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 Com 002474104 16732 359130 SH SOLE 350740 0 8390 Addus Homecare Corp Com 006739106 5687 247066 SH SOLE 241286 0 5780 Albany International Corp Com 012348108 14772 371631 SH SOLE 362861 0 8770 Allied Motion Technologies Inc Com 019330109 4211 126861 SH SOLE 126861 0 0 American Financial Group Inc Com 025932104 6298 98175 SH SOLE 97315 0 860 American Public Education Inc Com 02913V103 9487 316432 SH SOLE 309062 0 7370 American Vanguard Corp Com 030371108 13037 1227580 SH SOLE 1196440 0 31140 Amtech Systems Inc Com 032332504 2654 237410 SH SOLE 237410 0 0 Aptar Group Inc Com 038336103 6161 96992 SH SOLE 96232 0 760 Assurant Inc Com 04621X108 5578 90831 SH SOLE 90056 0 775 Avery Dennison Corp Com 053611109 5969 112808 SH SOLE 111698 0 1110 Avnet Inc Com 053807103 5695 127972 SH SOLE 126702 0 1270 Bank Of Hawaii Corp Com 062540109 6661 108830 SH SOLE 107910 0 920 Bassett Furniture Inds Inc Com 070203104 9707 340352 SH SOLE 340352 0 0 Bel Fuse Inc Com 077347300 7155 375975 SH SOLE 367095 0 8880 Big Lots Inc Com 089302103 25529 531517 SH SOLE 521097 0 10420 Briggs & Stratton Corp Com 109043109 16443 800550 SH SOLE 781850 0 18700 Brocade Communications Systems Com 111621306 6083 512667 SH SOLE 507767 0 4900 Bryn Mawr Bank Corp Com 117665109 13893 456843 SH SOLE 446333 0 10510 CF Industries Holdings Inc Com 125269100 391 1380 SH SOLE 1380 0 0 CNA Financial Corp Com 126117100 474 11450 SH SOLE 11450 0 0 CSS Industries Inc Com 125906107 8985 298003 SH SOLE 291113 0 6890 CVB Financial Corp Com 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 SOLE 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 Com 18683K101 20941 4353600 SH SOLE 4263470 0 90130 Columbus McKinnon Corp Com 199333105 5966 221467 SH SOLE 215227 0 6240 Commerce Bancshares Inc Com 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 Com 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 Com 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 Com 25389M877 13128 385333 SH SOLE 376353 0 8980 Dime Community Bancshares Inc Com 253922108 14843 921895 SH SOLE 900255 0 21640 EMCOR Group Inc Com 29084Q100 6568 141340 SH SOLE 140130 0 1210 ERA Group Inc Com 26885G109 11619 557525 SH SOLE 544615 0 12910 Eagle Bancorp Inc Com 268948106 24212 630516 SH SOLE 616596 0 13920 Exlservice Holdings Inc Com 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 Com 483007704 18266 237560 SH SOLE 231900 0 5660 Kimball Electronics Inc Com 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 Lakeland Financial Corp Com 511656100 16331 402450 SH SOLE 392920 0 9530 Lawson Products Inc Com 520776105 7658 329960 SH SOLE 322700 0 7260 Lexmark International Inc Com 529771107 17852 421637 SH SOLE 413987 0 7650 Lionbridge Technologies Inc Com 536252109 5661 989668 SH SOLE 966278 0 23390 Lydall Inc Com 550819106 6260 197363 SH SOLE 192708 0 4655 M/I Homes Inc Com 55305B101 16621 697170 SH SOLE 677370 0 19800 Mallinckrodt PLC Com 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 Com 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 Com 701094104 432 3640 SH SOLE 3640 0 0 Petroquest Energy Inc Com 716748108 3640 1582820 SH SOLE 1545790 0 37030 Ply Gem Holdings Inc Com 72941W100 19225 1478850 SH SOLE 1444450 0 34400 Polyone Corp Com 73179P106 5661 151555 SH SOLE 150015 0 1540 Primerica Inc Com 74164M108 23507 461835 SH SOLE 452595 0 9240 Range Resources Corp Com 75281A109 447 8580 SH SOLE 8580 0 0 Remy International Inc Com 75971M108 12836 577920 SH SOLE 564100 0 13820 Rex Energy Corp Com 761565100 6350 1707110 SH SOLE 1667580 0 39530 School Specialty Inc Com 807864103 1485 15000 SH SOLE 15000 0 0 Scripps Networks Interactive Com 811065101 391 5700 SH SOLE 5700 0 0 Seaworld Entertainment Inc Com 81282V100 21158 1097420 SH SOLE 1075720 0 21700 Signature Bank Com 82669G104 6680 51550 SH SOLE 51110 0 440 Sonus Networks Inc Com 835916503 7391 937978 SH SOLE 915712 0 22266 Southside Bancshares Inc Com 84470P109 15253 531640 SH SOLE 519070 0 12570 Standex Int'l Corp Com 854231107 17879 217692 SH SOLE 212252 0 5440 Steelcase Inc Com 858155203 24332 1284700 SH SOLE 1259070 0 25630 Stock Yard Bancorp Inc Com 861025104 6311 183300 SH SOLE 178960 0 4340 Superior Industries Inc Com 868168105 13828 730505 SH SOLE 713435 0 17070 Swift Transportation Company Com 87074U101 5718 219770 SH SOLE 217860 0 1910 Symetra Financial Corp Com 87151Q106 6445 274723 SH SOLE 272343 0 2380 Synnex Corp Com 87162W100 16929 219140 SH SOLE 213980 0 5160 Trico Bancshares Com 896095106 11828 490190 SH SOLE 478590 0 11600 Trimas Corp. Com 896215209 21053 683750 SH SOLE 667160 0 16590 Trinity Industries Inc Com 896522109 7101 199985 SH SOLE 198085 0 1900 TrustCo Bank Corp Com 898349105 15695 2281218 SH SOLE 2226376 0 54842 Tutor Perini Corp Com 901109108 17129 733580 SH SOLE 716440 0 17140 Ultra Petroleum Corp Com 903914109 4689 300030 SH SOLE 296540 0 3490 Unifi Inc Com 904677200 20760 575219 SH SOLE 560679 0 14540 Unifirst Corp Com 904708104 5750 48855 SH SOLE 48365 0 490 United Stationers Inc Com 913004107 16617 405380 SH SOLE 395750 0 9630 VWR Corp Com 91843L103 432 16610 SH SOLE 16610 0 0 Vishay Intertechnology Inc Com 928298108 23264 1683346 SH SOLE 1649566 0 33780 WSFS Financial Corp Com 929328102 16440 217380 SH SOLE 212240 0 5140 Wabash National Corp Com 929566107 14602 1035589 SH SOLE 1010959 0 24630 Werner Enterprises Inc Com 950755108 13829 440260 SH SOLE 429500 0 10760 Westlake Chemical Corp Com 960413102 406 5640 SH SOLE 5640 0 0 Wilshire Bancorp Inc Com 97186T108 15782 1582930 SH SOLE 1545330 0 37600 Winnebago Industries Inc Com 974637100 16271 765346 SH SOLE 747606 0 17740