LOS ANGELES CAPITAL MANAGEMENT LLC Q3 2020 Filing
Filed November 2, 2020
Portfolio Value
$21.7B
Holdings
1,426
Report Date
Q3 2020
Filing Type
13F-HR
All Holdings (1,426 positions)
| Stock | Value |
|---|---|
AVNTAvient Corporation | $1.1M |
HSTMHealthstream Inc | $1.1M |
SITESiteone Landscape Suppl | $1.1M |
FWRDUSDForward Air Corp | $1.1M |
—Dsp Group Inc | $1.1M |
CUTREURCutera Inc | $1.1M |
PSNLPersonalis Inc | $1.1M |
S7VSally Beauty Hldgs I | $1.1M |
VRNSVaronis Sys Inc | $1.1M |
SHYFShyft Group Inc | $1.1M |
EFXEquifax Inc | $1.1M |
AQUAUSDEvoqua Water Technologi | $1.1M |
CVBFCvb Finl Corp | $1.1M |
GDGeneral Dynamics Cor | $1.0M |
SVMKUSDSvmk Inc | $1.0M |
—Sterling Bancorp Del | $1.0M |
—Neenah Paper Inc | $1.0M |
CVLGCovenant Trans Inc | $1.0M |
07SSecureworks Corp | $1.0M |
DGIIDigi Intl Inc | $1.0M |
AMBAAmbarella Inc | $1.0M |
CNSLEURConsolidated Comm Hl | $999K |
MARMarriott Intl Inc Ne | $991K |
—Taubman Ctrs Inc | $991K |
EVHEvolent Health Inc | $979K |
AWMSkyworks Solutions I | $976K |
CRMTAmericas Car Mart In | $976K |
SWSSmith & Wesson Brands I | $975K |
PGRProgressive Corp Ohi | $974K |
FRMEFirst Merchants Corp | $972K |
RBCRbc Bearings Inc | $971K |
CLWClearwater Paper Corp | $969K |
FGENEURFibrogen Inc | $968K |
ATHMAutohome Inc | $967K |
T7DTransdigm Group Inc | $967K |
EVREvercore Partners In | $962K |
DYT1Dynex Cap Inc | $958K |
QNSTQuinstreet Inc | $955K |
—Cai International Inc | $955K |
AVYAUSDAvaya Hldgs Corp | $955K |
PRLBProto Labs Inc | $948K |
YELPYelp Inc | $947K |
NVECNve Corp | $945K |
—Constellation Pharmceti | $941K |
—Syros Pharmaceuticals I | $940K |
BRCBrady Corporation | $940K |
BZHBeazer Homes Usa Inc | $934K |
AIZAssurant Inc | $933K |
CA8ACaci Inc | $932K |
SEDGSolaredge Technologies | $932K |
COLLCollegium Pharmaceutica | $927K |
—Cyberoptics Corp | $922K |
—Dicerna Pharmaceuticals | $920K |
HAEHaemonetics Corp | $917K |
—Zix Corp | $915K |
SHOOMadden Steven Ltd | $914K |
PTGXProtagonist Therapeutic | $913K |
PCARPaccar Inc | $910K |
FRFirst Industrial Rea | $904K |
VVXVectrus Inc | $897K |
USPHU S Physical Therapy | $896K |
VNDAVanda Pharmaceutical | $896K |
ADCAgree Realty Corp | $895K |
PRAHPra Health Sciences Inc | $892K |
PANWPalo Alto Networks Inc | $889K |
IPInternational Paper | $885K |
AMCXAmc Networks Inc | $881K |
DKSDicks Sporting Goods | $879K |
HRCHill Rom Hldgs Inc | $876K |
SGCSuperior Uniform Grp | $876K |
STSensata Technologies Hl | $873K |
MKSIMks Instrument Inc | $873K |
SPWHSportsmans Whse Hldgs I | $872K |
MSAMsa Safety Inc | $870K |
TBBKBancorp Inc Del | $865K |
THOThor Inds Inc | $865K |
SU6Surmodics Inc | $861K |
—Echo Global Logistics I | $857K |
SIGASiga Pharmaceuticals | $852K |
DXPEDxp Enterprises Inc | $847K |
MSGNMsg Network Inc | $847K |
FT2First Horizon Natl C | $844K |
JACKJack In The Box Inc | $844K |
GMGeneral Motors Corp. | $841K |
CWENClearway Energy Inc | $839K |
TLYSTillys Inc | $837K |
SKYSkyline Champion Corp | $835K |
SL2Sleep Number Corp | $827K |
NSSCNapco Sec Sys Inc | $823K |
UTHUnited Therapeutics | $823K |
PRPLPurple Innovation Inc | $823K |
BAXBaxter Intl Inc | $823K |
FCBCFirst Cmnty Bancshar | $823K |
HSKAEURHeska Corp | $820K |
TRMKTrustmark Corp | $819K |
AWNAdvance Auto Parts | $819K |
ATAtlantic Pwr Corp | $816K |
ENSGEnsign Group Inc | $815K |
NBHCNational Bk Hldgs Corp | $815K |
—Textainer Group Holding | $811K |