0001455468-22-000002.txt : 20220516 0001455468-22-000002.hdr.sgml : 20220516 20220516100727 ACCESSION NUMBER: 0001455468-22-000002 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220331 FILED AS OF DATE: 20220516 DATE AS OF CHANGE: 20220516 EFFECTIVENESS DATE: 20220516 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Dean Capital Management CENTRAL INDEX KEY: 0001455468 IRS NUMBER: 261309687 STATE OF INCORPORATION: KS FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-13367 FILM NUMBER: 22926234 BUSINESS ADDRESS: STREET 1: 7400 W 130TH ST STE 350 CITY: OVERLAND PARK STATE: KS ZIP: 66213 BUSINESS PHONE: 913-944-4444 MAIL ADDRESS: STREET 1: 7400 W 130TH ST STE 350 CITY: OVERLAND PARK STATE: KS ZIP: 66213 13F-HR 1 primary_doc.xml 13F-HR LIVE false false false 0001455468 XXXXXXXX 03-31-2022 03-31-2022 Dean Capital Management
7400 W 130TH ST STE 350 OVERLAND PARK KS 66213
13F COMBINATION REPORT 028-13367 028-02462 Dean Investment Associates, LLC N
Jessica Skinner Chief Compliance Officer 913-944-4456 Jessica Skinner Leawood KS 05-16-2022 1 73 114986 false 1 028-13158 Legato Capital Management LLC
INFORMATION TABLE 2 inftable_DCMOnly.xml Advanced Energy Inds CS 007973100 419 4863 SH DFND 01 4863 0 0 Alamos Gold Inc CS 011532108 1777 211002 SH DFND 01 211002 0 0 Alexander's Inc CS 014752109 624 2435 SH DFND 01 2435 0 0 Alico Inc CS 016230104 438 11673 SH DFND 01 11673 0 0 American National Group Inc CS 02772A109 2460 13009 SH DFND 01 13009 0 0 American Woodmark Corp CS 030506109 1576 32200 SH DFND 01 32200 0 0 Argan Inc CS 04010e109 2859 70439 SH DFND 01 70439 0 0 Associated Banc Corp CS 045487105 1115 48981 SH DFND 01 48981 0 0 Avista Corp CS 05379B107 2211 48978 SH DFND 01 48978 0 0 AZZ Inc CS 002474104 1161 24072 SH DFND 01 24072 0 0 Benchmark Electronics Inc CS 08160H101 1414 56476 SH DFND 01 56476 0 0 Bioventus Inc CS 09075a108 601 42595 SH DFND 01 42595 0 0 Brady Corp CS 104674106 712 15396 SH DFND 01 15396 0 0 Cal Maine Foods Inc CS 128030202 2494 45173 SH DFND 01 45173 0 0 Camden National Corp CS 133034108 2437 51816 SH DFND 01 51816 0 0 CareTrust REIT Inc CS 14174t107 956 49535 SH DFND 01 49535 0 0 Cathay General Bancorp CS 149150104 525 11741 SH DFND 01 11741 0 0 Civitas Resources Inc CS 17888h103 477 7981 SH DFND 01 7981 0 0 CMC Materials Inc CS 12571T100 541 2919 SH DFND 01 2919 0 0 Compass Minerals International CS 20451N101 918 14616 SH DFND 01 14616 0 0 CSG Systems International Inc CS 126349109 2524 39708 SH DFND 01 39708 0 0 CTO Realty Growth Inc CS 22948Q101 2104 31731 SH DFND 01 31731 0 0 DHT Holdings Inc CS y2065g121 1872 322744 SH DFND 01 322744 0 0 Diamond Hill Investment Group CS 25264R207 2242 11968 SH DFND 01 11968 0 0 Edgewell Personal Care CS 28035Q102 910 24803 SH DFND 01 24803 0 0 Employers Holdings CS 292218104 3016 73514 SH DFND 01 73514 0 0 Encore Wire Corp CS 292562105 516 4527 SH DFND 01 4527 0 0 Energizer Hldgs Inc CS 29272W109 603 19591 SH DFND 01 19591 0 0 Equity Commonwealth CS 294628102 2526 89551 SH DFND 01 89551 0 0 Fresh Del Monte Produce Inc CS G36738105 970 37454 SH DFND 01 37454 0 0 Getty Realty Corp CS 374297109 1895 66215 SH DFND 01 66215 0 0 Haemonetics Corp CS 405024100 539 8519 SH DFND 01 8519 0 0 Hanger Inc CS 41043F208 525 28624 SH DFND 01 28624 0 0 Heartland Express Inc CS 422347104 3028 215234 SH DFND 01 215234 0 0 Hooker Furniture Corp CS 439038100 978 51630 SH DFND 01 51630 0 0 Hostess Brands Inc CS 44109J106 986 44951 SH DFND 01 44951 0 0 John B Sanfilippo & Son Inc CS 800422107 2284 27377 SH DFND 01 27377 0 0 Johnson Outdoors Inc CS 479167108 919 11826 SH DFND 01 11826 0 0 Methode Electronics Inc CS 591520200 845 19548 SH DFND 01 19548 0 0 Murphy USA Inc CS 626755102 3459 17297 SH DFND 01 17297 0 0 National Energy Services Reuni CS g6375r107 1411 168028 SH DFND 01 168028 0 0 National Healthcare Corp CS 635906100 2543 36204 SH DFND 01 36204 0 0 Nelnet Inc CS 64031N108 1674 19695 SH DFND 01 19695 0 0 NewMarket Corp CS 651587107 970 2991 SH DFND 01 2991 0 0 NextGen Healthcare Inc CS 65343c102 540 25847 SH DFND 01 25847 0 0 Northwest Natural Holding Co CS 66765N105 208 4015 SH DFND 01 4015 0 0 Northwestern Corp CS 668074305 581 9605 SH DFND 01 9605 0 0 Piedmont Office Realty Tr Inc CS 720190206 1760 102199 SH DFND 01 102199 0 0 Plexus Corp CS 729132100 574 7018 SH DFND 01 7018 0 0 Portland General Electric Co CS 736508847 1907 34576 SH DFND 01 34576 0 0 Preformed Line Products Co CS 740444104 525 8278 SH DFND 01 8278 0 0 Prestige Consumer Healthcare I CS 74112D101 1805 34090 SH DFND 01 34090 0 0 QCR Holdings Inc CS 74727a104 1748 30881 SH DFND 01 30881 0 0 Safety Insurance Group Inc CS 78648T100 3523 38774 SH DFND 01 38774 0 0 Sally Beauty Holdings Inc CS 79546E104 460 29428 SH DFND 01 29428 0 0 Sanderson Farms Inc CS 800013104 2110 11254 SH DFND 01 11254 0 0 Southwest Gas Holdings Inc CS 844895102 3406 43501 SH DFND 01 43501 0 0 Spire Inc CS 84857L101 2366 32965 SH DFND 01 32965 0 0 Sprouts Farmers Market Inc CS 85208m102 1558 48704 SH DFND 01 48704 0 0 Standard Motor Products Inc CS 853666105 2828 65548 SH DFND 01 65548 0 0 Stepan Co CS 858586100 584 5911 SH DFND 01 5911 0 0 Stewart Information Services C CS 860372101 2340 38608 SH DFND 01 38608 0 0 Stonex Group Inc CS 861896108 3017 40639 SH DFND 01 40639 0 0 Treehouse Foods Inc CS 89469A104 771 23899 SH DFND 01 23899 0 0 Tri Pointe Group Inc CS 87265H109 3103 154509 SH DFND 01 154509 0 0 Vishay Intertechnology Inc CS 928298108 1598 81514 SH DFND 01 81514 0 0 Washington Federal CS 938824109 2398 73073 SH DFND 01 73073 0 0 Washington Trust Bancorp CS 940610108 1714 32653 SH DFND 01 32653 0 0 Waterstone Financial Inc CS 94188P101 1753 90637 SH DFND 01 90637 0 0 Weis Markets Inc CS 948849104 2040 28562 SH DFND 01 28562 0 0 Werner Enterprises Inc CS 950755108 2448 59708 SH DFND 01 59708 0 0 White Mountains Insurance Grou CS G9618E107 1776 1563 SH DFND 01 1563 0 0 WSFS Financial Corp CS 929328102 492 10561 SH DFND 01 10561 0 0