Dean Capital Management

Dean Capital Management as of Dec. 31, 2012

Portfolio Holdings for Dean Capital Management

Dean Capital Management holds 73 positions in its portfolio as reported in the December 2012 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Crane 2.2 $25k 550.00 45.45
Urs Corp 2.2 $25k 625.00 40.00
Kkr Financial Hldgs 2.2 $25k 2.3k 10.73
Horizon Bancorp Indiana cs 440 2.2 $25k 1.3k 19.73
Mts Systems Corp cs 553 2.2 $25k 485.00 51.55
Kennametal 2.1 $24k 605.00 39.67
Protective Life Corp 2.0 $23k 795.00 28.93
Helen Of Troy Corp Ltd C om g43 2.0 $23k 680.00 33.82
Magellan Health Svcs Inc C om new 559 2.0 $23k 465.00 49.46
Schweitzer-mauduit Intl Inc C om 808 2.0 $23k 590.00 38.98
Tech Data 2.0 $23k 500.00 46.00
American Eqty Invt Life 2.0 $23k 1.9k 12.27
Commercial Metals 1.9 $22k 1.5k 15.17
Tupperware Brands 1.8 $21k 335.00 62.69
Tenne 1.8 $21k 590.00 35.59
Triumph Group Inc cs 896 1.8 $21k 315.00 66.67
Genes 1.8 $21k 385.00 54.55
Ryder System 1.7 $20k 405.00 49.38
United Stationers 1.7 $20k 655.00 30.53
Primerica 1.7 $20k 670.00 29.85
Spectrum Brands Holdings Inc cs 847 1.7 $20k 450.00 44.44
Koppers Holdings Inc cs 500 1.7 $20k 535.00 37.38
Amerco C om 023 1.6 $19k 350.00 54.29
Anixter Intl 1.6 $19k 295.00 64.41
Ascena Retail Group Inc Com equity 043 1.6 $19k 1.1k 18.10
Dana Hldg Corp C om 235 1.6 $18k 1.1k 15.79
Trinity Industries 1.6 $18k 495.00 36.36
Hospitality Properties Trust 1.5 $17k 745.00 22.82
Atwood Oceanics 1.5 $17k 365.00 46.58
Investors Ban 1.5 $17k 970.00 17.53
Career Education Corp 1.4 $16k 730.00 21.92
Andersons Inc C om 034 1.4 $16k 370.00 43.24
Cloud Peak Energy Inc cs 189 1.4 $16k 830.00 19.28
Silicon Graphics Inc. Com 827 1.3 $15k 1.3k 11.36
Amtrust Financial Services cs 032 1.3 $15k 517.00 29.01
Wabash National Corp cs 929 1.3 $15k 1.7k 8.90
Tronox Ltd-cl A cs q92 1.3 $15k 805.00 18.63
Big Lots 1.2 $14k 500.00 28.00
Mens Wearhouse Inc C om 587 1.2 $14k 455.00 30.77
Datalink Corp cs 237 1.2 $14k 1.7k 8.36
Kmg Chemicals Inc cs 482 1.2 $14k 785.00 17.83
Barnes Group 1.1 $13k 1.2k 11.21
Harman International 1.1 $13k 285.00 45.61
John Bean Technologies cs 477 1.1 $13k 735.00 17.69
Enersys 1.1 $13k 335.00 38.81
Columbus Mckinnon Corp N Y cs 199 1.1 $13k 780.00 16.67
Ptc Inc. cs 693 1.1 $13k 565.00 23.01
Summit Hotel Properties Inc cs 866 1.1 $13k 1.4k 9.59
Chatham Lodging Trust 1.0 $12k 760.00 15.79
Eog Resources 1.0 $12k 105.00 114.29
Flir Systems 1.0 $12k 545.00 22.02
Finish Line Inc C l a 317 1.0 $12k 640.00 18.75
Oshkosh Corp C om 688 1.0 $12k 400.00 30.00
Emcor Group Inc equity 290 1.0 $12k 360.00 33.33
Tal Intl 1.0 $12k 330.00 36.36
Zynga Inc - Cl A 1.0 $12k 2.1k 5.84
Cash America Intl 1.0 $12k 305.00 39.34
Cirrus Logic 1.0 $12k 430.00 27.91
Investors Title Co cs 461 1.0 $12k 200.00 60.00
Methode Electronics Inc cs 591 1.0 $12k 1.2k 9.80
Health Net 0.9 $11k 450.00 24.44
Bbcn Bancorp Inc cs 073 0.9 $11k 970.00 11.34
C&j Energy Services 0.9 $11k 535.00 20.56
Greenlight Capital Re Ltd cs g40 0.9 $11k 485.00 22.68
Olin 0.9 $11k 530.00 20.75
Lmi Aerospace Inc cs 502 0.9 $11k 590.00 18.64
Barnes Group 0.9 $10k 460.00 21.74
Monarch Casino & Resort Inc cs 609 0.9 $10k 911.00 10.98
Allegheny Technologies 0.5 $6.0k 210.00 28.57
Assured Guaranty 0.5 $6.0k 405.00 14.81
Hill-rom Holdings 0.5 $6.0k 195.00 30.77
Exco Resources Inc cs 269 0.5 $6.0k 830.00 7.23
World Accep 0.5 $6.0k 85.00 70.59