Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
EARNEST PARTNERS LLC 08-13-2019 06-30-2019 1194 11,067,572,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
ICON PLC COM 1 $323,950,000 2,103,983 2.93 2.79 -35,408 -1.66
HEXCEL CORP COM 2 $214,096,000 2,647,087 1.93 1.83 -122,097 -4.41
FIRSTCASH INC COM 3 $184,406,000 1,843,693 1.67 1.52 5,479 0.30
ICICI BANK-ADR ADR 4 $178,688,000 14,192,828 1.61 1.59 -317,447 -2.19
HDFC BANK-ADR ADR 5 $178,357,000 1,371,554 1.61 1.53 -10,807 -0.78
NOVARTIS AG-ADR ADR 6 $176,136,000 1,928,986 1.59 1.79 -20,544 -1.05
REINSURANCE GROU COM 7 $162,336,000 1,040,418 1.47 1.37 30,881 3.06
BANCO BRADESCO-ADR ADR 8 $161,053,000 16,400,467 1.46 1.46 2,410,188 17.23
TELEDYNE TECH COM 9 $155,953,000 569,443 1.41 1.39 -45,429 -7.39
RAYMOND JAMES FINANCIAL INC COM 10 $154,603,000 1,828,540 1.40 1.39 18,070 1.00
EVEREST RE GROUP COM 11 $144,570,000 584,878 1.31 1.23 -9,289 -1.56
CATALENT INC COM 12 $137,463,000 2,535,751 1.24 0.98 -199 -0.01
RIO TINTO-ADR ADR 13 $137,240,000 2,201,477 1.24 1.25 -27,474 -1.23
OSI SYSTEMS INC COM 14 $134,513,000 1,194,291 1.22 1.00 2,580 0.22
CABOT MICROELEC COM 15 $132,385,000 1,202,624 1.20 1.27 16,306 1.37
GATX CORP COM 16 $130,339,000 1,643,827 1.18 1.19 11,355 0.70
BANCOLOMBIA-ADR ADR 17 $122,407,000 2,398,263 1.11 1.20 -63,298 -2.57
CORE LABS NV COM 18 $120,690,000 2,308,539 1.09 1.27 377,223 19.53
SCOTTS MIRACLE-A COM 19 $120,146,000 1,219,760 1.09 0.96 -55,893 -4.38
ALBANY INTERNATIONAL CORP. CL A COM 20 $119,453,000 1,440,759 1.08 0.98 11,569 0.81
CARNIVAL CORP COM 21 $118,546,000 2,546,634 1.07 1.25 -36,385 -1.41
ENTEGRIS INC COM 22 $114,706,000 3,073,568 1.04 1.06 -29,159 -0.94
FLIR SYSTEMS COM 23 $113,663,000 2,100,971 1.03 0.96 -7,136 -0.34
CABOT CORP COM 24 $113,663,000 2,382,366 1.03 0.60 873,528 57.89
EQUINOR ASA-ADR ADR 25 $113,034,000 5,714,583 1.02 1.21 -41,994 -0.73
MONOLITHIC POWER COM 26 $110,059,000 810,566 0.99 1.06 -9,241 -1.13
CHECK POINT SOFT COM 27 $109,685,000 948,748 0.99 1.16 -11,747 -1.22
DARLING INGREDIE COM 28 $108,276,000 5,443,744 0.98 1.11 65,921 1.23
MERITAGE HOMES C COM 29 $107,572,000 2,095,284 0.97 0.89 13,301 0.64
STAG INDUSTRIAL INC. REIT 30 $101,694,000 3,362,883 0.92 3,362,883 +Inf
FRANKLIN ELEC CO COM 31 $101,183,000 2,130,166 0.91 1.03 19,417 0.92
MAGNA INTL COM 32 $100,417,000 2,013,862 0.91 0.94 -15,608 -0.77
TIMKEN CO COM 33 $100,165,000 1,951,019 0.91 0.81 14,670 0.76
ENERSYS COM 34 $96,464,000 1,408,235 0.87 0.87 10,581 0.76
XILINX INC COM 35 $95,871,000 813,020 0.87 0.97 10,812 1.35
STIFEL FINANCIAL COM 36 $95,723,000 1,620,770 0.86 0.80 34,140 2.15
BHP BILLITON-ADR ADR 37 $95,030,000 1,635,347 0.86 0.87 -25,398 -1.53
STEELCASE INC-A COM 38 $94,788,000 5,543,166 0.86 0.45 2,273,553 69.54
LITTELFUSE INC COM 39 $94,718,000 535,401 0.86 0.92 4,956 0.93
MANTECH INTL-A COM 40 $94,581,000 1,436,311 0.85 0.74 4,231 0.30
SANMINA CORP COM 41 $91,884,000 3,034,468 0.83 0.83 36,179 1.21
CASELLA WASTE COM 42 $90,430,000 2,281,869 0.82 0.76 33,545 1.49
CREDIT SUISS-ADR ADR 43 $90,324,000 7,545,831 0.82 0.82 162,808 2.21
MOOG INC-CLASS A COM 44 $89,753,000 958,798 0.81 0.79 13,078 1.38
CORP OFFICE PROP REIT 45 $88,527,000 3,357,094 0.80 3,357,094 +Inf
TJX COS INC COM 46 $87,430,000 1,653,368 0.79 0.79 89,691 5.74
CBRE GROUP INC COM 47 $85,521,000 1,667,068 0.77 0.78 22,396 1.36
MOLINA HEALTHCAR COM 48 $85,110,000 594,594 0.77 0.81 -4,647 -0.78
SYNOPSYS INC COM 49 $83,788,000 651,087 0.76 0.68 37,333 6.08
EMERGENT BIOSOLU COM 50 $81,749,000 1,692,171 0.74 0.09 1,516,013 860.60
AUTODESK INC COM 51 $78,999,000 484,952 0.71 0.74 -8,993 -1.82
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