0001483339-18-000002.txt : 20180214
0001483339-18-000002.hdr.sgml : 20180214
20180214093743
ACCESSION NUMBER: 0001483339-18-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20171231
FILED AS OF DATE: 20180214
DATE AS OF CHANGE: 20180214
EFFECTIVENESS DATE: 20180214
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: 18607940
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
12-31-2017
12-31-2017
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 and Chief Compliance Officer
518-348-7217
Mark Hodge
MALTA
NY
02-14-2018
0
117
1059652
false
INFORMATION TABLE
2
inftableq417.xml
AAR Corp
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000361105
5785
147240
SH
SOLE
146900
0
340
Addus Homecare Corp
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006739106
7383
212161
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211701
0
460
Aerojet Rocketdyne Holdings In
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007800105
13391
429194
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428094
0
1100
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019330109
7825
236477
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235827
0
650
American Financial Group Inc
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025932104
7224
66560
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65880
0
680
American Vanguard Corp
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030371108
13614
692822
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691322
0
1500
Amerisafe Inc
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03071H100
6586
106920
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SOLE
105800
0
1120
Amkor Technology Inc
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031652100
17702
1761345
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1752125
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9220
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032037103
3593
289780
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289100
0
680
Andersons Inc
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034164103
5259
168817
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168107
0
710
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038336103
5951
68968
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0
760
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042744102
612
18035
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18035
0
0
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047649108
14239
663840
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662390
0
1450
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053611109
7733
67322
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66502
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820
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062540109
6849
79922
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79002
0
920
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070203104
7110
189096
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188706
0
390
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117665109
11777
266447
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265891
0
556
CSS Industries Inc
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125906107
8009
287791
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287251
0
540
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126600105
6990
296710
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293730
0
2980
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13123X102
8017
659860
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659860
0
0
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133034108
4790
113689
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113369
0
320
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13765N107
10742
630759
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629299
0
1460
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147448104
15247
662350
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660880
0
1470
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16150R104
446
3700
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3700
0
0
Ciner Resources Limited Partne
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172464109
4505
178640
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177780
0
860
City Holding Company
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177835105
9689
143607
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143277
0
330
Cobiz Financial Inc
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190897108
1487
74363
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74053
0
310
Columbus McKinnon Corp
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199333105
9642
241181
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SOLE
240411
0
770
Commerce Bancshares Inc
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200525103
6776
121350
SH
SOLE
119868
0
1482
Commercial Metals Co
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201723103
6339
297320
SH
SOLE
293660
0
3660
Community Bank Systems Inc
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203607106
9183
170841
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SOLE
170445
0
396
Crawford and Company CL A
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224633206
607
71415
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SOLE
71415
0
0
DST Systems Inc
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233326107
6405
103188
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SOLE
102148
0
1040
Dana Holding Corp
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235825205
6584
205700
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205250
0
450
Darling Ingredients Inc
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237266101
21190
1168805
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SOLE
1163155
0
5650
Dawson Geophysical Co
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239360100
344
69174
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SOLE
69174
0
0
Deluxe Corp
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248019101
6799
88482
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SOLE
87622
0
860
Dixie Group Inc
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255519100
385
100000
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SOLE
100000
0
0
Dorian LPG Limited
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Y2106R110
792
96395
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0
524
EMCOR Group Inc
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29084Q100
8144
99621
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98721
0
900
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26885G109
7092
659696
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658126
0
1570
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286082102
18332
620800
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SOLE
618560
0
2240
Energen Corp
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29265N108
7255
126020
SH
SOLE
124730
0
1290
Ferro Corp
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315405100
12005
508910
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SOLE
507780
0
1130
First Financial BanCorp
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320209109
10557
400634
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SOLE
399794
0
840
Firstcash Inc
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33767D105
19505
289180
SH
SOLE
287600
0
1580
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357023100
7480
437930
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SOLE
436880
0
1050
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361448103
6289
101170
SH
SOLE
100000
0
1170
Global Power Equipment Group I
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37941P306
1985
500000
SH
SOLE
500000
0
0
Goodyear Tire & Rubber Co
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382550101
6748
208850
SH
SOLE
206760
0
2090
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390607109
11983
2219001
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SOLE
2214441
0
4560
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390905107
9827
190259
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189819
0
440
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393657101
3492
65512
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65362
0
150
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40537Q605
15927
2103950
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SOLE
2099290
0
4660
Hardinge Inc
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412324303
561
32200
SH
SOLE
32200
0
0
HealthSouth Corp
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421924309
7115
144002
SH
SOLE
142457
0
1545
Heartland Financial USA Inc
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42234Q102
12636
235519
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SOLE
234979
0
540
Heritage Crystal Clean Inc
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42726M106
14184
652150
SH
SOLE
650740
0
1410
Houston Wire & Cable Company
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44244K109
3110
431999
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SOLE
431089
0
910
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443320106
7816
163180
SH
SOLE
161470
0
1710
IEC Electronics Corp
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44949L105
655
158870
SH
SOLE
158870
0
0
ITT Corporation
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45073V108
7265
136120
SH
SOLE
134690
0
1430
Interface Inc
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458665304
15383
611660
SH
SOLE
610310
0
1350
John Wiley & Sons Inc
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968223206
8340
126850
SH
SOLE
125540
0
1310
Kaiser Aluminum Corp
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483007704
13245
123960
SH
SOLE
123700
0
260
Kelly Services Inc
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488152208
3840
140800
SH
SOLE
140470
0
330
Kimball Electronics Inc
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49428J109
5279
289235
SH
SOLE
288675
0
560
Kimball International Inc
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494274103
8461
453193
SH
SOLE
452243
0
950
LS Starrett Company
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855668109
258
29990
SH
SOLE
29990
0
0
Lakeland Financial Corp
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511656100
12309
253856
SH
SOLE
253321
0
535
Landec Corporation
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514766104
9122
723965
SH
SOLE
722175
0
1790
Loral Space & Communications I
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543881106
6024
136750
SH
SOLE
135240
0
1510
M/I Homes Inc
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55305B101
15193
441665
SH
SOLE
440705
0
960
MDC Holdings Inc
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552676108
6261
196381
SH
SOLE
193864
0
2517
MGP Ingredients Inc
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55303J106
11537
150060
SH
SOLE
149770
0
290
Materion Corp
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576690101
11853
243886
SH
SOLE
243406
0
480
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580589109
21877
465665
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SOLE
463195
0
2470
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588056101
14848
1038299
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1036039
0
2260
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59870L106
7688
401680
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SOLE
397500
0
4180
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600551204
5862
227201
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SOLE
226741
0
460
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615394202
7019
80820
SH
SOLE
79820
0
1000
Navigators Group Inc
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638904102
11170
229368
SH
SOLE
228848
0
520
Nexeo Solutions Inc
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65342H102
11557
1269970
SH
SOLE
1267260
0
2710
Orchids Paper Products Company
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68572N104
4803
375220
SH
SOLE
374610
0
610
Overseas Shipholding Group Inc
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69036R863
5658
2064885
SH
SOLE
2060225
0
4660
Park Electrochemical Corp
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700416209
688
35000
SH
SOLE
35000
0
0
Pinnacle Financial Partners In
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72346Q104
5641
85085
SH
SOLE
84881
0
204
Ply Gem Holdings Inc
Com
72941W100
9135
493772
SH
SOLE
492672
0
1100
Primerica Inc
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74164M108
22282
219419
SH
SOLE
218079
0
1340
Primoris Services Corp
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74164F103
12897
474324
SH
SOLE
473264
0
1060
Rayonier Advanced Materials In
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75508B104
8829
431740
SH
SOLE
430760
0
980
Reading International Inc
Com
755408101
478
28630
SH
SOLE
28630
0
0
Regal Beloit Corp
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758750103
10290
134335
SH
SOLE
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340
Rogers Corp
Com
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SH
SOLE
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SJW Corp
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SOLE
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School Specialty Inc
Com
807864103
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315000
SH
SOLE
315000
0
0
Seacor Holdings Inc
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811904101
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434782
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SOLE
432412
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2370
Seaworld Entertainment Inc
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SOLE
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Silgan Holdings Inc
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SOLE
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170
Silverbow Resources Inc
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SH
SOLE
196610
0
410
Simpson Manufacturing Co
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829073105
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SOLE
117020
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1460
Snap On Inc
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833034101
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42340
SH
SOLE
42050
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290
Southside Bancshares Inc
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345750
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SOLE
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858155203
17347
1141232
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1960
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858586100
10232
129565
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129285
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280
Stock Yard Bancorp Inc
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861025104
10291
272968
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SOLE
272383
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585
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14247
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621800
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620
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18488
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3520
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13269
523440
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522280
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1160
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599
27950
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27950
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0
Vishay Intertechnology Inc
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928298108
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5488
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1200645
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4860
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840
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317279
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1910