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Institutional Investment Manager
DELPHI MANAGEMENT INC /MA/
DELPHI MANAGEMENT INC /MA/ (CIK: 0000767684) incorporated in Massachusetts, located at 9 Sears Rd, Brookline, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 93 holdings with a total value of $171,241,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 HUTTIG BLDG PRODS INC COM 58,667 388,000 0.23%
2 LIBERTY MEDIA HOLDING CP INTER A 22,696 453,000 0.26%
3 SKECHERS U S A INC 18,565 456,000 0.27%
4 TEGNA INC 23,634 506,000 0.30%
5 LIBERTY GLOBAL PLC 16,635 509,000 0.30%
6 ACME UTD CORP 20,632 528,000 0.31%
7 COMMSCOPE HLDG COMPANY INCORPORATED 14,409 536,000 0.31%
8 Century Bancorp Inc Mass 10,301 618,000 0.36%
9 CAMDEN NATL CORP 13,998 622,000 0.36%
10 HOOKER FURNITURE CORP 17,747 673,000 0.39%
11 Southern Missouri Bancorp Inc 19,143 677,000 0.40%
12 CALATLANTIC GROUP INC 22,590 768,000 0.45%
13 TOWNSQUARE MEDIA INC CL A 88,655 923,000 0.54%
14 ULTRA CLEAN HLDGS INC 102,331 993,000 0.58%
15 JOHNSON CTLS INTL PLC 24,183 996,000 0.58%
16 LIBERTY GLOBAL PLC 34,177 1,015,000 0.59%
17 CARDINAL HEALTH INC 14,837 1,068,000 0.62%
18 ARGAN INC 15,303 1,080,000 0.63%
19 SINCLAIR BROADCAST GROUP INC 33,158 1,106,000 0.65%
20 HONEYWELL INTL INC 10,128 1,173,000 0.68%
21 TRIPLEPOINT VENTURE GROWTH B COM 102,234 1,204,000 0.70%
22 MCKESSON CORP 8,813 1,238,000 0.72%
23 PVH CORPORATION 13,797 1,245,000 0.73%
24 SCRIPPS NETWORKS INTERACT IN 17,538 1,252,000 0.73%
25 ICF INTL INC COM 23,459 1,295,000 0.76%
26 M/I HOMES INC 53,498 1,347,000 0.79%
27 BELDEN INC 18,362 1,373,000 0.80%
28 MICROSEMI CORP 25,729 1,389,000 0.81%
29 OMEGA HEALTHCARE INVS INC 49,495 1,547,000 0.90%
30 ICON PLC 20,584 1,548,000 0.90%
31 MYLAN N V 40,841 1,558,000 0.91%
32 ANIXTER INTL INC 19,722 1,598,000 0.93%
33 SHIRE PLC 9,560 1,629,000 0.95%
34 SUPER MICRO COMPUTER INC COM 58,539 1,642,000 0.96%
35 Allergan PLC 8,147 1,711,000 1.00%
36 BRINKER INTL INC 36,769 1,821,000 1.06%
37 LIFE STORAGE INC 21,388 1,824,000 1.07%
38 FREEPORT-MCMORAN INC 138,435 1,826,000 1.07%
39 TYSON FOODS INC 29,881 1,843,000 1.08%
40 LIONBRIDGE TECHNOLOGIES ORD 329,546 1,911,000 1.12%
41 CVS HEALTH CORP 24,241 1,913,000 1.12%
42 QUEST DIAGNOSTICS INC 21,059 1,935,000 1.13%
43 NATIONAL GEN HLDGS CORP COM 78,314 1,957,000 1.14%
44 BOEING CO 12,578 1,958,000 1.14%
45 WYNDHAM WORLDWIDE CORP 25,702 1,963,000 1.15%
46 CHUBB LIMITED 15,005 1,982,000 1.16%
47 LYONDELLBASELL INDUSTRIES N 23,149 1,986,000 1.16%
48 DISNEY WALT CO 19,291 2,011,000 1.17%
49 OMNICOM GROUP INC 23,799 2,026,000 1.18%
50 CUSTOMERS BANCORP INC COM 57,023 2,043,000 1.19%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000767684-17-000002, filed 2017.02.16).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.