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LOS ANGELES CAPITAL MANAGEMENT LLC
/ Holdings
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Back to LOS ANGELES CAPITAL MANAGEMENT LLC
LA
Los Angeles Capital Management LLC
All holdings · as of Mar 31, 2026
2,374 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
NVIDIA Corp
—
$2.33B
13,350,923
9.2%
Apple Inc.
—
$1.83B
7,224,649
7.2%
MICROSOFT CORP
—
$1.23B
3,325,321
4.9%
Broadcom Inc.
—
$922.45M
2,980,357
3.6%
Alphabet Inc.
—
$622.10M
2,168,667
2.5%
Alphabet Inc.
—
$526.59M
1,831,250
2.1%
Amazon.com Inc
—
$512.55M
2,460,968
2.0%
ELI LILLY & Co
—
$418.05M
454,512
1.6%
Meta Platforms Inc
—
$405.94M
709,524
1.6%
Booking Holdings Inc
—
$317.65M
75,445
1.3%
AT&T INC.
—
$316.12M
10,904,312
1.2%
AbbVie Inc.
—
$274.24M
1,260,942
1.1%
Newmont Corp
—
$261.16M
2,412,527
1.0%
BRISTOL MYERS SQUIBB CO
—
$258.19M
4,257,069
1.0%
AMPHENOL CORP /DE
—
$246.24M
1,948,877
1.0%
LAM RESEARCH CORP
—
$237.95M
1,113,680
0.9%
Trane Technologies plc
—
$234.96M
563,799
0.9%
HARTFORD INSURANCE GROUP, INC.
—
$234.49M
1,733,975
0.9%
EXXON MOBIL CORP
—
$220.51M
1,299,718
0.9%
Phillips 66
—
$219.67M
1,205,785
0.9%
VICI PROPERTIES INC.
—
$215.04M
7,871,258
0.8%
Valero Energy Corp
—
$213.92M
865,809
0.8%
Howmet Aerospace Inc.
—
$211.54M
917,914
0.8%
INCYTE CORP
—
$201.87M
2,144,847
0.8%
Arista Networks, Inc.
ANET
Common Stock
$186.18M
1,516,368
0.7%
GENERAL DYNAMICS CORP
—
$179.84M
523,970
0.7%
ALLSTATE CORP
—
$176.06M
849,135
0.7%
TE Connectivity PLC
—
$173.64M
830,720
0.7%
Tesla Inc
—
$166.08M
446,758
0.7%
HCA Healthcare, Inc.
—
$152.10M
321,398
0.6%
FREEPORT-MCMORAN INC
—
$142.96M
2,432,161
0.6%
General Motors Co
—
$136.41M
1,830,971
0.5%
EVERSOURCE ENERGY
—
$134.98M
1,948,273
0.5%
EXELIXIS, INC.
—
$133.07M
3,102,634
0.5%
Expedia Group Inc
—
$132.08M
572,034
0.5%
APPLIED MATERIALS INC /DE
—
$130.37M
381,446
0.5%
IDEXX LABORATORIES INC /DE
—
$127.76M
227,369
0.5%
GE Vernova Inc.
—
$124.14M
142,210
0.5%
RTX Corp
—
$123.56M
640,530
0.5%
Marathon Petroleum Corp
—
$122.49M
501,646
0.5%
Marvell Technology, Inc.
—
$121.52M
1,226,864
0.5%
EDISON INTERNATIONAL
—
$119.17M
1,628,462
0.5%
UNIVERSAL HEALTH SERVICES INC
—
$118.94M
664,576
0.5%
VERIZON COMMUNICATIONS INC
—
$116.12M
2,313,232
0.5%
BANK OF AMERICA CORP /DE
—
$115.82M
2,375,776
0.5%
Palantir Technologies Inc
—
$113.84M
778,210
0.4%
Carnival Corp Ltd.
—
$113.80M
4,397,253
0.4%
AMERICAN INTERNATIONAL GROUP, INC.
—
$111.91M
1,487,194
0.4%
WELLS FARGO & COMPANY/MN
—
$109.49M
1,375,304
0.4%
Dell Technologies Inc.
—
$109.24M
665,582
0.4%
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