LOS ANGELES CAPITAL MANAGEMENT LLC Q4 2018 Filing
Filed February 11, 2019
Portfolio Value
$16.1B
Holdings
1,259
Report Date
Q4 2018
Filing Type
13F-HR
All Holdings (1,259 positions)
| Stock | Value |
|---|---|
AZZAzz Inc | $2.5M |
HNIHni Corp | $2.5M |
SHOOMadden Steven Ltd | $2.5M |
TFXTeleflex Inc | $2.5M |
—Raven Inds Inc | $2.4M |
NGVTIngevity Corp | $2.4M |
NTAPNetapp Inc | $2.4M |
HUNHuntsman Corp | $2.4M |
CVLTCommvault Systems In | $2.4M |
ETSYEtsy Inc | $2.4M |
BRCBrady Corporation | $2.4M |
—Vectren Corp | $2.4M |
—Arch Coal Inc | $2.4M |
RNSTRenasant Corp | $2.4M |
TRNOTerreno Rlty Corp | $2.4M |
EGPEastgroup Ppty Inc | $2.3M |
FLT1EURFleetcor Technologies I | $2.3M |
RLIRli Corp | $2.3M |
OPLNKar Auction Svcs Inc | $2.3M |
IMAImax Corp | $2.3M |
MZTILancaster Colony Cor | $2.3M |
HPTUSDHospitality Pptys Tr | $2.3M |
USNAUSANA Inc | $2.3M |
PLXSPlexus Corp | $2.3M |
STWDStarwood Ppty Tr Inc | $2.2M |
EMEEmcor Group Inc | $2.2M |
NSPInsperity Inc | $2.2M |
NVECNve Corp | $2.2M |
VIPSVipshop Hldgs Ltd | $2.2M |
FIVNFive9 Inc | $2.2M |
PLNTPlanet Fitness Inc | $2.2M |
DFSEURDiscover Finl Svcs | $2.2M |
—Hms Hldgs Corp | $2.2M |
EBFEnnis Business Forms | $2.2M |
OGM1Cogent Comm Group In | $2.2M |
VNDAVanda Pharmaceutical | $2.2M |
DIODDiodes Inc | $2.1M |
AIMCUSDAltra Holdings Inc | $2.1M |
MSMMsc Indl Direct Inc | $2.1M |
QLYSQualys Inc | $2.1M |
SUXSynnex Corp | $2.1M |
LTXBUSDLegacy Tex Finl Group I | $2.1M |
—Genomic Health Inc | $2.1M |
JJSFJ & J Snack Foods Co | $2.1M |
URBNUrban Outfitters Inc | $2.1M |
JOBSUSD51job Inc | $2.1M |
PCGPg&E Corp | $2.1M |
RUTHUSDRuths Chris Steak Hs | $2.1M |
SSDSimpson Manufacturin | $2.1M |
INGNInogen Inc | $2.1M |
PBIPitney Bowes Inc | $2.0M |
PINCPremier Inc | $2.0M |
MEDMedifast Inc | $2.0M |
TDSTelephone & Data Sys In | $2.0M |
AITApplied Indl Technol | $2.0M |
IRTCIrhythm Technologies In | $2.0M |
WINGWingstop Inc | $2.0M |
DTEDte Energy Co | $2.0M |
—Apartment Invt & Mgm | $1.9M |
EP3Orasure Technologies | $1.9M |
SRJSpartannash Co | $1.9M |
AVPUSDAvon Prods Inc | $1.9M |
—Meridian Bancorp Inc Md | $1.9M |
CXOEURConcho Res Inc | $1.9M |
BGCPEURBgc Partners Inc | $1.9M |
MYGNMyriad Genetics Inc | $1.9M |
LFUSLittelfuse Inc | $1.9M |
SAILEURSailpoint Technlgies Hl | $1.9M |
HSTMHealthstream Inc | $1.9M |
ANATUSDAmerican Natl Ins Co | $1.9M |
LZBLa Z Boy Inc | $1.9M |
HQYHealthequity Inc | $1.9M |
HUBSHubspot Inc | $1.9M |
PRAHPra Health Sciences Inc | $1.9M |
MKSIMks Instrument Inc | $1.9M |
COSCno Finl Group Inc | $1.9M |
DECKDeckers Outdoor Corp | $1.9M |
LAMRLamar Advertising Co Ne | $1.8M |
CMSCms Energy Corp | $1.8M |
AROCArchrock Inc | $1.8M |
XELXcel Energy Inc | $1.8M |
NWLINational Westn Life Gro | $1.8M |
TELTe Connectivity Ltd | $1.8M |
—Exterran Corp | $1.8M |
IDAIdacorp Inc | $1.8M |
CRICarter Hldgs Inc | $1.8M |
NHINational Health Invs | $1.8M |
SMTCSemtech Corp | $1.8M |
BENFranklin Res Inc | $1.8M |
—Sendgrid Inc | $1.8M |
—Care Com Inc | $1.8M |
ENVUSDEnvestnet Inc | $1.8M |
SAICScience Applicatns Intl | $1.7M |
EIGEmployers Holdings I | $1.7M |
CARGCargurus Inc | $1.7M |
TILEInterface Inc | $1.7M |
B7SBrookdale Sr Living | $1.7M |
JLLJones Lang Lasalle I | $1.7M |
PAHCPhibro Animal Health Co | $1.7M |
BJRIBjs Restaurants Inc | $1.7M |