LOS ANGELES CAPITAL MANAGEMENT LLC Q1 2020 Filing

Filed May 4, 2020

Portfolio Value

$15.8B

Holdings

1,328

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,328 positions)

StockValue
FMCF M C Corp
$6.6M
HSYHershey Foods Corp
$6.6M
RNGRingcentral Inc
$6.5M
IQVIqvia Hldgs Inc
$6.5M
SUXSynnex Corp
$6.5M
AWIArmstrong World Inds
$6.5M
OGM1Cogent Comm Group In
$6.5M
AGOAssured Guaranty Ltd
$6.5M
BURLBurlington Stores Inc
$6.4M
DECKDeckers Outdoor Corp
$6.4M
PNWPinnacle West Cap Co
$6.2M
RFRegions Finl Corp
$6.1M
NDAQNasdaq Stock Martket
$6.1M
VLOValero Energy Corp N
$6.1M
FCNFti Consulting Inc
$6.1M
Nielsen Hldgs Plc
$6.1M
LYBLyondellbasell Industri
$6.0M
OMFOnemain Hldgs Inc
$5.6M
RLIRli Corp
$5.6M
EGPEastgroup Ppty Inc
$5.6M
MRSHMarsh & Mclennan Cos
$5.6M
WSOWatsco Inc
$5.5M
SONSonoco Prods Co
$5.4M
WTWWillis Towers Watson Pu
$5.4M
EMEEmcor Group Inc
$5.4M
MOMOUSDMomo Inc
$5.3M
FRFirst Industrial Rea
$5.3M
OMCLOmnicell Inc
$5.3M
CHKPCheck Point Software
$5.3M
MANManpower Inc
$5.3M
CLHClean Harbors Inc
$5.2M
WATWaters Corp
$5.1M
MZTILancaster Colony Cor
$5.1M
SPSCSps Comm Inc
$5.1M
KHCKraft Heinz Co
$5.1M
PG4Principal Financial
$5.0M
CMGChipotle Mexican Gri
$5.0M
DHID R Horton Inc
$5.0M
ROCKGibraltar Inds Inc
$5.0M
0VVBViacomcbs Inc
$5.0M
MXIMMaxim Integrated Pro
$5.0M
RTN1USDRaytheon Co
$4.9M
COUPEURCoupa Software Inc
$4.9M
PAYCPaycom Software Inc
$4.9M
MDLZMondelez Intl Inc
$4.9M
NVSTEnvista Hldgs Corp
$4.9M
SLABSilicon Laboratories
$4.8M
ALLYAlly Finl Inc
$4.8M
TRUTransunion
$4.7M
QLYSQualys Inc
$4.7M
Ps Business Pks Inc
$4.7M
DISCKUSDDiscovery Communicatns
$4.7M
OUTOutfront Media Inc
$4.7M
PRGSProgress Software Co
$4.7M
HUMHumana Inc
$4.6M
WINGWingstop Inc
$4.6M
DOCHealthpeak Pptys Inc
$4.6M
WKCWorld Fuel Svcs Corp
$4.5M
FIVNFive9 Inc
$4.5M
NOCNorthrop Corp
$4.5M
HTAEURHealthcare Tr Amer Inc
$4.5M
ESNTEssent Group Ltd
$4.5M
GWWGrainger W W Inc
$4.5M
MTZMastec Inc
$4.5M
AMEDAmedisys Inc
$4.5M
MKTXMarketaxess Hldgs In
$4.5M
WFCWells Fargo & Co New
$4.4M
MPCMarathon Pete Corp
$4.4M
DBXDropbox Inc
$4.4M
TTEKTetra Tech Inc New
$4.4M
RDNRadian Group Inc
$4.3M
CNPCenterpoint Energy I
$4.3M
A3IAmerisafe Inc
$4.3M
HIIHuntington Ingalls Inds
$4.3M
RGENRepligen Corp
$4.3M
CCEPCoca Cola European Part
$4.2M
LWLamb Weston Hldgs Inc
$4.2M
SSDSimpson Manufacturin
$4.2M
APAMArtisan Partners Asset
$4.1M
CPBCampbell Soup Co
$4.1M
CNCCentene Corp Del
$4.1M
OSKOshkosh Truck Corp
$4.1M
CTRACabot Oil & Gas Corp
$4.0M
VYXNcr Corp New
$3.9M
MRCYMercury Computer Sys
$3.9M
BOHBank Hawaii Corp
$3.8M
AG8Agilent Technologies
$3.8M
NVCRNovocure Ltd
$3.8M
Hms Hldgs Corp
$3.8M
NAVINavient Corp
$3.8M
MTBM & T Bk Corp
$3.7M
PWIPower Integrations I
$3.7M
IOSPInnospec Inc
$3.6M
PDMPiedmont Office Realty
$3.6M
ERIEErie Indty Co
$3.6M
ISIIonis Pharmaceuticals I
$3.6M
SLBSchlumberger Ltd
$3.6M
CPTCamden Ppty Tr
$3.6M
WAFDWashington Fed Inc
$3.6M
PRDOPerdoceo Ed Corp
$3.5M
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