LOS ANGELES CAPITAL MANAGEMENT LLC Q3 2020 Filing

Filed November 2, 2020

Portfolio Value

$21.7T

Holdings

1,426

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (1,426 positions)

#StockSharesValue% PortfolioType
101
ATVIEURActivision Blizzard Inc
613,245$49.6B0.23%
102
AMGNAmgen
192,147$48.8B0.22%
103
EBAEbay Inc
899,571$46.9B0.22%
104
SEICSei Corp
896,796$45.5B0.21%
105
TSCOTractor Supply Co
314,933$45.1B0.21%
106
LMTLockheed Martin Corp
114,726$44.0B0.20%
107
CBOECboe Hldgs Inc
499,875$43.9B0.20%
108
PEPPepsico Inc
314,712$43.6B0.20%
109
STESteris Plc
243,296$42.9B0.20%
110
JDJd Com Inc
546,145$42.4B0.19%
111
WSTWest Pharmaceutical
151,926$41.8B0.19%
112
CTSHCognizant Technology
601,102$41.7B0.19%
113
DHRDanaher Corp
180,551$38.9B0.18%
114
NTESNetease Com Inc
83,108$37.8B0.17%
115
DOVDover Corp
336,453$36.5B0.17%
116
WDAYWorkday Inc
168,477$36.2B0.17%
117
HONHoneywell Intl Inc
217,552$35.8B0.16%
118
DGXQuest Diagnostics In
312,372$35.8B0.16%
119
ADSKAutodesk Inc
153,800$35.5B0.16%
120
GWWGrainger W W Inc
97,942$34.9B0.16%
121
FASTFastenal Co
774,250$34.9B0.16%
122
UNPUnion Pac Corp
168,333$33.1B0.15%
123
LINLinde Plc
138,976$33.1B0.15%
124
TTWOTake-Two Interactive
196,850$32.5B0.15%
125
LKQ1Lkq Corp
1,162,924$32.2B0.15%
126
ADIAnalog Devices Inc
271,252$31.7B0.15%
127
SFMSprouts Fmrs Mkt Inc
1,493,300$31.3B0.14%
128
PFEPfizer Inc
848,660$31.1B0.14%
129
CVSCvs Corp
532,365$31.1B0.14%
130
SYKStryker Corp
149,061$31.1B0.14%
131
GILDGilead Sciences Inc
477,504$30.2B0.14%
132
ZTSZoetis Inc
178,908$29.6B0.14%
133
HN9Hanesbrands Inc
1,876,952$29.6B0.14%
134
CHRWC H Robinson Worldwi
287,691$29.4B0.14%
135
HALHalliburton Co
2,423,232$29.2B0.13%
136
CMCSAComcast Corp New
616,419$28.5B0.13%
137
RHIRobert Half Intl Inc
535,125$28.3B0.13%
138
BLKCHFBlackrock Inc
49,543$27.9B0.13%
139
LIILennox Intl Inc
101,615$27.7B0.13%
140
RSGRepublic Svcs Inc
285,320$26.6B0.12%
141
SIRIEURSirius Xm Hldgs Inc
4,808,115$25.8B0.12%
142
MOAltria Group Inc
665,504$25.7B0.12%
143
FBINFortune Brands Home & S
289,465$25.0B0.12%
144
DPZDominos Pizza Inc
58,885$25.0B0.12%
145
MTBM & T Bk Corp
267,538$24.6B0.11%
146
XOMExxon Mobil Corp
713,389$24.5B0.11%
147
AMEAmetek Inc New
245,878$24.4B0.11%
148
DDDupont De Nemours Inc
435,484$24.2B0.11%
149
JBLJabil Circuit Inc
704,303$24.1B0.11%
150
MOSMosaic Co New
1,318,703$24.1B0.11%
151
WFCWells Fargo & Co New
1,022,720$24.0B0.11%
152
PSAPublic Storage Inc
106,566$23.7B0.11%
153
BROBrown & Brown Inc
518,546$23.5B0.11%
154
SUXSynnex Corp
166,621$23.3B0.11%
155
ZZillow Group Inc
229,448$23.3B0.11%
156
TRUTransunion
273,822$23.0B0.11%
157
CHEChemed Corp New
46,975$22.6B0.10%
158
MTDMettler Toledo Inter
23,268$22.5B0.10%
159
COFCapital One Finl Cor
312,346$22.4B0.10%
160
AJGGallagher Arthur J &
210,109$22.2B0.10%
161
USBUS Bancorp Del
617,116$22.1B0.10%
162
CPRTCopart Inc
209,948$22.1B0.10%
163
BRK/BBerkshire Hathaway Inc
103,661$22.1B0.10%
164
SEESealed Air Corp New
560,849$21.8B0.10%
165
BBYBest Buy Inc
194,922$21.7B0.10%
166
NEMNewmont Goldcorp Corpor
331,870$21.1B0.10%
167
FMCF M C Corp
195,468$20.7B0.10%
168
YUMCYum China Hldgs Inc
390,416$20.7B0.10%
169
EXPEagle Materials Inc
230,782$19.9B0.09%
170
JKHYHenry Jack & Assoc I
121,450$19.7B0.09%
171
VSTVistra Energy Corp
1,046,754$19.7B0.09%
172
NRANrg Energy Inc
635,594$19.5B0.09%
173
MXIMMaxim Integrated Pro
286,581$19.4B0.09%
174
EMREmerson Elec Co
290,457$19.0B0.09%
175
MLMMartin Marietta Matl
80,494$18.9B0.09%
176
SMGScotts Co
123,763$18.9B0.09%
177
TRVCCitigroup Inc
437,065$18.8B0.09%
178
CICigna Corp New
108,927$18.5B0.08%
179
WMWaste Mgmt Inc Del
162,809$18.4B0.08%
180
TTTrane Technologies Plc
148,613$18.0B0.08%
181
ODFLOld Dominion Fght Li
99,497$18.0B0.08%
182
MMM3m Co
111,451$17.9B0.08%
183
ANAutonation Inc
328,719$17.4B0.08%
184
PAYXPaychex Inc
215,145$17.2B0.08%
185
SRPTSarepta Therapeutics In
121,815$17.1B0.08%
186
NBIXNeurocrine Bioscienc
176,757$17.0B0.08%
187
IBMIntl Business Mchn
136,038$16.6B0.08%
188
SSS1EURLife Storage Inc
156,082$16.4B0.08%
189
BIDUNBaidu Com Inc
128,783$16.3B0.07%
190
CWCurtiss Wright Corp
172,479$16.1B0.07%
191
NEENextera Energy Inc
57,747$16.0B0.07%
192
0VVBViacomcbs Inc
568,551$15.9B0.07%
193
HDSUSDHd Supply Hldgs Inc
382,767$15.8B0.07%
194
SPGSimon Ppty Group Inc
241,420$15.6B0.07%
195
7HPHp Inc
821,278$15.6B0.07%
196
LBEURL Brands Inc
484,968$15.4B0.07%
197
CHTRCharter Communications
24,667$15.4B0.07%
198
AMTAmerican Tower Reit
63,687$15.4B0.07%
199
MPWRMonolithic Pwr Sys I
53,710$15.0B0.07%
200
MDTMedtronic Plc
143,898$15.0B0.07%
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