Now live: Pro — the full 13F research suite for serious investorsSee pricing →
Dean Capital Management

Q1 2024 · 13F-HR

Dean Capital Managementholdings as filed

Filed 2024-05-14 · accession 0001455468-24-000002

$171.9M
Reported value
126
Positions
2024-03-31
Period end
View analyzed profile →PRO

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
72147K108PPCPilgrim's Pride Corp$2.7M1.59%79,605CommonSOLE
84857L101SRSpire Inc$2.5M1.45%40,505CommonSOLE
74112D101PBHPrestige Consumer Healthcare I$2.3M1.33%31,488CommonSOLE
05379B107AVAAvista Corp$2.2M1.28%62,798CommonSOLE
827048109SLGNSilgan Holdings Inc$2.1M1.25%44,115CommonSOLE
754730109RJFRaymond James Financial Inc$2.1M1.21%16,225CommonSOLE
69343t107PJT Partners Inc$2.1M1.20%21,919CommonSOLE
29261A100EHCEncompass Health Corp$2.1M1.20%24,948CommonSOLE
26969p108Eagle Materials Inc$2.0M1.18%7,455CommonSOLE
723787107PXDEURPioneer Nat Res Co$1.9M1.13%7,387CommonSOLE
45073v108ITT Inc$1.9M1.10%13,920CommonSOLE
95058W100WENWendy's Company/The$1.9M1.10%100,484CommonSOLE
292218104EIGEmployers Holdings$1.9M1.10%41,495CommonSOLE
416515104HIGHartford Financial Services Gr$1.9M1.09%18,255CommonSOLE
745867101PHMPulteGroup Inc$1.9M1.09%15,527CommonSOLE
128030202CALMCal Maine Foods Inc$1.9M1.08%31,616CommonSOLE
04621X108AIZAssurant Inc$1.9M1.08%9,882CommonSOLE
950755108WERNWerner Enterprises Inc$1.9M1.08%47,340CommonSOLE
422347104HTLDHeartland Express Inc$1.8M1.07%153,913CommonSOLE
502431109LHXL3Harris Technologies Inc$1.8M1.07%8,596CommonSOLE
260003108DOVDover Corp$1.8M1.06%10,319CommonSOLE
064058100BKBank of NY Mellon$1.8M1.05%31,432CommonSOLE
811543107SEBSeaboard Corp$1.8M1.05%559CommonSOLE
053611109AVYAvery Dennison Corp$1.8M1.02%7,885CommonSOLE
29364G103ETREntergy Corp$1.7M1.02%16,536CommonSOLE
084423102WRBWR Berkley Corp$1.7M1.01%19,564CommonSOLE
04010e109Argan Inc$1.7M1.00%34,020CommonSOLE
68235p108One Gas Inc$1.7M1.00%26,601CommonSOLE
459506101IFFInternational Flavors & Fragra$1.7M0.99%19,885CommonSOLE
759351604RGAReinsurance Group Of America$1.7M0.99%8,825CommonSOLE
443510607HUBBHubbell Inc$1.7M0.99%4,089CommonSOLE
03076C106AMPAmeriprise Financial Inc$1.7M0.98%3,849CommonSOLE
099724106BWABorgWarner Inc$1.7M0.98%48,538CommonSOLE
12504L109CBRECBRE Group Inc$1.7M0.98%17,327CommonSOLE
78467J100SSNCSS&C Technologies Holdings$1.7M0.97%25,798CommonSOLE
681919106OMCOmnicom Group$1.7M0.97%17,151CommonSOLE
85254J102STAGStag Industrial Inc$1.6M0.96%42,831CommonSOLE
314211103FHIFederated Hermes Inc$1.6M0.96%45,558CommonSOLE
87901J105TGNATEGNA Inc$1.6M0.95%109,275CommonSOLE
198516106COLMColumbia Sportswear Co Com$1.6M0.94%19,919CommonSOLE
37940X102GPNGlobal Payments Inc$1.6M0.94%12,064CommonSOLE
670837103OGEOGE Energy Corp$1.6M0.94%46,922CommonSOLE
042735100ARWArrow Electronics Inc$1.6M0.94%12,425CommonSOLE
760759100RSGRepublic Services Inc$1.6M0.93%8,371CommonSOLE
743606105PBProsperity Bancshares Inc$1.6M0.93%24,283CommonSOLE
G9618E107WTMWhite Mountains Insurance Grou$1.6M0.93%890CommonSOLE
104674106BRCBrady Corp$1.6M0.93%26,932CommonSOLE
029899101AWRAmerican States Water Co$1.6M0.91%21,745CommonSOLE
912008109USFDUS Foods Holding Corp$1.6M0.91%28,862CommonSOLE
126349109CSNCSG Systems International Inc$1.6M0.90%30,174CommonSOLE
053332102AZOAutoZone Inc$1.5M0.89%488CommonSOLE
7591EP100RFRegions Financial Corp$1.5M0.89%72,558CommonSOLE
736508847PORPortland General Electric Co$1.5M0.88%36,006CommonSOLE
74727a104QCR Holdings Inc$1.5M0.87%24,707CommonSOLE
37959e102Globe Life$1.5M0.87%12,791CommonSOLE
146229109CRICarter's Inc$1.5M0.86%17,510CommonSOLE
205887102CAGConagra Brands$1.5M0.86%49,944CommonSOLE
74834L100DGXQuest Diagnostics Inc$1.5M0.86%11,047CommonSOLE
G36738105FDPFresh Del Monte Produce Inc$1.5M0.85%56,663CommonSOLE
758750103RRXRegal Rexnord Corp$1.5M0.85%8,128CommonSOLE
08160H101BHEBenchmark Electronics Inc$1.4M0.84%48,297CommonSOLE
G50871105JAZZJazz Pharmaceuticals Inc$1.4M0.83%11,889CommonSOLE
231561101CWCurtiss Wright Corp$1.4M0.83%5,585CommonSOLE
336901103SRCE1st Source Corp$1.4M0.83%27,226CommonSOLE
147528103CASYCasey's General Stores Inc$1.4M0.83%4,477CommonSOLE
854502101SWKStanley Black & Decker Inc$1.4M0.82%14,466CommonSOLE
577933104MMSMaximus Inc$1.4M0.82%16,805CommonSOLE
95040q104Welltower Inc$1.4M0.82%15,042CommonSOLE
049560105ATOAtmos Energy Corp$1.4M0.82%11,791CommonSOLE
05722G100BKRBaker Hughes Co$1.4M0.81%41,514CommonSOLE
758849103REGRegency Centers Corp$1.4M0.80%22,766CommonSOLE
11133T103BRBroadridge Financial Solutions$1.4M0.79%6,667CommonSOLE
053484101AVBAvalonbay Communities Inc$1.4M0.79%7,358CommonSOLE
14174t107CareTrust REIT Inc$1.4M0.79%55,715CommonSOLE
15189T107CNPCenterpoint Energy Inc$1.3M0.78%47,263CommonSOLE
537008104LFUSLittelfuse Inc$1.3M0.78%5,499CommonSOLE
858586100SCLStepan Co$1.3M0.77%14,783CommonSOLE
78648T100SAFTSafety Insurance Group Inc$1.3M0.77%16,121CommonSOLE
874054109TTWOTake-Two Interactive Software$1.3M0.77%8,906CommonSOLE
64031N108NNINelnet Inc$1.3M0.76%13,777CommonSOLE
553530106MSMMSC Industrial Direct$1.3M0.76%13,433CommonSOLE
372460105GPCGenuine Parts Co$1.3M0.75%8,315CommonSOLE
830566105SKAASkechers USA Inc$1.3M0.74%20,719CommonSOLE
98956P102ZBHZimmer Biomet Holdings Inc$1.3M0.73%9,501CommonSOLE
006739106ADUSAddus Homecare Corp$1.3M0.73%12,103CommonSOLE
25264R207BVEDiamond Hill Investment Group$1.2M0.72%7,975CommonSOLE
05550J101BJBJ's Wholesale Club Holdings$1.2M0.71%16,225CommonSOLE
g39108108Gates Indusrial Corp PLC$1.2M0.71%68,701CommonSOLE
023608102AEEAmeren Corp$1.2M0.70%16,322CommonSOLE
002474104AZZAZZ Inc$1.2M0.68%15,184CommonSOLE
390905107GSBCGreat Southern Bancorp Inc$1.1M0.66%20,648CommonSOLE
98850P109YUMCYum China Holdings Inc$1.1M0.61%26,524CommonSOLE
853666105SMPStandard Motor Products Inc$1.1M0.61%31,343CommonSOLE
981475106WKCWorld Kinect Corp$1.1M0.61%39,699CommonSOLE
00751Y106AAPAdvance Auto Parts Inc$1.0M0.60%12,048CommonSOLE
524660107LEGLeggett & Platt Inc$1.0M0.59%52,700CommonSOLE
783859101STBAS&T Bancorp Inc$1.0M0.58%31,262CommonSOLE
703395103PDCOEURPatterson Companies Inc$993,1050.58%35,917CommonSOLE
374297109GTYGetty Realty Corp$982,3300.57%35,917CommonSOLE
74319R101PRGPROG Holdings$893,1670.52%25,934CommonSOLE
046224101ASTEAstec Industries Inc$884,9530.51%20,246CommonSOLE
133034108CACCamden National Corp$882,3800.51%26,324CommonSOLE
418056107HASHasbro Inc$849,4960.49%15,030CommonSOLE
149150104CATYCathay General Bancorp$839,7130.49%22,197CommonSOLE
938824109WAFDWaFd Inc$821,2880.48%28,291CommonSOLE
847215100SRJSpartanNash Co$819,4550.48%40,547CommonSOLE
001744101AMNAMN Healthcare Services Inc$704,1750.41%11,265CommonSOLE
56117J100MBUUMalibu Boats Inc$695,7260.40%16,075CommonSOLE
89469A104THSTreehouse Foods Inc$681,1580.40%17,488CommonSOLE
84790a105Spectrum Brands Holdings Inc$675,0520.39%7,584CommonSOLE
453836108INDBIndependent Bank Corp$672,9310.39%12,936CommonSOLE
94188P101WSBFWaterstone Financial Inc$645,4970.38%53,040CommonSOLE
925550105VIAVViavi Solutions Inc$640,3090.37%70,441CommonSOLE
405024100HAEHaemonetics Corp$637,9060.37%7,474CommonSOLE
G97822103PRGOPerrigo Co plc$611,4490.36%18,995CommonSOLE
668074305NWENorthwestern Energy Group Inc$594,4550.35%11,672CommonSOLE
479167108JOUTJohnson Outdoors Inc$582,7380.34%12,638CommonSOLE
222795502CUZCousins Properties Inc$510,7540.30%21,246CommonSOLE
92511U102VRRMVerra Mobility Corp$508,3140.30%20,357CommonSOLE
91359E105UHTUniversal Health Realty Income$493,3460.29%13,439CommonSOLE
00922R105ATSG*Air Transport Services Group$450,4060.26%32,733CommonSOLE
66765N105NWNNorthwest Natural Holding Co$450,2500.26%12,097CommonSOLE
928298108VSHVishay Intertechnology Inc$410,3040.24%18,091CommonSOLE
128246105CVGWCalavo Growers Inc$391,0090.23%14,060CommonSOLE
262037104DRQEURDril-Quip Inc$301,5640.18%13,385CommonSOLE
68373J104LPROOpen Lending Corp$207,3250.12%33,119CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.