LOS ANGELES CAPITAL MANAGEMENT LLC Q4 2020 Filing

Filed February 4, 2021

Portfolio Value

$23.4T

Holdings

1,502

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (1,502 positions)

#StockSharesValue% PortfolioType
401
AGOAssured Guaranty Ltd
153,978$4.8B0.02%
402
PRGSProgress Software Co
106,125$4.8B0.02%
403
SOSouthern Co
77,714$4.8B0.02%
404
CHTRCharter Communications
7,199$4.8B0.02%
405
RNGRingcentral Inc
12,535$4.8B0.02%
406
NVCRNovocure Ltd
27,453$4.8B0.02%
407
Hms Hldgs Corp
128,900$4.7B0.02%
408
ACHOwens & Minor Inc Ne
175,052$4.7B0.02%
409
RMBS*Rambus Inc Del
271,158$4.7B0.02%
410
APPSDigital Turbine Inc
83,536$4.7B0.02%
411
FLOFlowers Foods Inc
206,663$4.7B0.02%
412
FMFFormfactor Inc
108,551$4.7B0.02%
413
TXRHTexas Roadhouse Inc
59,681$4.7B0.02%
414
RSReliance Steel & Alu
38,685$4.6B0.02%
415
ZBRAZebra Technologies C
12,041$4.6B0.02%
416
DOCUDocusign Inc
20,749$4.6B0.02%
417
CLVTrip Com Group Ltd
134,789$4.5B0.02%
418
IVZInvesco Ltd
260,503$4.5B0.02%
419
CNSCohen & Steers Inc
60,792$4.5B0.02%
420
LSCCLattice Semiconducto
97,780$4.5B0.02%
421
ATENA10 Networks Inc
452,656$4.5B0.02%
422
ICEIntercontinentalexchang
38,552$4.4B0.02%
423
EVEUREaton Vance Corp
64,839$4.4B0.02%
424
AWGAsbury Automotive Gr
30,106$4.4B0.02%
425
WKCWorld Fuel Svcs Corp
140,648$4.4B0.02%
426
ORIOld Rep Intl Corp
222,224$4.4B0.02%
427
DOXAmdocs Ltd
61,484$4.4B0.02%
428
NFGNational Fuel Gas Co
105,417$4.3B0.02%
429
MRTXEURMirati Therapeutics Inc
19,674$4.3B0.02%
430
PPGPpg Inds Inc
29,690$4.3B0.02%
431
JAZZJazz Pharmaceuticals Pl
25,909$4.3B0.02%
432
XNCRXencor Inc
97,967$4.3B0.02%
433
LPLALpl Finl Hldgs Inc
40,710$4.2B0.02%
434
NYTNew York Times Co
81,835$4.2B0.02%
435
PXDEURPioneer Nat Res Co
37,116$4.2B0.02%
436
ZSZscaler Inc
21,088$4.2B0.02%
437
CINFCincinnati Finl Corp
48,196$4.2B0.02%
438
CMECme Group Inc
23,112$4.2B0.02%
439
CVLTCommvault Systems In
75,886$4.2B0.02%
440
NAVINavient Corp
424,171$4.2B0.02%
441
SBUXStarbucks Corp
38,756$4.1B0.02%
442
CMPRCimpress Plc
47,054$4.1B0.02%
443
EVTCEvertec Inc
104,451$4.1B0.02%
444
APDAir Prods & Chems In
14,655$4.0B0.02%
445
MTHMeritage Corp
48,303$4.0B0.02%
446
PLUNPlug Power Inc
117,930$4.0B0.02%
447
SAMBoston Beer Inc
4,020$4.0B0.02%
448
PVHPvh Corp
42,524$4.0B0.02%
449
Stamps Com Inc
20,169$4.0B0.02%
450
ZM3Zumiez Inc
107,530$4.0B0.02%
451
WDFCWd 40 Co
14,881$4.0B0.02%
452
SSTKShutterstock Inc
54,911$3.9B0.02%
453
WINGWingstop Inc
29,551$3.9B0.02%
454
ENPHEnphase Energy Inc
22,281$3.9B0.02%
455
FTDRFrontdoor Inc
77,672$3.9B0.02%
456
SHOOMadden Steven Ltd
110,362$3.9B0.02%
457
DTDynatrace Hldgs Inc
89,467$3.9B0.02%
458
UCTTUltra Clean Hldgs In
123,308$3.8B0.02%
459
LUVSouthwest Airls Co
82,374$3.8B0.02%
460
UPBDRent A Ctr Inc New
99,500$3.8B0.02%
461
SAILEURSailpoint Technlgies Hl
71,040$3.8B0.02%
462
BOXBox Inc
209,456$3.8B0.02%
463
HPHelmerich & Payne In
161,311$3.7B0.02%
464
Forterra Inc
217,210$3.7B0.02%
465
KEYKeycorp
227,408$3.7B0.02%
466
CSGPCostar Group Inc
4,036$3.7B0.02%
467
PENGSmart Global Hldgs Inc
98,989$3.7B0.02%
468
ELSEquity Lifestyle Ppt
58,514$3.7B0.02%
469
TTEKTetra Tech Inc New
31,970$3.7B0.02%
470
GLDDGreat Lakes Dredge &
280,857$3.7B0.02%
471
2L9Blueprint Medicines Cor
32,951$3.7B0.02%
472
VRSKVerisk Analytics Inc
17,734$3.7B0.02%
473
TWLOTwilio Inc
10,861$3.7B0.02%
474
TPBTurning Pt Brands Inc
82,500$3.7B0.02%
475
KELKellogg Co
58,799$3.7B0.02%
476
MRSHMarsh & Mclennan Cos
31,048$3.6B0.02%
477
AMKRAmkor Technology Inc
239,815$3.6B0.02%
478
SAICScience Applicatns Intl
37,970$3.6B0.02%
479
DISCAUSDDiscovery Communicatns
118,748$3.6B0.02%
480
VEEVVeeva Sys Inc
13,052$3.6B0.02%
481
NEONeogenomics Inc
65,899$3.5B0.02%
482
HCQAmn Healthcare Servi
51,879$3.5B0.02%
483
PINSPinterest Inc
53,384$3.5B0.02%
484
YELPYelp Inc
107,198$3.5B0.01%
485
Biodelivery Sciences
832,287$3.5B0.01%
486
OKEOneok Inc New
90,982$3.5B0.01%
487
SLABSilicon Laboratories
27,387$3.5B0.01%
488
CNMDConmed Corp
31,068$3.5B0.01%
489
USNAUSANA Inc
44,732$3.4B0.01%
490
OSISOsi Systems Inc
36,928$3.4B0.01%
491
CSTLCastle Biosciences Inc
51,231$3.4B0.01%
492
BWABorg-Warner Automoti
88,931$3.4B0.01%
493
VIAVViavi Solutions Inc
229,162$3.4B0.01%
494
NTRANatera Inc
34,431$3.4B0.01%
495
A3IAmerisafe Inc
59,547$3.4B0.01%
496
AM6Amicus Therapeutics Inc
147,940$3.4B0.01%
497
FFINFirst Finl Bankshare
94,265$3.4B0.01%
498
UGIUgi Corp New
97,019$3.4B0.01%
499
BLDTopbuild Corp
18,132$3.3B0.01%
500
FUODolby Laboratories I
34,336$3.3B0.01%
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