Dean Capital Management

Dean Capital Management as of Dec. 31, 2013

Portfolio Holdings for Dean Capital Management

Dean Capital Management holds 69 positions in its portfolio as reported in the December 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
American Equity Investment Life Holding (AEL) 2.9 $243k 9.2k 26.48
Horizon Ban (HBNC) 2.6 $225k 8.9k 25.20
AZZ Incorporated (AZZ) 2.6 $221k 4.5k 48.71
MTS Systems Corporation 2.5 $215k 3.0k 70.97
Schweitzer-Mauduit International (MATV) 2.5 $215k 4.2k 51.45
United Stationers 2.4 $202k 4.4k 45.88
Atwood Oceanics 2.4 $200k 3.7k 53.56
Koppers Holdings (KOP) 2.3 $193k 4.2k 45.80
Helen Of Troy (HELE) 2.2 $190k 3.8k 49.57
Genes (GCO) 2.2 $190k 2.6k 72.96
Protective Life 2.2 $186k 3.7k 51.03
URS Corporation 2.2 $185k 3.5k 52.58
Tech Data Corporation 2.1 $178k 3.4k 51.67
Select Medical Holdings Corporation (SEM) 2.0 $171k 15k 11.63
Magellan Health Services 2.0 $171k 2.8k 60.47
Primerica (PRI) 1.9 $164k 3.9k 42.55
Crane 1.9 $158k 2.4k 66.67
National Beverage (FIZZ) 1.8 $151k 7.5k 20.22
Triumph (TGI) 1.8 $150k 2.0k 76.42
C&F Financial Corporation (CFFI) 1.7 $148k 3.3k 45.23
Royal Gold (RGLD) 1.7 $141k 3.1k 45.60
Bryn Mawr Bank 1.7 $142k 4.7k 29.93
Stepan Company (SCL) 1.7 $141k 2.2k 65.15
Chatham Lodging Trust (CLDT) 1.6 $138k 6.7k 20.64
Hillenbrand (HI) 1.6 $134k 4.6k 29.30
Cbiz (CBZ) 1.6 $131k 14k 9.15
Laclede 1.5 $131k 2.8k 45.98
Cato Corporation (CATO) 1.5 $128k 4.0k 31.97
Anixter International 1.5 $127k 1.4k 89.13
Summit Hotel Properties (INN) 1.5 $127k 14k 8.92
CEC Entertainment 1.5 $126k 2.8k 44.83
Ensign (ENSG) 1.4 $123k 2.8k 44.31
Cal-Maine Foods (CALM) 1.4 $121k 2.0k 60.66
R.G. Barry 1.4 $122k 6.3k 19.27
John Wiley & Sons (WLY) 1.4 $118k 2.1k 55.38
Houston Wire & Cable Company 1.4 $116k 8.7k 13.31
Investors Title Company (ITIC) 1.3 $108k 1.3k 80.46
Casey's General Stores (CASY) 1.2 $105k 1.5k 70.33
John Bean Technologies Corporation (JBT) 1.2 $105k 3.6k 29.49
Ryman Hospitality Pptys (RHP) 1.2 $100k 2.4k 41.67
Arris 1.2 $99k 4.0k 24.58
Barnes (B) 1.2 $99k 2.6k 38.71
U.S. Physical Therapy (USPH) 1.2 $98k 2.8k 35.71
Nicholas Financial (NICK) 1.2 $99k 6.3k 15.62
World Fuel Services Corporation (WKC) 1.1 $94k 2.2k 42.75
Cash America International 1.1 $92k 2.4k 38.22
Darling International (DAR) 1.1 $90k 4.2k 21.25
Aaron's 1.1 $89k 3.0k 29.35
Andersons (ANDE) 1.1 $89k 992.00 90.00
ExlService Holdings (EXLS) 1.1 $89k 3.3k 27.18
FirstMerit Corporation 1.0 $89k 4.1k 21.86
ePlus (PLUS) 1.0 $88k 1.6k 56.52
WGL Holdings 1.0 $87k 2.1k 40.37
Ryder System (R) 1.0 $86k 1.2k 73.24
Olin Corporation (OLN) 1.0 $85k 2.9k 29.05
United Financial Ban 1.0 $85k 4.6k 18.57
Enstar Group (ESGR) 1.0 $84k 604.00 138.46
Computer Programs & Systems (TBRG) 1.0 $84k 1.3k 62.92
C&j Energy Services 1.0 $83k 3.6k 22.83
Emcor (EME) 1.0 $83k 2.0k 41.79
Dime Community Bancshares 1.0 $82k 4.8k 17.12
Bbcn Ban 0.9 $79k 4.7k 16.84
National CineMedia 0.5 $46k 2.3k 20.44
Kadant (KAI) 0.5 $43k 1.1k 40.00
Preformed Line Products Company (PLPC) 0.5 $43k 570.00 75.00
Innospec (IOSP) 0.5 $42k 875.00 47.46
Innophos Holdings 0.5 $41k 825.00 50.00
Applied Industrial Technologies (AIT) 0.5 $40k 835.00 47.27
Myr (MYRG) 0.5 $39k 1.5k 25.49