LOS ANGELES CAPITAL MANAGEMENT LLC Q3 2017 Filing
Filed November 6, 2017
Portfolio Value
$17.3B
Holdings
1,292
Report Date
Q3 2017
Filing Type
13F-HR
All Holdings (1,292 positions)
| Stock | Value |
|---|---|
AGOAssured Guaranty Ltd | $22.1M |
UGIUgi Corp New | $22.1M |
AWMSkyworks Solutions I | $21.7M |
ALSAllstate Corp | $21.6M |
—Bemis Inc | $21.6M |
DPZDominos Pizza Inc | $21.5M |
SYU1Synovus Finl Corp | $21.4M |
AOSSmith A O Corp 'b' | $21.3M |
CCChemours Co | $21.2M |
ETNEaton Corp Plc | $21.1M |
DWDMorgan Stanley | $21.0M |
DXCDxc Technology Co | $21.0M |
LEALear Corp | $20.6M |
LMTLockheed Martin Corp | $20.4M |
VLOValero Energy Corp N | $20.2M |
FEFirst Energy Corp | $20.2M |
—Qiagen Nv | $19.9M |
CPTCamden Ppty Tr | $19.7M |
HLTHilton Worldwide Hldgs | $19.5M |
BLKCHFBlackrock Inc | $19.4M |
OPLNKar Auction Svcs Inc | $19.4M |
BKBank Of New York Mellon | $19.3M |
RNRRenaissance Re Hldgs | $19.2M |
SBCSabra Health Care Reit | $19.2M |
CNCCentene Corp Del | $19.1M |
W3UWestern Un Co | $19.1M |
THGHanover Ins Group In | $18.6M |
MANManpower Inc | $18.5M |
FMCF M C Corp | $18.2M |
HSYHershey Foods Corp | $17.7M |
AEPAmerican Elec Pwr In | $17.4M |
DDominion Res Inc Va | $17.3M |
—Athene Hldg Ltd | $17.3M |
OMCOmnicom Group | $17.3M |
MFAUSDMfa Mtg Invts Inc | $17.1M |
TUPTupperware Corp | $16.8M |
TWXCHFTime Warner Inc | $16.8M |
—Suntrust Bks Inc | $16.7M |
ETREntergy Corp New | $16.6M |
HIGHartford Finl Svcs G | $16.6M |
FISVFiserv Inc | $16.6M |
ILMNIllumina Inc | $16.5M |
STTState Str Corp | $16.4M |
SEESealed Air Corp New | $16.4M |
UNMUnumprovident Corp | $16.3M |
BCRUSDBard C R Inc | $16.2M |
ACGLArch Cap Group Ltd | $16.2M |
PBCTEURPeoples United Financia | $16.1M |
VEEVVeeva Sys Inc | $16.1M |
AIGAmerican Intl Group Inc | $16.1M |
AFWAlign Technology Inc | $15.9M |
ELSEquity Lifestyle Ppt | $15.8M |
NFGNational Fuel Gas Co | $15.7M |
BKRBaker Hughes A Ge Co | $15.6M |
TTCToro Co | $15.4M |
RFRegions Finl Corp | $15.3M |
ERIEErie Indty Co | $15.2M |
HFCUSDHollyfrontier Corp | $15.2M |
CAGConagra Brands Inc | $15.0M |
SOSouthern Co | $14.8M |
—Xl Group Ltd | $14.5M |
AERAercap Holdings Nv | $14.5M |
HRSEURHarris Corp Del | $14.1M |
PHParker Hannifin Corp | $13.7M |
—Coach Inc | $13.7M |
LRCXEURLam Resh Corp | $13.6M |
NEENextera Energy Inc | $13.3M |
ALKSAlkermes Plc | $13.3M |
STWDStarwood Ppty Tr Inc | $13.0M |
VRTXVertex Pharmaceutica | $13.0M |
METMetlife Inc | $13.0M |
SBACSba Communications Corp | $12.7M |
UDRUdr Inc | $12.4M |
DUKDuke Energy Corp New | $12.4M |
UPSUnited Parcel Servic | $12.4M |
CGNXCognex Corp | $12.3M |
BWXTBwx Technologies Inc | $12.3M |
DVADavita Inc | $12.2M |
—Vantiv Inc | $12.2M |
ROPRoper Inds Inc New | $12.1M |
MRSHMarsh & Mclennan Cos | $11.9M |
FITBFifth Third Bancorp | $11.9M |
BPOPPopular Inc | $11.9M |
LUVSouthwest Airls Co | $11.9M |
RIGTransocean Ltd Zug | $11.6M |
TAPMolson Coors Brewing | $11.6M |
LEGLeggett & Platt Inc | $11.5M |
WSTWest Pharmaceutical | $11.5M |
APAMArtisan Partners Asset | $11.5M |
XYLXylem Inc | $11.5M |
ADIAnalog Devices Inc | $11.5M |
CTSHCognizant Technology | $11.2M |
OXYOccidental Pete Corp | $11.1M |
NOWServicenow Inc | $11.1M |
AKXAnsys Inc | $11.1M |
—Tech Data Corp | $11.0M |
GMGeneral Motors Corp. | $11.0M |
SMGScotts Co | $10.9M |
CIMChimera Invt Corp | $10.9M |
ALXNAlexion Pharmaceutic | $10.8M |