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Institutional Investment Manager
JAMES INVESTMENT RESEARCH, INC.
JAMES INVESTMENT RESEARCH, INC. (CIK: 0000810384) incorporated in Ohio, located at 1349 Fairground Rd, Alpha, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0000810384-16-000011) filed in 2016.07.15
#
Name
Shares
Value ($)
%
Options
Notes
651 SONOCO PRODS CO 153,480 7,622 0.19%
652 APPLE INC 80,201 7,667 0.19%
653 WESCO INTERNATIONAL 152,075 7,830 0.20%
654 Express 548,165 7,954 0.20%
655 SPDR Short Term Municipal Bond 163,794 8,039 0.20%
656 FedEx Corp 53,604 8,136 0.21%
657 DEERE & CO 100,490 8,144 0.21%
658 Westar Energy Inc 148,250 8,315 0.21%
659 FIFTH THIRD BANCORP 481,645 8,472 0.21%
660 PNC FINL SVCS GROUP INC 104,235 8,484 0.21%
661 ISHARES TR 76,369 8,497 0.21%
662 Wyndham Worldwide 119,308 8,498 0.22%
663 ISHARES 7-10 YEAR TREASURY BOND ETF 76,092 8,595 0.22%
664 FORD MTR CO DEL 684,086 8,599 0.22%
665 ACCO BRANDS CORP 833,673 8,612 0.22%
666 CISCO SYSTEMS INC 301,469 8,649 0.22%
667 PINNACLE WEST 106,750 8,653 0.22%
668 Goldman Sachs Group Inc 58,280 8,659 0.22%
669 WAL-MART STORES INC 120,195 8,777 0.22%
670 FOOT LOCKER INC 161,337 8,851 0.22%
671 ISHARES TR 80,714 8,876 0.22%
672 MATSON INC 278,350 8,988 0.23%
673 CVS HEALTH CORP 94,516 9,049 0.23%
674 BANK MONTREAL QUE 143,766 9,113 0.23%
675 GOVERNMENT PROPERTIES INCOME 397,272 9,161 0.23%
676 LILLY ELI & CO 116,623 9,184 0.23%
677 PPG INDS INC 88,682 9,236 0.23%
678 CAL MAINE FOODS INC 208,591 9,245 0.23%
679 ISHARES TR 77,161 9,470 0.24%
680 UNUM GROUP 300,200 9,543 0.24%
681 NEWFIELD EXPL CO 220,942 9,761 0.25%
682 BRANDYWINE RLTY TR 594,547 9,988 0.25%
683 BP PLC 286,990 10,191 0.26%
684 EBIX INC 213,681 10,235 0.26%
685 WAL-MART STORES INC 140,242 10,240 0.26%
686 Travelers Cos Inc 86,132 10,253 0.26%
687 INTERNATIONAL BUSINESS MACHS 67,657 10,269 0.26%
688 SMITH & WESSON HLDG 383,395 10,421 0.26%
689 EPLUS INC COM 127,473 10,426 0.26%
690 ISHARES TR 95,526 10,505 0.27%
691 Chubb Limited 80,471 10,518 0.27%
692 BARRICK GOLD CORP 501,104 10,699 0.27%
693 CHIMERA INVT CORP 685,331 10,760 0.27%
694 Center Point Energy Inc 457,565 10,982 0.28%
695 MAGNA INTL INC 314,890 11,043 0.28%
696 ANNALY CAP MGMT INC 998,802 11,057 0.28%
697 DTE ENERGY CO 112,603 11,161 0.28%
698 PINNACLE WEST 137,829 11,172 0.28%
699 FedEx Corp 73,764 11,196 0.28%
700 NEWELL BRANDS INC 235,368 11,432 0.29%
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