Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
EARNEST PARTNERS LLC 11-14-2019 09-30-2019 1186 11,067,437,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
ICON PLC COM 1 $308,028,000 2,090,593 2.78 2.93 -13,390 -0.64 09-30-2019
HEXCEL CORP COM 2 $219,109,000 2,667,830 1.98 1.93 20,743 0.78 09-30-2019
TELEDYNE TECH COM 3 $184,355,000 572,550 1.67 1.41 3,107 0.55 09-30-2019
ICICI BANK-ADR ADR 4 $172,819,000 14,188,722 1.56 1.61 -4,106 -0.03 09-30-2019
CABOT MICROELEC COM 5 $172,269,000 1,219,946 1.56 1.20 17,322 1.44 09-30-2019
FIRSTCASH INC COM 6 $172,076,000 1,877,129 1.55 1.67 33,436 1.81 09-30-2019
REINSURANCE GROU COM 7 $170,583,000 1,066,947 1.54 1.47 26,529 2.55 09-30-2019
NOVARTIS AG-ADR ADR 8 $168,609,000 1,940,267 1.52 1.59 11,281 0.58 09-30-2019
HDFC BANK-ADR ADR 9 $157,309,000 2,757,394 1.42 1.61 1,385,840 101.04 09-30-2019
EVEREST RE GROUP COM 10 $155,506,000 584,411 1.41 1.31 -467 -0.08 09-30-2019
ENTEGRIS INC COM 11 $147,835,000 3,141,416 1.34 1.04 67,848 2.21 09-30-2019
RAYMOND JAMES FINANCIAL INC COM 12 $145,425,000 1,763,577 1.31 1.40 -64,963 -3.55 09-30-2019
CORE LABS NV COM 13 $134,194,000 2,878,463 1.21 1.09 569,924 24.69 09-30-2019
BANCO BRADESCO-ADR ADR 14 $133,561,000 16,407,926 1.21 1.46 7,459 0.05 09-30-2019
ALBANY INTERNATIONAL CORP. CL A COM 15 $128,950,000 1,430,232 1.17 1.08 -10,527 -0.73 09-30-2019
STEELCASE INC-A COM 16 $128,414,000 6,979,003 1.16 0.86 1,435,837 25.90 09-30-2019
MONOLITHIC POWER COM 17 $127,485,000 819,156 1.15 0.99 8,590 1.06 09-30-2019
GATX CORP COM 18 $127,461,000 1,644,022 1.15 1.18 195 0.01 09-30-2019
SCOTTS MIRACLE-A COM 19 $126,354,000 1,240,959 1.14 1.09 21,199 1.74 09-30-2019
CATALENT INC COM 20 $120,597,000 2,530,365 1.09 1.24 -5,386 -0.21 09-30-2019
BANCOLOMBIA-ADR ADR 21 $118,553,000 2,397,425 1.07 1.11 -838 -0.03 09-30-2019
CHECK POINT SOFT COM 22 $115,741,000 1,056,993 1.05 0.99 108,245 11.41 09-30-2019
CARNIVAL CORP COM 23 $112,559,000 2,575,132 1.02 1.07 28,498 1.12 09-30-2019
FLIR SYSTEMS COM 24 $112,014,000 2,129,955 1.01 1.03 28,984 1.38 09-30-2019
GLOBAL PAYMENTS COM 25 $110,848,000 697,159 1.00 0.70 213,248 44.07 09-30-2019
CABOT CORP COM 26 $110,276,000 2,433,271 1.00 1.03 50,905 2.14 09-30-2019
EQUINOR ASA-ADR ADR 27 $108,565,000 5,729,033 0.98 1.02 14,450 0.25 09-30-2019
MAGNA INTL COM 28 $108,548,000 2,035,084 0.98 0.91 21,222 1.05 09-30-2019
DARLING INGREDIE COM 29 $105,842,000 5,532,789 0.96 0.98 89,045 1.64 09-30-2019
MANTECH INTL-A COM 30 $102,448,000 1,434,652 0.93 0.85 -1,659 -0.12 09-30-2019
FRANKLIN ELEC CO COM 31 $102,009,000 2,133,635 0.92 0.91 3,469 0.16 09-30-2019
STIFEL FINANCIAL COM 32 $101,871,000 1,775,380 0.92 0.86 154,610 9.54 09-30-2019
STAG INDUSTRIAL INC. REIT 33 $101,854,000 3,455,030 0.92 0.92 92,147 2.74 09-30-2019
CORP OFFICE PROP REIT 34 $100,954,000 3,389,995 0.91 0.80 32,901 0.98 09-30-2019
RIO TINTO-ADR ADR 35 $100,939,000 1,937,783 0.91 1.24 -263,694 -11.98 09-30-2019
CASELLA WASTE COM 36 $98,578,000 2,295,717 0.89 0.82 13,848 0.61 09-30-2019
SANMINA CORP COM 37 $97,845,000 3,047,171 0.88 0.83 12,703 0.42 09-30-2019
DR HORTON INC COM 38 $97,769,000 1,854,847 0.88 0.71 37,857 2.08 09-30-2019
MYRIAD GENETICS COM 39 $97,006,000 3,388,249 0.88 3,388,249 +Inf 09-30-2019
LITTELFUSE INC COM 40 $95,361,000 537,819 0.86 0.86 2,418 0.45 09-30-2019
MERITAGE HOMES C COM 41 $94,767,000 1,347,078 0.86 0.97 -748,206 -35.71 09-30-2019
ENERSYS COM 42 $94,372,000 1,431,184 0.85 0.87 22,949 1.63 09-30-2019
FIRST MERCHANTS COM 43 $93,390,000 2,481,460 0.84 0.62 673,377 37.24 09-30-2019
CREDIT SUISS-ADR ADR 44 $92,202,000 7,551,319 0.83 0.82 5,488 0.07 09-30-2019
EMERGENT BIOSOLU COM 45 $91,252,000 1,745,453 0.82 0.74 53,282 3.15 09-30-2019
TJX COS INC COM 46 $90,264,000 1,619,379 0.82 0.79 -33,989 -2.06 09-30-2019
CBRE GROUP INC COM 47 $90,198,000 1,701,535 0.81 0.77 34,467 2.07 09-30-2019
SYNOPSYS INC COM 48 $90,147,000 656,811 0.81 0.76 5,724 0.88 09-30-2019
FORMFACTOR INC COM 49 $89,853,000 4,819,164 0.81 0.68 16,888 0.35 09-30-2019
TIMKEN CO COM 50 $86,788,000 1,994,659 0.78 0.91 43,640 2.24 09-30-2019
UNITED BANKSHS COM 51 $82,026,000 2,165,983 0.74 0.71 36,382 1.71 09-30-2019
Debug Info- Version: 2.1