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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
701 HUNTINGTON INGALLS INDS INC 68,160 11,453 0.29%
702 ISHARES TR 90,648 11,544 0.29%
703 ORBITAL ATK INC 138,870 11,823 0.30%
704 LYDALL INC COM 307,590 11,861 0.30%
705 VONAGE HLDGS CORP 1,948,992 11,889 0.30%
706 ARROW ELECTRONICS 194,108 12,015 0.30%
707 UNITED RENTALS INC 180,381 12,104 0.31%
708 DR PEPPER SNAPPLE GROUP INC 126,520 12,226 0.31%
709 PATRICK INDS INC 204,528 12,331 0.31%
710 LENNAR CORP 268,769 12,390 0.31%
711 AETNA INC NEW 103,103 12,592 0.32%
712 BARRICK GOLD CORP 593,490 12,671 0.32%
713 UGI CORP NEW 286,754 12,976 0.33%
714 ISHARES 20 YEAR TREASURY BOND ETF 95,275 13,234 0.33%
715 TORO CO 150,823 13,303 0.34%
716 JPMorgan Chase & Co 215,127 13,368 0.34%
717 CELANESE CORP DEL 204,981 13,416 0.34%
718 NEENAH INC COM 185,720 13,441 0.34%
719 INGLES MKTS INC CL A 362,290 13,513 0.34%
720 MCDERMOTT INTL INC 2,742,890 13,550 0.34%
721 NELNET INC-CL A 390,015 13,553 0.34%
722 KEYCORP NEW 1,228,360 13,573 0.34%
723 BEST BUY INC 444,975 13,616 0.34%
724 ISHARES TR 123,182 13,705 0.35%
725 AMERICAN WOODMARK CORPORATION COM 207,878 13,799 0.35%
726 ISHARES TR 161,731 13,799 0.35%
727 CHEVRON CORP NEW 131,770 13,813 0.35%
728 AVNET INC 341,670 13,841 0.35%
729 GOODYEAR TIRE & RUBR CO 539,578 13,846 0.35%
730 BT Group PLC ADR 500,284 13,933 0.35%
731 Exxon Mobil Corp 148,631 13,933 0.35%
732 ISHARES TR 165,784 14,145 0.36%
733 TORCHMARK CORP COM 229,620 14,195 0.36%
734 CISCO SYSTEMS INC 507,327 14,555 0.37%
735 IDACORP INC 179,755 14,623 0.37%
736 ISHARES TR 126,073 14,709 0.37%
737 UNUM GROUP 473,597 15,056 0.38%
738 PNM RESOURCES INC 425,418 15,077 0.38%
739 COOPER TIRE RUBR CO 510,130 15,212 0.38%
740 ISHARES TR 144,531 15,333 0.39%
741 Endurance Specialty Holdings L 229,818 15,435 0.39%
742 KROGER CO 419,581 15,436 0.39%
743 SOUTHWEST AIRLS CO 397,708 15,594 0.39%
744 Helen of Troy, Ltd 154,379 15,876 0.40%
745 Innospec Inc 359,100 16,515 0.42%
746 AT&T Inc New 387,509 16,744 0.42%
747 Verizon Communications Inc 305,094 17,036 0.43%
748 EDISON INTL 224,977 17,474 0.44%
749 INTEL CORP 544,126 17,847 0.45%
750 DTE ENERGY CO 180,835 17,924 0.45%
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