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
IPGInterpublic Group Co
$5.8M
EVREvercore Partners In
$5.8M
LNCLincoln Natl Corp In
$5.8M
HNMOrmat Technologies I
$5.8M
ARNCCHFArconic Inc
$5.7M
XYZSquare Inc
$5.7M
CR1USDCrane Co
$5.7M
MDLZMondelez Intl Inc
$5.7M
XELXcel Energy Inc
$5.5M
Healthsouth Corp
$5.4M
TEVATeva Pharmaceutical
$5.4M
BBTUSDBb&T Corp
$5.3M
GNWGenworth Finl Inc
$5.2M
WMBWilliams Cos
$5.1M
WYWeyerhaeuser Co
$5.1M
KALUKaiser Aluminum Corp
$5.1M
Apartment Invt & Mgm
$5.0M
FTNTFortinet Inc
$5.0M
WDAYWorkday Inc
$5.0M
HSICSchein Henry Inc
$5.0M
SAVESpirit Airls Inc
$4.9M
CPACopa Holdings Sa
$4.9M
TRMBTrimble Inc
$4.9M
PBIPitney Bowes Inc
$4.8M
MASMasco Corp
$4.8M
WAFDWashington Fed Inc
$4.8M
SYFSynchrony Finl
$4.8M
PCGPg&E Corp
$4.8M
CBSHCommerce Bancshares
$4.7M
VAREURVarian Med Sys Inc
$4.7M
KMIKinder Morgan Inc Del
$4.7M
NENoble Corp Plc
$4.7M
PG4Principal Financial
$4.7M
SPGSimon Ppty Group Inc
$4.6M
WOOFoot Locker Inc
$4.6M
LOWLowes Cos Inc
$4.6M
SYKStryker Corp
$4.6M
ESSEssex Ppty Tr Inc
$4.6M
WUBAUSD58 Com Inc
$4.5M
OGEOge Energy Corp
$4.5M
CVLTCommvault Systems In
$4.5M
TRNTrinity Inds Inc
$4.4M
Time Inc New
$4.4M
LWLamb Weston Hldgs Inc
$4.4M
BOHBank Hawaii Corp
$4.4M
A4SAmeriprise Finl Inc
$4.4M
SUXSynnex Corp
$4.4M
CBTCabot Corp
$4.3M
Ensco Plc
$4.3M
EFXEquifax Inc
$4.3M
UTHUnited Therapeutics
$4.3M
Exterran Corp
$4.3M
INGRIngredion Inc
$4.2M
APCAnadarko Pete Corp
$4.2M
FNFFidelity National Finan
$4.2M
FLRFluor Corp
$4.2M
EMEEmcor Group Inc
$4.2M
VRSNVerisign Inc
$4.1M
WWDWoodward Governor Co
$4.1M
CMSCms Energy Corp
$4.1M
UALUnited Contl Hldgs Inc
$4.1M
KELKellogg Co
$4.0M
BRK-BQuality Care Pptys Inc
$4.0M
ZIONZions Bancorp
$4.0M
HRBBlock H & R Inc
$4.0M
CDKCdk Global Inc
$4.0M
Ps Business Pks Inc
$3.9M
OCOwens Corning New
$3.9M
AXSAxis Capital Holding
$3.9M
AFGAmerican Finl Group
$3.9M
GCI1EURGannett Spinco Inc
$3.9M
FT2First Horizon Natl C
$3.9M
PLXSPlexus Corp
$3.8M
AVTAvnet Inc
$3.8M
FFord Mtr Co Del
$3.7M
HANHawaiian Holdings In
$3.7M
SSDSimpson Manufacturin
$3.6M
CHTRCharter Communications
$3.6M
NAVINavient Corp
$3.6M
TELTe Connectivity Ltd
$3.6M
FBCUSDFlagstar Bancorp Inc
$3.6M
6PMParamount Group Inc
$3.6M
HCAHca Holdings Inc
$3.6M
DVNDevon Energy Corp
$3.6M
Colony Northstar Inc
$3.5M
GPNGlobal Pmts Inc
$3.5M
HP5AEquity Comwlth
$3.5M
BURLBurlington Stores Inc
$3.5M
LFUSLittelfuse Inc
$3.5M
BHFBrighthouse Finl Inc
$3.5M
DLXDe Luxe Check Printe
$3.5M
HAEHaemonetics Corp
$3.5M
Cornerstone Ondemand In
$3.5M
LTCLtc Pptys Inc
$3.5M
DKDelek Us Hldgs Inc New
$3.5M
RITMNew Residential Invt Co
$3.5M
ESNTEssent Group Ltd
$3.4M
HIIHuntington Ingalls Inds
$3.4M
OIIOceaneering Intl Inc
$3.4M
ROSTRoss Stores Inc
$3.4M
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