MELLON
444$23.0M0.21%
414
SHWSHERWIN-WILLIAMS
51$23.0M0.21%
415
DLAPQDELTA APPAREL
1,300$23.0M0.21%
416
DDOMINION RES/VA
326$23.0M0.21%
417
MNRUSDMONMOUTH REIT-A
1,400$23.0M0.21%
418
KEQUKEWAUNEE SCI
700$22.0M0.20%
419
ETNEATON CORP PLC
250$22.0M0.20%
420
PRUPRUDENTL FINL
213$22.0M0.20%
421
FEIMFREQUENCY ELECT
2,100$22.0M0.20%
422
CHKEURCHESAPEAKE ENERG
4,842$22.0M0.20%
423
7HPHP INC
848$22.0M0.20%
424
GMGENERAL MOTORS C
630$21.0M0.19%
425
METMETLIFE INC
447$21.0M0.19%
426
AEUSDADAMS RESOURCES
500$21.0M0.19%
427
BBTUSDBB&T CORP
423$21.0M0.19%
428
VRTXVERTEX PHARM
111$21.0M0.19%
429
PPGPPG INDS INC
190$21.0M0.19%
430
SSPEW SCRIPPS-A
1,242$20.0M0.18%
431
SOUTHERN NATIONA
1,209$20.0M0.18%
432
COFCAPITAL ONE FINA
214$20.0M0.18%
433
UMHUMH PROPERTIES I
1,300$20.0M0.18%
434
ALSALLSTATE CORP
202$20.0M0.18%
435
BAXBAXTER INTL INC
257$20.0M0.18%
436
LYBLYONDELLBASELL-A
196$20.0M0.18%
437
CCNECNB FINL CORP/PA
700$20.0M0.18%
438
8CWCROWN CASTLE INT
178$20.0M0.18%
439
AONAON PLC
133$20.0M0.18%
440
HCAHCA HEALTHCARE INC
146$20.0M0.18%
441
MARMARRIOTT INTL-A
148$20.0M0.18%
442
CXOEURCONCHO RESOURCES
125$19.0M0.17%
443
AMATAPPLIED MATERIAL
502$19.0M0.17%
444
APCANADARKO PETROLE
282$19.0M0.17%
445
YUMYUM! BRANDS INC
193$18.0M0.16%
446
XYZSQUARE INC - A
186$18.0M0.16%
447
DALDELTA AIR LI
304$18.0M0.16%
448
MRSHMARSH & MCLENNAN
220$18.0M0.16%
449
KMIKINDER MORGAN IN
1,011$18.0M0.16%
450
ECLECOLAB INC
113$18.0M0.16%
451
NOWSERVICENOW INC
91$18.0M0.16%
452
ZTSZOETIS INC
190$17.0M0.15%
453
FISFIDELITY NATIONA
155$17.0M0.15%
454
ACUACME UNITED CORP
800$17.0M0.15%
455
CECOCECO ENVIRONMNTL
2,200$17.0M0.15%
456
CMTCORE MOLDING TEC
2,600$17.0M0.15%
457
KHCKRAFT HEINZ CO/T
300$17.0M0.15%
458
EWEDWARDS LIFE
97$17.0M0.15%
459
HALHALLIBURTON CO
412$17.0M0.15%
460
AFWALIGN TECHNOLOGY
43$17.0M0.15%
461
BSRRSIERRA BANCORP
600$17.0M0.15%
462
EBAEBAY INC
510$17.0M0.15%
463
RYROYAL BANK OF CA
218$17.0M0.15%
464
PXDEURPIONEER NATURAL
98$17.0M0.15%
465
STTSTATE ST CORP
203$17.0M0.15%
466
FISVFISERV INC
208$17.0M0.15%
467
TDTORONTO-DOM BANK
277$17.0M0.15%
468
NXPINXP SEMICONDUCTO
198$17.0M0.15%
469
SUNTRUST BANKS
249$17.0M0.15%
470
VFCVF CORP
183$17.0M0.15%
471
HOFTHOOKER FURNITURE
500$17.0M0.15%
472
TMPTOMPKINS FINANCI
212$17.0M0.15%
473
ROPROPER TECHNOLOGI
57$17.0M0.15%
474
STZCONSTELLATION-A
73$16.0M0.14%
475
AGYSAGILYSYS INC
1,000$16.0M0.14%
476
RCMTRCM TECH INC
3,700$16.0M0.14%
477
PSAPUBLIC STORAGE
80$16.0M0.14%
478
EAELECTRONIC ARTS
135$16.0M0.14%
479
APHAMPHENOL CORP-A
166$16.0M0.14%
480
DFSEURDISCOVER FINANCI
204$16.0M0.14%
481
SRESEMPRA ENERGY
131$15.0M0.13%
482
PCARPACCAR INC
222$15.0M0.13%
483
GSITGSI TECHNOLOGY
2,200$15.0M0.13%
484
PEGPUB SERV ENTERP
277$15.0M0.13%
485
SYYSYSCO CORP
208$15.0M0.13%
486
ANDEAVOR
95$15.0M0.13%
487
ROSTROSS STORES INC
156$15.0M0.13%
488
FFORD MOTOR CO
1,644$15.0M0.13%
489
KTCCKEY TRONIC CORP
2,000$15.0M0.13%
490
TSLATESLA MOTORS
57$15.0M0.13%
491
INOINOVIO PHARMACEU
2,750$15.0M0.13%
492
LUVSOUTHWEST AIR
235$15.0M0.13%
493
IRINGERSOLL-RAND
143$15.0M0.13%
494
DGDOLLAR GENERAL C
138$15.0M0.13%
495
REGNREGENERON PHARM
36$15.0M0.13%
496
ADIANALOG DEVICES
166$15.0M0.13%
497
CNSLEURCONSOLIDATED COM
1,036$14.0M0.13%
498
DTEDTE ENERGY CO
131$14.0M0.13%
499
DSP GROUP INC
1,200$14.0M0.13%
500
HBIOHARVARD BIOSCIEN
2,600$14.0M0.13%
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