LOS ANGELES CAPITAL MANAGEMENT LLC Q2 2019 Filing

Filed July 29, 2019

Portfolio Value

$18.6T

Holdings

1,331

Report Date

Q2 2019

Filing Type

13F-HR

All Holdings (1,331 positions)

#StockSharesValue% PortfolioType
101
WEAWestern Alliance Ban
996,090$44.5B0.24%
102
4I1Philip Morris Intl Inc
558,230$43.8B0.24%
103
LPLALpl Finl Hldgs Inc
536,897$43.8B0.23%
104
LWLamb Weston Hldgs Inc
684,229$43.4B0.23%
105
AVGOBroadcom Inc
148,256$42.7B0.23%
106
BMYBristol Myers Squibb
928,639$42.1B0.23%
107
AFWAlign Technology Inc
147,496$40.4B0.22%
108
AMGNAmgen
217,829$40.1B0.22%
109
ANETEURArista Networks Inc
153,021$39.7B0.21%
110
PSAPublic Storage Inc
159,763$38.1B0.20%
111
UI2Kemper Corp Del
438,674$37.9B0.20%
112
MSIMotorola Solutions Inc
227,024$37.9B0.20%
113
ELVAnthem Inc
133,935$37.8B0.20%
114
SYFSynchrony Finl
1,076,413$37.3B0.20%
115
LINLinde Plc
185,502$37.2B0.20%
116
CINFCincinnati Finl Corp
355,561$36.9B0.20%
117
LOWLowes Cos Inc
364,849$36.8B0.20%
118
BRKRBruker Biosciences C
734,639$36.7B0.20%
119
SEICSei Corp
646,821$36.3B0.19%
120
LLYEli Lilly & Co
327,463$36.3B0.19%
121
EWEdwards Lifesciences
196,246$36.3B0.19%
122
EVREvercore Partners In
403,414$35.7B0.19%
123
ABTAbbott Labs
422,208$35.5B0.19%
124
PWRQuanta Svcs Inc
927,549$35.4B0.19%
125
METMetlife Inc
710,933$35.3B0.19%
126
WFCWells Fargo & Co New
744,413$35.2B0.19%
127
HRSEURHarris Corp Del
185,525$35.1B0.19%
128
MDTMedtronic Plc
359,513$35.0B0.19%
129
KMBKimberly Clark Corp
257,803$34.4B0.18%
130
AJGGallagher Arthur J &
389,899$34.2B0.18%
131
HDSUSDHd Supply Hldgs Inc
833,475$33.6B0.18%
132
TSSTotal Sys Svcs Inc
252,110$32.3B0.17%
133
NOWServicenow Inc
117,214$32.2B0.17%
134
VNOVornado Rlty Tr
499,582$32.0B0.17%
135
JDJd Com Inc
1,054,194$31.9B0.17%
136
SCCOSouthern Copper Corp
797,772$31.0B0.17%
137
ROKRockwell Automation
188,153$30.8B0.17%
138
PANWPalo Alto Networks Inc
149,523$30.5B0.16%
139
AG8Agilent Technologies
404,965$30.2B0.16%
140
BBYBest Buy Inc
432,711$30.2B0.16%
141
CHDChurch & Dwight Inc
412,431$30.1B0.16%
142
LECOLincoln Elec Hldgs I
354,422$29.2B0.16%
143
ORLYO Reilly Automotive Inc
78,926$29.1B0.16%
144
AOSSmith A O Corp 'b'
616,425$29.1B0.16%
145
NUSNu Skin Enterprises
576,970$28.5B0.15%
146
VAREURVarian Med Sys Inc
208,955$28.4B0.15%
147
GILDGilead Sciences Inc
419,943$28.4B0.15%
148
GRMNGarmin Ltd
348,413$27.8B0.15%
149
TTDThe Trade Desk Inc
122,040$27.8B0.15%
150
POOLPool Corporation
143,377$27.4B0.15%
151
COFCapital One Finl Cor
300,264$27.2B0.15%
152
LRCXEURLam Resh Corp
144,901$27.2B0.15%
153
MXIMMaxim Integrated Pro
451,741$27.0B0.14%
154
CHKPCheck Point Software
233,395$27.0B0.14%
155
AWIArmstrong World Inds
274,656$26.7B0.14%
156
FITBFifth Third Bancorp
951,793$26.6B0.14%
157
EQREquity Residential P
347,726$26.4B0.14%
158
BKIEURBlack Knight Inc
438,770$26.4B0.14%
159
MSMMsc Indl Direct Inc
352,609$26.2B0.14%
160
LULULululemon Athletica Inc
142,184$25.6B0.14%
161
TWTRUSDTwitter Inc
730,414$25.5B0.14%
162
SYYSysco Corp
356,854$25.2B0.14%
163
ADSKAutodesk Inc
154,510$25.2B0.13%
164
ZSZscaler Inc
328,350$25.2B0.13%
165
VEEVVeeva Sys Inc
155,001$25.1B0.13%
166
BLKCHFBlackrock Inc
53,460$25.1B0.13%
167
RHT1EURRed Hat Inc
133,108$25.0B0.13%
168
ITGartner Group Inc Ne
155,091$25.0B0.13%
169
EDUNew Oriental Ed & Te
257,100$24.8B0.13%
170
RTN1USDRaytheon Co
142,315$24.7B0.13%
171
FISVFiserv Inc
271,418$24.7B0.13%
172
EOGEog Res Inc
265,383$24.7B0.13%
173
AKAMAkamai Technologies
307,273$24.6B0.13%
174
TROWT.Rowe Price Group I
224,058$24.6B0.13%
175
FLT1EURFleetcor Technologies I
87,423$24.6B0.13%
176
FICOFair Isaac Corp
77,703$24.4B0.13%
177
AKXAnsys Inc
118,732$24.3B0.13%
178
OXYOccidental Pete Corp
481,781$24.2B0.13%
179
LSTRLandstar Sys Inc
223,371$24.1B0.13%
180
DPZDominos Pizza Inc
85,341$23.7B0.13%
181
CHEChemed Corp New
65,781$23.7B0.13%
182
MDLZMondelez Intl Inc
436,475$23.5B0.13%
183
NTESNetease Com Inc
91,540$23.4B0.13%
184
DOVDover Corp
232,606$23.3B0.12%
185
FLIRFlir Sys Inc
426,489$23.1B0.12%
186
RSGRepublic Svcs Inc
266,034$23.0B0.12%
187
EVEUREaton Vance Corp
533,693$23.0B0.12%
188
DHRDanaher Corp
160,818$23.0B0.12%
189
TALTal Ed Group
603,128$23.0B0.12%
190
VRSNVerisign Inc
109,239$22.8B0.12%
191
UTXZUnited Technologies
175,407$22.8B0.12%
192
CCEPCoca Cola European Part
400,484$22.6B0.12%
193
UDRUdr Inc
502,608$22.6B0.12%
194
ABMDEURAbiomed Inc
86,402$22.5B0.12%
195
BIIBBiogen Idec Inc
93,823$21.9B0.12%
196
WWDWoodward Governor Co
192,874$21.8B0.12%
197
MTGMgic Invt Corp Wis
1,654,240$21.7B0.12%
198
THGHanover Ins Group In
169,273$21.7B0.12%
199
PNCPnc Financial Corp
158,013$21.7B0.12%
200
SHWSherwin Williams Co
47,183$21.6B0.12%
PreviousPage 2 of 14Next