0001483339-19-000003.txt : 20190510
0001483339-19-000003.hdr.sgml : 20190510
20190510140008
ACCESSION NUMBER: 0001483339-19-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20190331
FILED AS OF DATE: 20190510
DATE AS OF CHANGE: 20190510
EFFECTIVENESS DATE: 20190510
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: 19814161
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
03-31-2019
03-31-2019
Walthausen & Co., LLC
2691 ROUTE 9, SUITE 102
MALTA
NY
12020
13F COMBINATION REPORT
028-13672
028-12592
The Bank of NY Mellon
N
Mark Hodge
Managing Director and Chief Compliance Officer
5183487217
Mark Hodge
Malta
NY
05-10-2019
0
137
769419
false
INFORMATION TABLE
2
inftableq119.xml
ABM Industries Inc
Com
000957100
13958
383983
SH
SOLE
382883
0
1100
Abraxas Petroleum Corp
Com
003830106
1132
905510
SH
SOLE
905510
0
0
Alamo Group Incorporated
Com
011311107
8701
87065
SH
SOLE
86825
0
240
Allied Motion Technologies Inc
Com
019330109
8953
260417
SH
SOLE
259777
0
640
American Financial Group Inc
Com
025932104
6142
63839
SH
SOLE
63159
0
680
American States Water Company
Com
029899101
6141
86130
SH
SOLE
84740
0
1390
Amerisafe Inc
Com
03071H100
6184
104114
SH
SOLE
102994
0
1120
Ampco Pittsburgh Corp
Com
032037103
1183
358350
SH
SOLE
357590
0
760
Andersons Inc
Com
034164103
9848
305547
SH
SOLE
304797
0
750
Aptar Group Inc
Com
038336103
6120
57522
SH
SOLE
56762
0
760
Arrow Financial Corp
Com
042744102
1370
41652
SH
SOLE
41652
0
0
Atkore International Group Inc
Com
047649108
5092
236487
SH
SOLE
235747
0
740
Atlantic Power Corp.
Com
04878Q863
3440
1365000
SH
SOLE
1360800
0
4200
Avery Dennison Corp
Com
053611109
4676
41378
SH
SOLE
40558
0
820
BMC Stock Holding Inc
Com
05591B109
8222
465300
SH
SOLE
463960
0
1340
Bank Of Hawaii Corp
Com
062540109
6959
88230
SH
SOLE
87310
0
920
Baycom Corp.
Com
07272M107
1302
57520
SH
SOLE
57520
0
0
Bel Fuse Inc
Com
077347300
1401
55415
SH
SOLE
55415
0
0
Bryn Mawr Bank Corp
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117665109
6093
168630
SH
SOLE
168164
0
466
CAI International Inc
Com
12477X106
1010
43540
SH
SOLE
43540
0
0
CSS Industries Inc
Com
125906107
1709
285283
SH
SOLE
283833
0
1450
CVB Financial Corp
Com
126600105
6686
317616
SH
SOLE
314636
0
2980
Callon Petroleum Company
Com
13123X102
4484
593898
SH
SOLE
588248
0
5650
Camden National Corp
Com
133034108
7595
182041
SH
SOLE
181591
0
450
Casey's General Store Inc
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147528103
6727
52244
SH
SOLE
51524
0
720
Central Valley Community Banco
Com
155685100
1536
78546
SH
SOLE
78546
0
0
City Holding Company
Com
177835105
8187
107457
SH
SOLE
107147
0
310
Columbia Banking Systems Inc
Com
197236102
5687
173960
SH
SOLE
172070
0
1890
Columbus McKinnon Corp
Com
199333105
10506
305841
SH
SOLE
305101
0
740
Commerce Bancshares Inc
Com
200525103
5607
96566
SH
SOLE
95010
0
1556
Community Bank Systems Inc
Com
203607106
7047
117894
SH
SOLE
117568
0
326
Crawford and Company CL A
Com
224633206
1595
172655
SH
SOLE
172655
0
0
Cutera Inc
Com
232109108
1193
67560
SH
SOLE
67560
0
0
Darling Ingredients Inc
Com
237266101
14328
661822
SH
SOLE
656812
0
5010
Dave & Buster's Entertainment
Com
238337109
10097
202470
SH
SOLE
202160
0
310
Delphi Technologies PLC
Com
G2709G107
5052
262310
SH
SOLE
261560
0
750
EMCOR Group Inc
Com
29084Q100
7141
97718
SH
SOLE
96818
0
900
Electronics For Imaging Inc
Com
286082102
14237
529271
SH
SOLE
526161
0
3110
Encompass Health Corporation
Com
29261A100
6641
113710
SH
SOLE
112165
0
1545
Enpro Industries Inc
Com
29355X107
3757
58290
SH
SOLE
58120
0
170
Entegra Financial Corp
Com
29363J108
1378
61360
SH
SOLE
61360
0
0
Essent Group Limited
Com
G3198U102
4170
95980
SH
SOLE
95980
0
0
Farmers National Banc Corp
Com
309627107
749
54280
SH
SOLE
54280
0
0
Financial Institutions Inc
Com
317585404
1220
44890
SH
SOLE
44890
0
0
First Financial BanCorp
Com
320209109
7285
302804
SH
SOLE
301984
0
820
First Financial Corp
Com
320218100
8387
199699
SH
SOLE
199149
0
550
Freightcar America Inc
Com
357023100
1752
284490
SH
SOLE
282880
0
1610
GATX Corp
Com
361448103
5788
75788
SH
SOLE
74618
0
1170
Global Brass & Copper Holdings
Com
37953G103
12663
367690
SH
SOLE
366980
0
710
Goodrich Petroleum Corp
Com
382410843
1192
87650
SH
SOLE
87650
0
0
Graham Corp
Com
384556106
1045
53260
SH
SOLE
53260
0
0
Granite Construction Inc
Com
387328107
6941
160859
SH
SOLE
159389
0
1470
Great Lakes Dredge & Dock Corp
Com
390607109
14616
1640356
SH
SOLE
1636336
0
4020
Great Southern Bancorp
Com
390905107
8453
162879
SH
SOLE
162449
0
430
Gulfport Energy Corp
Com
402635304
8158
1017220
SH
SOLE
1014300
0
2920
Heartland Financial USA Inc
Com
42234Q102
4013
94099
SH
SOLE
93829
0
270
Heritage Crystal Clean Inc
Com
42726M106
11906
433750
SH
SOLE
432780
0
970
Hibbett Sports inc
Com
428567101
1511
66230
SH
SOLE
66230
0
0
Houston Wire & Cable Company
Com
44244K109
3720
587671
SH
SOLE
586921
0
750
Hub Group Inc
Com
443320106
4975
121778
SH
SOLE
120068
0
1710
IEC Electronics Corp
Com
44949L105
1217
177620
SH
SOLE
177620
0
0
ITT Corporation
Com
45073V108
5143
88665
SH
SOLE
87235
0
1430
Independence Contract Drilling
Com
453415309
1084
391191
SH
SOLE
391191
0
0
Intrepid Potash Inc
Com
46121Y102
1514
399370
SH
SOLE
399370
0
0
John Wiley & Sons Inc
Com
968223206
6865
155250
SH
SOLE
153500
0
1750
Kaiser Aluminum Corp
Com
483007704
3631
34670
SH
SOLE
34570
0
100
Kelly Services Inc
Com
488152208
10056
455830
SH
SOLE
454770
0
1060
Kimball Electronics Inc
Com
49428J109
4692
302885
SH
SOLE
302425
0
460
Kimball International Inc
Com
494274103
4841
342333
SH
SOLE
341553
0
780
Kulicke & Soffa Industries Inc
Com
501242101
10591
479010
SH
SOLE
477790
0
1220
Lakeland Financial Corp
Com
511656100
7047
155836
SH
SOLE
155401
0
435
Landec Corporation
Com
514766104
13224
1076900
SH
SOLE
1074180
0
2720
Lydall Inc
Com
550819106
4128
175970
SH
SOLE
174960
0
1010
M/I Homes Inc
Com
55305B101
11418
428944
SH
SOLE
427884
0
1060
MDC Holdings Inc
Com
552676108
6547
225278
SH
SOLE
222560
0
2718
MGP Ingredients Inc
Com
55303J106
13684
177374
SH
SOLE
176864
0
510
MTS Systems Corp
Com
553777103
6279
115300
SH
SOLE
114970
0
330
Mackinac Financial Corp.
Com
554571109
470
29891
SH
SOLE
29891
0
0
Marinemax Inc
Com
567908108
1507
78670
SH
SOLE
78670
0
0
Materion Corp
Com
576690101
1275
22340
SH
SOLE
22340
0
0
McGrath Rentcorp
Com
580589109
16792
296842
SH
SOLE
294542
0
2300
Mercer Int'l Inc
Com
588056101
12007
888729
SH
SOLE
886169
0
2560
Meredith Corp
Com
589433101
12693
229700
SH
SOLE
229070
0
630
Miller Industries Inc
Com
600551204
8625
279593
SH
SOLE
279053
0
540
Moog Inc
Com
615394202
7031
80858
SH
SOLE
79858
0
1000
Mueller Industries Inc
Com
624756102
6464
206263
SH
SOLE
204013
0
2250
NBT Bancorp Inc
Com
628778102
7638
212120
SH
SOLE
211520
0
600
NCR Corp.
Com
62886E108
7677
281323
SH
SOLE
278523
0
2800
NMI Holdings Inc
Com
629209305
1908
73762
SH
SOLE
73562
0
200
Neophotonics Corp
Com
64051T100
1067
169680
SH
SOLE
169680
0
0
Northrim BanCorp Inc
Com
666762109
1390
40391
SH
SOLE
40391
0
0
Northwest Pipe Company
Com
667746101
1676
69820
SH
SOLE
69820
0
0
Nuverra Environmental Solution
Com
67091K302
729
81950
SH
SOLE
81950
0
0
Oceanfirst Financial Corp
Com
675234108
7007
291213
SH
SOLE
290363
0
850
Old Line Bancshares Inc
Com
67984M100
1280
51330
SH
SOLE
51330
0
0
Orion Group Holdings Inc
Com
68628V308
1046
358140
SH
SOLE
358140
0
0
Oshkosh Corporation
Com
688239201
7713
102664
SH
SOLE
101554
0
1110
Pacwest Bancorp
Com
695263103
7521
199970
SH
SOLE
198130
0
1840
Pinnacle Financial Partners In
Com
72346Q104
3050
55757
SH
SOLE
55593
0
164
Primerica Inc
Com
74164M108
16562
135584
SH
SOLE
134304
0
1280
QEP Resources Inc
Com
74733V100
6525
837590
SH
SOLE
835670
0
1920
Quad/Graphics Inc
Com
747301109
7616
639990
SH
SOLE
637890
0
2100
Radiant Logistics Inc
Com
75025X100
1586
251750
SH
SOLE
251750
0
0
Rayonier Advanced Materials In
Com
75508B104
396
29200
SH
SOLE
29200
0
0
Reading International Inc
Com
755408101
1512
94730
SH
SOLE
94730
0
0
Regal Beloit Corp
Com
758750103
8262
100915
SH
SOLE
100635
0
280
SM Energy Company
Com
78454L100
4837
276540
SH
SOLE
275760
0
780
Sally Beauty Holdings Inc
Com
79546E104
2663
144640
SH
SOLE
144220
0
420
Sanderson Farms Inc
Com
800013104
8467
64223
SH
SOLE
63423
0
800
School Specialty Inc
Com
807864103
891
142572
SH
SOLE
142572
0
0
Seaworld Entertainment Inc
Com
81282V100
11821
458899
SH
SOLE
454839
0
4060
Sierra Bancorp
Com
82620P102
1387
57080
SH
SOLE
57080
0
0
Silgan Holdings Inc
Com
827048109
9246
312040
SH
SOLE
310840
0
1200
Silverbow Resources Inc
Com
82836G102
6452
280527
SH
SOLE
279687
0
840
Simpson Manufacturing Co
Com
829073105
6420
108326
SH
SOLE
106866
0
1460
Southern National Bancorp Of V
Com
843395104
1046
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SH
SOLE
71430
0
0
Southside Bancshares Inc
Com
84470P109
7544
227038
SH
SOLE
226402
0
636
Southwestern Energy Company
Com
845467109
5524
1177790
SH
SOLE
1177790
0
0
Sportmans Warehouse Holdings I
Com
84920Y106
1361
283020
SH
SOLE
283020
0
0
Standex Int'l Corp
Com
854231107
7700
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SH
SOLE
104510
0
390
Stepan Co
Com
858586100
8028
91728
SH
SOLE
91468
0
260
Sterling Construction Company
Com
859241101
2060
164500
SH
SOLE
164500
0
0
Stock Yard Bancorp Inc
Com
861025104
8372
247633
SH
SOLE
247028
0
605
Stoneridge Inc
Com
86183P102
9266
321080
SH
SOLE
320410
0
670
Team Inc
Com
878155100
1316
75220
SH
SOLE
75220
0
0
Titan Machinery Inc
Com
88830R101
584
37550
SH
SOLE
37550
0
0
Trico Bancshares
Com
896095106
5568
141714
SH
SOLE
141334
0
380
Triton International Ltd
Com
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7828
251720
SH
SOLE
251010
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710
Triumph Bancorp Inc
Com
89679E300
1179
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SH
SOLE
40130
0
0
Triumph Group Inc
Com
896818101
2405
126180
SH
SOLE
123290
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2890
Twin Disc Inc
Com
901476101
3086
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184907
0
440
Universal Electronics Inc
Com
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1031
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70
Universal Stainless & Alloy Pr
Com
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1138
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SH
SOLE
68670
0
0
Vishay Intertechnology Inc
Com
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11989
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643814
0
5268
Whiting Petroleum Corp
Com
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4476
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SH
SOLE
169531
0
1700
Williams Industrial Services G
Com
96951A104
1071
450000
SH
SOLE
450000
0
0
Wyndham Destinations Inc
Com
98310W108
6014
148540
SH
SOLE
148540
0
0