0001483339-15-000008.txt : 20150513
0001483339-15-000008.hdr.sgml : 20150513
20150513153940
ACCESSION NUMBER: 0001483339-15-000008
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20150331
FILED AS OF DATE: 20150513
DATE AS OF CHANGE: 20150513
EFFECTIVENESS DATE: 20150513
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Walthausen & Co., LLC
CENTRAL INDEX KEY: 0001483339
IRS NUMBER: 260681507
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-13672
FILM NUMBER: 15858152
BUSINESS ADDRESS:
STREET 1: 2691 ROUTE 9, SUITE 102
CITY: MALTA
STATE: NY
ZIP: 12020
BUSINESS PHONE: (518) 371-3450
MAIL ADDRESS:
STREET 1: 2691 ROUTE 9, SUITE 102
CITY: MALTA
STATE: NY
ZIP: 12020
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001483339
XXXXXXXX
03-31-2015
03-31-2015
Walthausen & Co., LLC
2691 ROUTE 9, SUITE 102
MALTA
NY
12020
13F COMBINATION REPORT
028-13672
028-12592
The Bank of New York Mellon
N
Mark Hodge
Managing Director, Chief Compliance Officer
518-348-7217
Mark Hodge
Malta
NY
05-13-2015
0
128
1368002
false
INFORMATION TABLE
2
inftableq115.xml
AAON Inc
Com
000360206
15400
627784
SH
SOLE
613302
0
14482
AZZ Inc
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002474104
16732
359130
SH
SOLE
350740
0
8390
Addus Homecare Corp
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006739106
5687
247066
SH
SOLE
241286
0
5780
Albany International Corp
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012348108
14772
371631
SH
SOLE
362861
0
8770
Allied Motion Technologies Inc
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019330109
4211
126861
SH
SOLE
126861
0
0
American Financial Group Inc
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025932104
6298
98175
SH
SOLE
97315
0
860
American Public Education Inc
Com
02913V103
9487
316432
SH
SOLE
309062
0
7370
American Vanguard Corp
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030371108
13037
1227580
SH
SOLE
1196440
0
31140
Amtech Systems Inc
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032332504
2654
237410
SH
SOLE
237410
0
0
Aptar Group Inc
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038336103
6161
96992
SH
SOLE
96232
0
760
Assurant Inc
Com
04621X108
5578
90831
SH
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90056
0
775
Avery Dennison Corp
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053611109
5969
112808
SH
SOLE
111698
0
1110
Avnet Inc
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053807103
5695
127972
SH
SOLE
126702
0
1270
Bank Of Hawaii Corp
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062540109
6661
108830
SH
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107910
0
920
Bassett Furniture Inds Inc
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070203104
9707
340352
SH
SOLE
340352
0
0
Bel Fuse Inc
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077347300
7155
375975
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SOLE
367095
0
8880
Big Lots Inc
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089302103
25529
531517
SH
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521097
0
10420
Briggs & Stratton Corp
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109043109
16443
800550
SH
SOLE
781850
0
18700
Brocade Communications Systems
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111621306
6083
512667
SH
SOLE
507767
0
4900
Bryn Mawr Bank Corp
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117665109
13893
456843
SH
SOLE
446333
0
10510
CF Industries Holdings Inc
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125269100
391
1380
SH
SOLE
1380
0
0
CNA Financial Corp
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126117100
474
11450
SH
SOLE
11450
0
0
CSS Industries Inc
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125906107
8985
298003
SH
SOLE
291113
0
6890
CVB Financial Corp
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126600105
16037
1006075
SH
SOLE
982345
0
23730
Cambrex Corp
Com
132011107
16052
405044
SH
SOLE
395584
0
9460
Capella Education Company
Com
139594105
18226
280920
SH
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274390
0
6530
Carlisle Companies Inc
Com
142339100
6255
67530
SH
SOLE
66870
0
660
Casella Waste Systems Inc
Com
147448104
579
105290
SH
SOLE
105290
0
0
Chart Industries Inc
Com
16115Q308
7025
200295
SH
SOLE
195535
0
4760
Chase Corporation
Com
16150R104
539
12320
SH
SOLE
12320
0
0
Chicago Bridge & Iron Co
Com
167250109
7793
158200
SH
SOLE
156910
0
1290
City Holding Company
Com
177835105
13285
282488
SH
SOLE
275208
0
7280
Cliffs Natural Resources Inc
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18683K101
20941
4353600
SH
SOLE
4263470
0
90130
Columbus McKinnon Corp
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199333105
5966
221467
SH
SOLE
215227
0
6240
Commerce Bancshares Inc
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200525103
6158
145509
SH
SOLE
144228
0
1281
Community Bank Systems Inc
Com
203607106
13977
394943
SH
SOLE
385913
0
9030
Computer Sciences Corp
Com
205363104
460
7040
SH
SOLE
7040
0
0
Convergys Corp
Com
212485106
17311
756910
SH
SOLE
738240
0
18670
Corvel Corp
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221006109
4399
127830
SH
SOLE
124760
0
3070
Courier Corp
Com
222660102
540
22040
SH
SOLE
22040
0
0
DST Systems Inc
Com
233326107
6636
59940
SH
SOLE
59420
0
520
Dean Foods Company
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242370203
16352
989240
SH
SOLE
965490
0
23750
Deluxe Corp
Com
248019101
6807
98253
SH
SOLE
97393
0
860
Devry Inc
Com
251893103
5215
156324
SH
SOLE
155184
0
1140
Digital Globe Inc
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25389M877
13128
385333
SH
SOLE
376353
0
8980
Dime Community Bancshares Inc
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253922108
14843
921895
SH
SOLE
900255
0
21640
EMCOR Group Inc
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29084Q100
6568
141340
SH
SOLE
140130
0
1210
ERA Group Inc
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26885G109
11619
557525
SH
SOLE
544615
0
12910
Eagle Bancorp Inc
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268948106
24212
630516
SH
SOLE
616596
0
13920
Exlservice Holdings Inc
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302081104
22140
595160
SH
SOLE
581490
0
13670
Ferro Corp
Com
315405100
16808
1339320
SH
SOLE
1307100
0
32220
Fifth Third Bancorp
Com
316773100
359
19060
SH
SOLE
19060
0
0
First Financial BanCorp
Com
320209109
16664
935660
SH
SOLE
913550
0
22110
First Niagara Financial Group
Com
33582V108
22755
2574060
SH
SOLE
2523750
0
50310
First Republic Bank
Com
33616C100
470
8230
SH
SOLE
8230
0
0
Freightcar America Inc
Com
357023100
6304
200560
SH
SOLE
195890
0
4670
GNC Holdings Inc
Com
36191G107
7102
144737
SH
SOLE
143517
0
1220
Gamestop Corp.
Com
36467W109
6432
169448
SH
SOLE
168108
0
1340
Gentex Corp
Com
371901109
448
24480
SH
SOLE
24480
0
0
Graham Holdings Company
Com
384637104
6723
6405
SH
SOLE
6355
0
50
Great Southern Bancorp
Com
390905107
10208
259160
SH
SOLE
253240
0
5920
Hardinge Inc
Com
412324303
1551
133700
SH
SOLE
133700
0
0
Harsco Corp
Com
415864107
22836
1323070
SH
SOLE
1298850
0
24220
Haverty Furniture Cos Inc
Com
419596101
11425
459210
SH
SOLE
448230
0
10980
HealthSouth Corp
Com
421924309
7159
161377
SH
SOLE
159832
0
1545
Hexcel Corp
Com
428291108
7349
142926
SH
SOLE
141581
0
1345
Horace Mann Educators Corp
Com
440327104
23191
678095
SH
SOLE
664845
0
13250
Independent Bank Corp
Com
453836108
6109
139248
SH
SOLE
138158
0
1090
Innodata Inc
Com
457642205
82
31300
SH
SOLE
31300
0
0
Interval Leisure Group Inc
Com
46113M108
19444
741870
SH
SOLE
724400
0
17470
Intrepid Potash Inc
Com
46121Y102
13284
1150130
SH
SOLE
1123090
0
27040
Kaiser Aluminum Corp
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483007704
18266
237560
SH
SOLE
231900
0
5660
Kimball Electronics Inc
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49428J109
4232
299299
SH
SOLE
292339
0
6960
Kindred Healthcare Inc
Com
494580103
27909
1173149
SH
SOLE
1149252
0
23897
LSB Industries Inc
Com
502160104
20778
502737
SH
SOLE
491102
0
11635
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Com
511656100
16331
402450
SH
SOLE
392920
0
9530
Lawson Products Inc
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520776105
7658
329960
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322700
0
7260
Lexmark International Inc
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529771107
17852
421637
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SOLE
413987
0
7650
Lionbridge Technologies Inc
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536252109
5661
989668
SH
SOLE
966278
0
23390
Lydall Inc
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550819106
6260
197363
SH
SOLE
192708
0
4655
M/I Homes Inc
Com
55305B101
16621
697170
SH
SOLE
677370
0
19800
Mallinckrodt PLC
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G5785G107
513
4050
SH
SOLE
4050
0
0
Materion Corp
Com
576690101
15653
407299
SH
SOLE
398829
0
8470
Mercer Int'l Inc
Com
588056101
9025
587574
SH
SOLE
573854
0
13720
Modine Manufacturing Co
Com
607828100
16883
1253411
SH
SOLE
1223771
0
29640
Mueller Water Products Inc
Com
624758108
16614
1686700
SH
SOLE
1646680
0
40020
Multi-Color Corp
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625383104
19221
277239
SH
SOLE
270649
0
6590
Nevsun Resources Limited
Com
64156L101
6924
2042580
SH
SOLE
1994180
0
48400
New York Community Bancorp
Com
649445103
480
28700
SH
SOLE
28700
0
0
Outfront Media Inc
Com
69007J106
6807
227517
SH
SOLE
225476
0
2041
Parker-Hannifin Corp
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701094104
432
3640
SH
SOLE
3640
0
0
Petroquest Energy Inc
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716748108
3640
1582820
SH
SOLE
1545790
0
37030
Ply Gem Holdings Inc
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72941W100
19225
1478850
SH
SOLE
1444450
0
34400
Polyone Corp
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73179P106
5661
151555
SH
SOLE
150015
0
1540
Primerica Inc
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74164M108
23507
461835
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SOLE
452595
0
9240
Range Resources Corp
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75281A109
447
8580
SH
SOLE
8580
0
0
Remy International Inc
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75971M108
12836
577920
SH
SOLE
564100
0
13820
Rex Energy Corp
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761565100
6350
1707110
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SOLE
1667580
0
39530
School Specialty Inc
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807864103
1485
15000
SH
SOLE
15000
0
0
Scripps Networks Interactive
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811065101
391
5700
SH
SOLE
5700
0
0
Seaworld Entertainment Inc
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81282V100
21158
1097420
SH
SOLE
1075720
0
21700
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82669G104
6680
51550
SH
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51110
0
440
Sonus Networks Inc
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835916503
7391
937978
SH
SOLE
915712
0
22266
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84470P109
15253
531640
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519070
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17879
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SH
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212252
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5440
Steelcase Inc
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858155203
24332
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1259070
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25630
Stock Yard Bancorp Inc
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861025104
6311
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4340
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13828
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87074U101
5718
219770
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217860
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1910
Symetra Financial Corp
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87151Q106
6445
274723
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Synnex Corp
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87162W100
16929
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213980
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5160
Trico Bancshares
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11828
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16590
Trinity Industries Inc
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896522109
7101
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SOLE
198085
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1900
TrustCo Bank Corp
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898349105
15695
2281218
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2226376
0
54842
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901109108
17129
733580
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716440
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17140
Ultra Petroleum Corp
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903914109
4689
300030
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296540
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3490
Unifi Inc
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560679
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14540
Unifirst Corp
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490
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16617
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432
16610
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16610
0
0
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23264
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1649566
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33780
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16440
217380
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212240
0
5140
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14602
1035589
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1010959
0
24630
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13829
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429500
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10760
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406
5640
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5640
0
0
Wilshire Bancorp Inc
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97186T108
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1545330
0
37600
Winnebago Industries Inc
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974637100
16271
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747606
0
17740