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