0001483339-17-000003.txt : 20170512
0001483339-17-000003.hdr.sgml : 20170512
20170512091828
ACCESSION NUMBER: 0001483339-17-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20170331
FILED AS OF DATE: 20170512
DATE AS OF CHANGE: 20170512
EFFECTIVENESS DATE: 20170512
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: 17836603
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
03-31-2017
03-31-2017
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
05-12-2017
0
117
974365
false
INFORMATION TABLE
2
inftableq117.xml
AAR Corp
Com
000361105
10245
304650
SH
SOLE
304030
0
620
ARC Document Solutions Inc
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00191G103
1337
387476
SH
SOLE
386796
0
680
Addus Homecare Corp
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006739106
6919
216223
SH
SOLE
215763
0
460
Albany Molecular Research Inc
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012423109
11663
831285
SH
SOLE
829525
0
1760
Allied Motion Technologies Inc
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019330109
4318
214811
SH
SOLE
214341
0
470
American Financial Group Inc
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025932104
7081
74210
SH
SOLE
73350
0
860
American Vanguard Corp
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030371108
7388
445085
SH
SOLE
444175
0
910
Ampco Pittsburgh Corp
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032037103
2270
161594
SH
SOLE
161324
0
270
Amtech Systems Inc
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032332504
1084
197010
SH
SOLE
197010
0
0
Aptar Group Inc
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038336103
6009
78048
SH
SOLE
77288
0
760
Assurant Inc
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04621X108
6134
64116
SH
SOLE
63356
0
760
Atkore International Group Inc
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047649108
12521
476436
SH
SOLE
475426
0
1010
Avery Dennison Corp
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053611109
6096
75632
SH
SOLE
74812
0
820
BNC Bancorp
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05566T101
10867
310040
SH
SOLE
309420
0
620
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062540109
6014
73022
SH
SOLE
72102
0
920
Bassett Furniture Inds Inc
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070203104
6489
241236
SH
SOLE
240846
0
390
Bryn Mawr Bank Corp
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117665109
11809
298961
SH
SOLE
298405
0
556
CSS Industries Inc
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125906107
7352
283649
SH
SOLE
283109
0
540
CVR Partners Limited Partnersh
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126633106
4384
942827
SH
SOLE
940827
0
2000
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12663P107
1854
196165
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SOLE
195755
0
410
Casella Waste Systems Inc
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147448104
13877
983490
SH
SOLE
981530
0
1960
Chase Corporation
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16150R104
640
6710
SH
SOLE
6710
0
0
Ciner Resources Limited Partne
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172464109
10007
350770
SH
SOLE
350030
0
740
City Holding Company
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177835105
12847
199236
SH
SOLE
198846
0
390
Columbus McKinnon Corp
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199333105
6147
247675
SH
SOLE
246905
0
770
Commerce Bancshares Inc
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200525103
6238
111075
SH
SOLE
109663
0
1412
Commercial Metals Co
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201723103
6123
320060
SH
SOLE
316400
0
3660
Community Bank Systems Inc
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203607106
10546
191824
SH
SOLE
191428
0
396
DST Systems Inc
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233326107
6662
54384
SH
SOLE
53864
0
520
Dana Holding Corp
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235825205
4044
209440
SH
SOLE
208990
0
450
Deluxe Corp
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248019101
6541
90632
SH
SOLE
89772
0
860
EMCOR Group Inc
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29084Q100
6677
106061
SH
SOLE
104851
0
1210
ERA Group Inc
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26885G109
9013
679678
SH
SOLE
678278
0
1400
Eagle Bancorp Inc
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268948106
17173
287650
SH
SOLE
286220
0
1430
Electronics For Imaging Inc
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286082102
18413
377090
SH
SOLE
375220
0
1870
Essent Group Limited
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G3198U102
6990
193260
SH
SOLE
191220
0
2040
FNFV Group
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31620R402
10550
796198
SH
SOLE
794738
0
1460
Ferro Corp
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315405100
11279
742520
SH
SOLE
740880
0
1640
First Financial BanCorp
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320209109
11192
407728
SH
SOLE
406888
0
840
Firstcash Inc
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33767D105
16030
326135
SH
SOLE
325765
0
370
Freightcar America Inc
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357023100
5598
446750
SH
SOLE
445700
0
1050
GATX Corp
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361448103
6626
108690
SH
SOLE
107520
0
1170
GCP Applied Technologies Inc
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36164Y101
19150
586510
SH
SOLE
583260
0
3250
Global Power Equipment Group I
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37941P306
1144
257041
SH
SOLE
257041
0
0
Graphic Packaging Holding Co
Com
388689101
6393
496740
SH
SOLE
492400
0
4340
Great Lakes Dredge & Dock Corp
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390607109
9027
2256716
SH
SOLE
2252156
0
4560
Great Southern Bancorp
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390905107
10763
213128
SH
SOLE
212688
0
440
Greenbrier Companies Inc
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393657101
2840
65884
SH
SOLE
65744
0
140
Handy & Harman Limited
Com
410315105
385
14140
SH
SOLE
14140
0
0
Hardinge Inc
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412324303
362
32200
SH
SOLE
32200
0
0
HealthSouth Corp
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421924309
6498
151782
SH
SOLE
150237
0
1545
Heartland Financial USA Inc
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42234Q102
13094
262149
SH
SOLE
261609
0
540
Heritage Crystal Clean Inc
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42726M106
6280
458420
SH
SOLE
457550
0
870
Horace Mann Educators Corp
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440327104
18771
457261
SH
SOLE
455171
0
2090
Houston Wire & Cable Company
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44244K109
2968
439648
SH
SOLE
438738
0
910
IEC Electronics Corp
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44949L105
307
80000
SH
SOLE
80000
0
0
ILG Inc
Com
44967H101
12753
608448
SH
SOLE
607158
0
1290
ITT Corporation
Com
45073V108
6393
155860
SH
SOLE
154430
0
1430
Independent Bank Corp
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453836108
6051
93088
SH
SOLE
91998
0
1090
Interface Inc
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458665304
11002
577540
SH
SOLE
576370
0
1170
Intrepid Potash Inc
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46121Y102
4380
2546322
SH
SOLE
2540742
0
5580
Jakks Pacific Inc
Com
47012E106
566
102930
SH
SOLE
102020
0
910
Kaiser Aluminum Corp
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483007704
10074
126080
SH
SOLE
125820
0
260
Kimball Electronics Inc
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49428J109
4988
294261
SH
SOLE
293701
0
560
Kimball International Inc
Com
494274103
3935
238493
SH
SOLE
237983
0
510
Kindred Healthcare Inc
Com
494580103
19301
2311471
SH
SOLE
2300248
0
11223
Kirby Corporation
Com
497266106
5435
77040
SH
SOLE
76260
0
780
LHC Group Inc
Com
50187A107
13707
254310
SH
SOLE
253790
0
520
Lakeland Financial Corp
Com
511656100
11140
258357
SH
SOLE
257822
0
535
M/I Homes Inc
Com
55305B101
11017
449690
SH
SOLE
448730
0
960
MDC Holdings Inc
Com
552676108
6873
228706
SH
SOLE
226375
0
2331
MGP Ingredients Inc
Com
55303J106
15552
286780
SH
SOLE
286200
0
580
Materion Corp
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576690101
8332
248353
SH
SOLE
247873
0
480
McGrath Rentcorp
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580589109
15954
475232
SH
SOLE
472762
0
2470
Mercer Int'l Inc
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588056101
11377
972377
SH
SOLE
970257
0
2120
Miller Industries Inc
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600551204
5751
218241
SH
SOLE
217781
0
460
Moog Inc
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615394202
6132
91050
SH
SOLE
90050
0
1000
NMI Holdings Inc
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629209305
15180
1331542
SH
SOLE
1328842
0
2700
Navigators Group Inc
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638904102
12693
233766
SH
SOLE
233246
0
520
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64156L101
9762
3813088
SH
SOLE
3805198
0
7890
Nexeo Solutions Inc
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65342H102
11049
1247076
SH
SOLE
1244366
0
2710
Oceaneering International Inc
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675232102
5994
221350
SH
SOLE
219270
0
2080
Omega Flex Inc
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682095104
430
9000
SH
SOLE
9000
0
0
Orchids Paper Products Company
Com
68572N104
3036
126500
SH
SOLE
126240
0
260
Outfront Media Inc
Com
69007J106
7090
267054
SH
SOLE
265013
0
2041
Overseas Shipholding Group Inc
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69036R863
3249
841765
SH
SOLE
840025
0
1740
Park Electrochemical Corp
Com
700416209
434
24280
SH
SOLE
24280
0
0
Ply Gem Holdings Inc
Com
72941W100
16989
862384
SH
SOLE
860624
0
1760
Polyone Corp
Com
73179P106
5489
161023
SH
SOLE
159483
0
1540
Primerica Inc
Com
74164M108
19929
242448
SH
SOLE
241108
0
1340
Regal Beloit Corp
Com
758750103
12436
164395
SH
SOLE
164055
0
340
Rogers Corp
Com
775133101
7480
87104
SH
SOLE
86924
0
180
SJW Corp
Com
784305104
4589
95172
SH
SOLE
94982
0
190
School Specialty Inc
Com
807864103
5625
45000
SH
SOLE
45000
0
0
Seaboard Corp
Com
811543107
7534
1807
SH
SOLE
1788
0
19
Seaworld Entertainment Inc
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81282V100
18729
1025101
SH
SOLE
1021051
0
4050
Snap On Inc
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833034101
6232
36950
SH
SOLE
36660
0
290
Southside Bancshares Inc
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84470P109
13890
413759
SH
SOLE
413021
0
738
Steelcase Inc
Com
858155203
4053
241984
SH
SOLE
241474
0
510
Stepan Co
Com
858586100
7207
91445
SH
SOLE
91255
0
190
Stock Yard Bancorp Inc
Com
861025104
11287
277672
SH
SOLE
277087
0
585
Stoneridge Inc
Com
86183P102
9919
546780
SH
SOLE
545670
0
1110
Textainer Group Holdings Ltd
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G8766E109
6031
394170
SH
SOLE
389290
0
4880
Trico Bancshares
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896095106
12228
344148
SH
SOLE
343528
0
620
Triton International Ltd
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G9078F107
10141
393230
SH
SOLE
392390
0
840
Tutor Perini Corp
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901109108
12141
381780
SH
SOLE
380990
0
790
Unifi Inc
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904677200
13058
459954
SH
SOLE
459064
0
890
Universal Stainless & Alloy Pr
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913837100
475
27950
SH
SOLE
27950
0
0
VWR Corp
Com
91843L103
6947
246340
SH
SOLE
244350
0
1990
Vasco Data Security Inc
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92230Y104
2465
182600
SH
SOLE
181840
0
760
Vishay Intertechnology Inc
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928298108
17066
1037475
SH
SOLE
1031987
0
5488
Vista Outdoor Inc
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11502
558620
SH
SOLE
556150
0
2470
WSFS Financial Corp
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6223
135433
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SOLE
135153
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280
Wabash National Corp
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929566107
10852
524495
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SOLE
523425
0
1070
West Marine Inc
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954235107
3562
373333
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SOLE
372613
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720
Westlake Chemical Corp
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960413102
6854
103770
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SOLE
102500
0
1270
Winnebago Industries Inc
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974637100
10775
368388
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SOLE
367608
0
780