Los Angeles Capital Management

Los Angeles Capital Management Portfolio holdings

AUM $26.7B
1-Year Return 35.08%
This Quarter Return
+6.41%
1 Year Return
+35.08%
3 Year Return
+164.18%
5 Year Return
+293.76%
10 Year Return
+832%
AUM
$8.1B
AUM Growth
+$1.03B
Cap. Flow
+$659M
Cap. Flow %
8.14%
Top 10 Hldgs %
11.32%
Holding
1,450
New
148
Increased
571
Reduced
497
Closed
155

Sector Composition

1 Financials 16.05%
2 Healthcare 14.6%
3 Technology 13.72%
4 Industrials 10.93%
5 Consumer Discretionary 9.48%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
WWAV.B
1301
DELISTED
THE WHITEWAVE FOODS COMPANY CLASS B COM STK
WWAV.B
-175,834
Closed -$2.67M
BMC
1302
DELISTED
BMC SOFTWARE, INC
BMC
-201,652
Closed -$9.1M
ASCA
1303
DELISTED
AMERISTAR CASINOS INC
ASCA
-52,818
Closed -$1.39M
AM
1304
DELISTED
AMERICAN GREETINGS CORP CL A
AM
-52,271
Closed -$952K
GDI
1305
DELISTED
GARDNER DENVER,INC
GDI
-23,551
Closed -$1.77M
TVL
1306
DELISTED
LIN TV CORP
TVL
-11,390
Closed -$174K
RAS
1307
DELISTED
RAIT Financial Trust
RAS
-20,665
Closed -$155K
AWH
1308
DELISTED
Allied World Assurance Co Hld Lt
AWH
-7,536
Closed -$230K
STSA
1309
DELISTED
STERLING FINL CORP (WA) COM NEW
STSA
-24,946
Closed -$593K
ALC
1310
DELISTED
ASSISTED LIVING CONCEPTS INC NEW CL A COM STK (NV)
ALC
-24,809
Closed -$297K
IRC
1311
DELISTED
INLAND REAL ESTATE CORP
IRC
-57,734
Closed -$590K
TSS
1312
DELISTED
Total System Services, Inc.
TSS
-3,002
Closed -$73K
REN
1313
DELISTED
Resolute Energy Corporaton
REN
-2,934
Closed -$117K
ACAS
1314
DELISTED
American Capital Ltd
ACAS
-89,988
Closed -$1.14M
FON
1315
DELISTED
SPRINT CORP FON COM
FON
-6,292,537
Closed -$44.2M
NWS
1316
DELISTED
THE NEWS CORPORATION LTD CL-B
NWS
-36,300
Closed -$1.19M
NWSA
1317
DELISTED
NEWS CORPORATION CL-A
NWSA
-1,166,026
Closed -$38M
CAS
1318
DELISTED
A M Castle & Co
CAS
-13,360
Closed -$211K
TNDM
1319
DELISTED
NEUTRAL TANDEM, INC. COM
TNDM
-33,590
Closed -$193K
BLMN icon
1320
Bloomin' Brands
BLMN
$588M
-12,910
Closed -$321K
RT
1321
DELISTED
Ruby Tuesday Georgia
RT
-41,010
Closed -$379K
ADI icon
1322
Analog Devices
ADI
$122B
-4,705
Closed -$212K
AGNC icon
1323
AGNC Investment
AGNC
$10.8B
-65,013
Closed -$1.5M
AGO icon
1324
Assured Guaranty
AGO
$3.91B
-199,995
Closed -$4.41M
AHT
1325
Ashford Hospitality Trust
AHT
$37.7M
-351
Closed -$2.52M