0001483339-13-000011.txt : 20131113 0001483339-13-000011.hdr.sgml : 20131113 20131113125449 ACCESSION NUMBER: 0001483339-13-000011 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20130930 FILED AS OF DATE: 20131113 DATE AS OF CHANGE: 20131113 EFFECTIVENESS DATE: 20131113 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: 131213627 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 true false 0001483339 XXXXXXXX 09-30-2013 09-30-2013 Walthausen & Co., LLC
2691 ROUTE 9, SUITE 102 MALTA NY 12020
13F COMBINATION REPORT 028-13672 028-12592 The Bank of New York Mellon Corporation N
Mark Hodge Chief Compliance Officer 518-348-7217 Mark Hodge Malta NY 11-13-2013 0 116 1258863 false
INFORMATION TABLE 2 inftableq313.xml AAON Inc Com 000360206 14213 535110 SH SOLE 466885 0 68225 Adams Resources & Energy Inc Com 006351308 1647 29670 SH SOLE 26070 0 3600 Albany International Corp Com 012348108 21032 586351 SH SOLE 513351 0 73000 Altisource Portfolio Solutions Com L0175J104 21924 156590 SH SOLE 137009 0 19581 American Financial Group Inc Com 025932104 2508 46390 SH SOLE 36610 0 9780 American Vanguard Corp Com 030371108 5564 206693 SH SOLE 181373 0 25320 Amtech Systems Inc Com 032332504 1095 150000 SH SOLE 150000 0 0 Aptar Group Inc Com 038336103 2467 41020 SH SOLE 32170 0 8850 Assurant Inc Com 04621X108 2581 47705 SH SOLE 37510 0 10195 Asta Funding Inc Com 046220109 3257 366341 SH SOLE 320586 0 45755 Avery Dennison Corp Com 053611109 2200 50550 SH SOLE 39400 0 11150 Bank of The Ozarks Inc Com 063904106 2615 54550 SH SOLE 40950 0 13600 Bassett Furniture Inds Inc Com 070203104 5368 331582 SH SOLE 331582 0 0 Bill Barrett Corp Com 06846N104 19207 764930 SH SOLE 669290 0 95640 Bryn Mawr Bank Corp Com 117665109 12203 452463 SH SOLE 388853 0 63610 CAI International Inc Com 12477X106 13323 572543 SH SOLE 482848 0 89695 CF Industries Holdings Inc Com 125269100 394 1870 SH SOLE 1870 0 0 CSS Industries Inc Com 125906107 8520 354848 SH SOLE 306928 0 47920 CVB Financial Corp Com 126600105 17131 1267105 SH SOLE 1118275 0 148830 Cabot Microelectronics Corp Com 12709P103 15133 392950 SH SOLE 338670 0 54280 Cambrex Corp Com 132011107 15709 1190050 SH SOLE 1041720 0 148330 Capella Education Company Com 139594105 13676 241790 SH SOLE 211950 0 29840 Carpenter Technology Corp Com 144285103 2355 40520 SH SOLE 30620 0 9900 Ceco Environmental Corp Com 125141101 5997 425943 SH SOLE 374143 0 51800 City Holding Company Com 177835105 13132 303700 SH SOLE 273390 0 30310 Columbus McKinnon Corp Com 199333105 18193 757107 SH SOLE 662507 0 94600 Community Bank Systems Inc Com 203607106 15535 455293 SH SOLE 398388 0 56905 Convergys Corp Com 212485106 16424 875950 SH SOLE 760030 0 115920 Darling International Inc Com 237266101 22650 1070400 SH SOLE 924720 0 145680 Deluxe Corp Com 248019101 17369 416930 SH SOLE 366070 0 50860 Devry Inc Com 251893103 2433 79630 SH SOLE 62410 0 17220 Dime Community Bancshares Inc Com 253922108 13838 831105 SH SOLE 750925 0 80180 EPL Oil & Gas Inc Com 26883D108 20503 552485 SH SOLE 475057 0 77428 ERA Group Inc Com 26885G109 13632 501537 SH SOLE 438947 0 62590 Electronics For Imaging Inc Com 286082102 15489 488929 SH SOLE 427274 0 61655 Emerald Oil Inc Com 29101U209 1977 275000 SH SOLE 275000 0 0 Endurance Specialty Holdings Com G30397106 2592 48250 SH SOLE 36545 0 11705 Ennis Inc Com 293389102 2232 123700 SH SOLE 123700 0 0 Fidelity National Financial In Com 31620R105 2396 90080 SH SOLE 66640 0 23440 Fifth Third Bancorp Com 316773100 344 19060 SH SOLE 19060 0 0 First Financial Bankshares Com 32020R109 19085 324295 SH SOLE 280630 0 43665 Flextronics International Ltd Com Y2573F102 2137 235070 SH SOLE 229360 0 5710 Flow International Corp Com 343468104 8541 2140510 SH SOLE 1871200 0 269310 Foster Wheeler Ltd Com H27178104 2162 82090 SH SOLE 57240 0 24850 Freightcar America Inc Com 357023100 4015 194140 SH SOLE 169940 0 24200 GT Advanced Technologies Inc Com 36191U106 20162 2369178 SH SOLE 2037503 0 331675 Great Southern Bancorp Com 390905107 3420 121160 SH SOLE 105980 0 15180 Hackett Group Inc Com 404609109 4220 591933 SH SOLE 522233 0 69700 Hancock Holding Company Com 410120109 15494 493740 SH SOLE 425380 0 68360 Hardinge Inc Com 412324303 1679 108700 SH SOLE 108700 0 0 HealthSouth Corp Com 421924309 2815 81645 SH SOLE 63270 0 18375 Hexcel Corp Com 428291108 18837 485494 SH SOLE 418921 0 66573 Hillenbrand Inc Com 431571108 24586 898270 SH SOLE 777550 0 120720 Hyster-Yale Materials Handling Com 449172105 25751 287170 SH SOLE 250780 0 36390 Independent Bank Corp Com 453836108 1983 55560 SH SOLE 40730 0 14830 Insperity Inc Com 45778Q107 16300 433498 SH SOLE 381238 0 52260 Intrepid Potash Inc Com 46121Y102 11873 757200 SH SOLE 662500 0 94700 John Bean Technologies Corp Com 477839104 18162 730003 SH SOLE 638953 0 91050 Kaiser Aluminum Corp Com 483007704 17011 238750 SH SOLE 208880 0 29870 Kraton Performance Polymers Com 50077C106 9617 490900 SH SOLE 400020 0 90880 LSB Industries Inc Com 502160104 10214 304635 SH SOLE 248295 0 56340 Lawson Products Inc Com 520776105 3792 367810 SH SOLE 322820 0 44990 Lexmark International Inc Com 529771107 18020 546065 SH SOLE 473865 0 72200 Lydall Inc Com 550819106 6163 358924 SH SOLE 313478 0 45446 M/I Homes Inc Com 55305B101 15513 752330 SH SOLE 629150 0 123180 MDC Holdings Inc Com 552676108 15350 511490 SH SOLE 493880 0 17610 Magellan Health Services Inc Com 559079207 19109 318700 SH SOLE 270620 0 48080 Mallinckrodt PLC Com G5785G107 2526 57290 SH SOLE 44630 0 12660 Materion Corp Com 576690101 18849 587931 SH SOLE 514191 0 73740 Mercer Int'l Inc Com 588056101 14151 1995885 SH SOLE 1743040 0 252845 Modine Manufacturing Co Com 607828100 15239 1041599 SH SOLE 934849 0 106750 Moog Inc Com 615394202 2598 44280 SH SOLE 33670 0 10610 Mueller Water Products Inc Com 624758108 18334 2294570 SH SOLE 2008670 0 285900 NCI Buildings Systems Inc Com 628852204 9993 784353 SH SOLE 656963 0 127390 Natural Gas Services Group Inc Com 63886Q109 2996 111700 SH SOLE 111700 0 0 New York Community Bancorp Com 649445103 352 23300 SH SOLE 23300 0 0 Newpark Resources Inc Com 651718504 17201 1358650 SH SOLE 1187580 0 171070 Nordion Inc Com 65563C105 2530 293165 SH SOLE 256941 0 36224 Ocwen Financial Corp Com 675746309 34315 615298 SH SOLE 533238 0 82060 Olin Corp Com 680665205 19560 847870 SH SOLE 727490 0 120380 Orbital Sciences Corp Com 685564106 9157 432350 SH SOLE 378290 0 54060 PDC Energy Inc Com 69327R101 16875 283430 SH SOLE 248120 0 35310 PHH Corporation Com 693320202 19965 840990 SH SOLE 724690 0 116300 Petroquest Energy Inc Com 716748108 3567 889496 SH SOLE 779386 0 110110 Plantronics Inc Com 727493108 15355 333450 SH SOLE 287630 0 45820 Platinum Underwriters Holdings Com G7127P100 22234 372240 SH SOLE 320340 0 51900 Plexus Corp Com 729132100 9851 265100 SH SOLE 232040 0 33060 Polyone Corp Com 73179P106 17453 568330 SH SOLE 495810 0 72520 Primerica Inc Com 74164M108 19748 489545 SH SOLE 428795 0 60750 Pultegroup Inc Com 745867101 351 21300 SH SOLE 21300 0 0 RLI Corp Com 749607107 17990 205790 SH SOLE 179760 0 26030 Radioshack Corp Com 750438103 14325 4201006 SH SOLE 3669036 0 531970 Renaissancere Holding Limited Com G7496G103 341 3770 SH SOLE 3770 0 0 Rofin Sinar Technologies Inc Com 775043102 5557 229550 SH SOLE 200810 0 28740 Safeway Inc Com 786514208 441 13790 SH SOLE 13790 0 0 Seaboard Corp Com 811543107 2380 866 SH SOLE 662 0 204 Standex Int'l Corp Com 854231107 22788 383632 SH SOLE 327382 0 56250 Stone Energy Corp Com 861642106 25530 787240 SH SOLE 687320 0 99920 Strayer Education Inc Com 863236105 2338 56320 SH SOLE 49090 0 7230 Synergy Resources Corp Com 87164P103 17919 1837870 SH SOLE 1608980 0 228890 Synnex Corp Com 87162W100 16957 275950 SH SOLE 231460 0 44490 Teleflex Inc Com 879369106 2088 25380 SH SOLE 18790 0 6590 Textainer Group Holdings Ltd Com G8766E109 2087 55110 SH SOLE 41730 0 13380 Trimas Corp. Com 896215209 21479 575700 SH SOLE 503830 0 71870 Trinity Industries Inc Com 896522109 2745 60540 SH SOLE 45440 0 15100 Ultra Petroleum Corp Com 903914109 2377 115560 SH SOLE 89330 0 26230 Unifi Inc Com 904677200 16965 726239 SH SOLE 635849 0 90390 Valmont Industries Inc Com 920253101 2448 17620 SH SOLE 13710 0 3910 Valueclick Inc Com 92046N102 14861 712430 SH SOLE 611330 0 101100 Vishay Intertechnology Inc Com 928298108 25398 1970384 SH SOLE 1706314 0 264070 Visteon Corp Com 92839U206 2677 35390 SH SOLE 28210 0 7180 WPX Energy Inc Com 98212B103 2622 136150 SH SOLE 106990 0 29160 Walter Investment Management C Com 93317W102 19454 492005 SH SOLE 430535 0 61470 Westlake Chemical Corp Com 960413102 380 3630 SH SOLE 3630 0 0 Whiting Petroleum Corp Com 966387102 387 6460 SH SOLE 6460 0 0 Worthington Industries Inc Com 981811102 18258 530300 SH SOLE 455230 0 75070