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
SYU1Synovus Finl Corp
$2.3M
BDXBecton Dickinson
$2.3M
LSCCLattice Semiconducto
$2.3M
LHLaboratory Corp Amer
$2.3M
BKBank Of New York Mellon
$2.3M
BKHBlack Hills Pwr & Lt
$2.3M
SF9Sanderson Farms Inc
$2.3M
BLDRBuilders Firstsource
$2.3M
NEONeogenomics Inc
$2.2M
SRJSpartannash Co
$2.2M
BMIBadger Meter Inc
$2.2M
IEIInsight Enterprises
$2.2M
GNRCGenerac Hldgs Inc
$2.2M
PENNPenn Natl Gaming Inc
$2.2M
LNCLincoln Natl Corp In
$2.2M
PLNTPlanet Fitness Inc
$2.2M
CNMDConmed Corp
$2.2M
VNDAVanda Pharmaceutical
$2.2M
UMPQUSDUmpqua Hldgs Corp
$2.2M
JPXAerovironment Inc
$2.2M
FSSFederal Signal Corp
$2.2M
DUKDuke Energy Corp New
$2.2M
IVZInvesco Ltd
$2.1M
BIDUNBaidu Com Inc
$2.1M
BKUBankunited Inc
$2.1M
TPDTempur Pedic Intl In
$2.1M
UGIUgi Corp New
$2.1M
AM6Amicus Therapeutics Inc
$2.1M
AMKRAmkor Technology Inc
$2.1M
UCBUnited Cmnty Bks Blairs
$2.1M
BUSDBarnes Group Inc
$2.1M
Columbia Ppty Tr Inc
$2.0M
CVLTCommvault Systems In
$2.0M
CRICarter Hldgs Inc
$2.0M
Biodelivery Sciences
$2.0M
PHParker Hannifin Corp
$2.0M
CMSCms Energy Corp
$2.0M
FETUSDForum Energy Technologi
$2.0M
GMEDGlobus Med Inc
$2.0M
PRFTUSDPerficient Inc
$2.0M
CWEN/AClearway Energy Inc
$2.0M
Inovalon Hldgs Inc
$2.0M
FITBFifth Third Bancorp
$2.0M
SNPSSynopsys Inc
$2.0M
PRUPrudential Finl Inc
$1.9M
SEMSelect Med Hldgs Corp
$1.9M
Cardtronics Plc
$1.9M
TNETTrinet Group Inc
$1.9M
PDCOEURPatterson Companies
$1.9M
MSAMsa Safety Inc
$1.9M
ABMDEURAbiomed Inc
$1.9M
GMGeneral Motors Corp.
$1.9M
WWDWoodward Governor Co
$1.9M
SIGISelective Ins Group
$1.9M
EEFTEuronet Worldwide Inc
$1.9M
FSLRFirst Solar Inc
$1.9M
Acacia Communications I
$1.8M
FQIDigital Rlty Tr Inc
$1.8M
CHGGChegg Inc
$1.8M
AFLAflac Inc
$1.8M
BLBlackline Inc
$1.8M
AYXEURAlteryx Inc
$1.8M
KALUKaiser Aluminum Corp
$1.8M
NHINational Health Invs
$1.8M
BLDTopbuild Corp
$1.8M
TNDMTandem Diabetes Care In
$1.8M
TWNKEURHostess Brands Inc
$1.8M
WYNEURWyndham Destinations
$1.8M
CSGSCsg Sys Intl Inc
$1.8M
TRI4EURThomson Reuters Corp
$1.8M
OGSOne Gas Inc
$1.8M
NUANEURNuance Communication
$1.7M
SAICScience Applicatns Intl
$1.7M
UPBDRent A Ctr Inc New
$1.7M
IBKRInteractive Brokers Gro
$1.7M
WTSWatts Water Tech
$1.7M
PEOExelon Corp
$1.7M
BF/BBrown Forman Dst 'b'
$1.7M
Sterling Bancorp Del
$1.7M
LDOSLeidos Hldgs Inc
$1.7M
SKAASkechers U S A Inc
$1.7M
CBBCincinnati Bell Inc New
$1.7M
ORLYO Reilly Automotive Inc
$1.7M
SMTCSemtech Corp
$1.7M
BRCBrady Corporation
$1.7M
BCOBrinks Co
$1.7M
BHFBrighthouse Finl Inc
$1.7M
AEISAdvanced Energy Inds
$1.7M
EAElectronic Arts
$1.7M
MTHMeritage Corp
$1.7M
National Gen Hldgs Corp
$1.6M
ATVIEURActivision Blizzard Inc
$1.6M
USPHU S Physical Therapy
$1.6M
WDFCWd 40 Co
$1.6M
EXLSExlservice Holdings
$1.6M
ACAArcosa Inc
$1.6M
TGNATegna Inc
$1.6M
NOVEURNational-Oilwell Inc
$1.6M
Taubman Ctrs Inc
$1.6M
MHKMohawk Inds Inc
$1.6M
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