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)

StockValue
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
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