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Institutional Investment Manager
SKYLINE ASSET MANAGEMENT LP
SKYLINE ASSET MANAGEMENT LP (CIK: 0001024716) incorporated in Delaware, located at 120 South Lasalle Street, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 67 holdings with a total value of $1,300,359,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 WSFS FINL CORPORATION 222,400 10,219,000 0.79%
2 GILDAN ACTIVEWEAR INC 405,200 10,957,000 0.84%
3 INGEVITY CORP 194,900 11,860,000 0.91%
4 EVERTEC INC COM 777,200 12,357,000 0.95%
5 WINNEBAGO INDS INC COM 434,600 12,712,000 0.98%
6 HILLENBRAND INC 354,800 12,720,000 0.98%
7 Oceanfirst Financial Corporati 457,200 12,882,000 0.99%
8 GENERAC HLDGS INC 348,200 12,981,000 1.00%
9 XCERRA CORP 1,471,106 13,078,000 1.01%
10 LCI INDS 134,650 13,438,000 1.03%
11 PERFICIENT INC COM 789,800 13,711,000 1.05%
12 BROOKLINE BANCORP INC DEL COM 892,800 13,972,000 1.07%
13 MCGRATH RENTCORP 416,800 13,992,000 1.08%
14 COLUMBUS MCKINNON CORP N Y COM 564,250 14,005,000 1.08%
15 CHICOS FAS INC 1,007,700 14,309,000 1.10%
16 Aaron's Inc 500,700 14,891,000 1.15%
17 ICF INTL INC COM 367,300 15,169,000 1.17%
18 HIBBETT INC COM 516,400 15,234,000 1.17%
19 SANMINA CORPORATION COM 389,910 15,830,000 1.22%
20 ENSIGN GROUP INC 846,900 15,922,000 1.22%
21 SIGNET JEWELERS LIMITED 233,400 16,168,000 1.24%
22 JANUS CAP GROUP INC 1,229,130 16,225,000 1.25%
23 SWIFT TRANSN CO 798,800 16,407,000 1.26%
24 ACADIA COMPANY COM 385,900 16,825,000 1.29%
25 NETSCOUT SYS INC 457,600 17,366,000 1.34%
26 ADTRAN INC COM 846,400 17,563,000 1.35%
27 KNOWLES CORP COM 974,312 18,463,000 1.42%
28 VIRTUSA CORPORATION 631,200 19,075,000 1.47%
29 BELDEN INC 276,600 19,138,000 1.47%
30 AMN HEALTHCARE SERVICES INC 473,600 19,228,000 1.48%
31 HOPE BANCORP INC 1,019,100 19,536,000 1.50%
32 KORN FERRY COM NEW 621,800 19,580,000 1.51%
33 VEECO INSTRS INC DEL COM 660,600 19,719,000 1.52%
34 DIEBOLD NXDF INC 644,800 19,795,000 1.52%
35 STERLING BANCORP DEL COM 837,125 19,840,000 1.53%
36 ZEBRA TECHNOLOGIES CORPORATION CL A 218,800 19,966,000 1.54%
37 BERRY PLASTICS GROUP INC 414,400 20,127,000 1.55%
38 STEELCASE INC 1,213,690 20,329,000 1.56%
39 TELEFLEX INC 105,420 20,423,000 1.57%
40 GLATFELTER 940,800 20,453,000 1.57%
41 BENCHMARK ELECTRS INC 653,039 20,767,000 1.60%
42 TRIMAS CORP COM NEW 1,008,300 20,922,000 1.61%
43 LA Z BOY INC COM 783,600 21,157,000 1.63%
44 CROSS CTRY HEALTHCARE INC COM 1,473,989 21,166,000 1.63%
45 MINERALS TECHNOLOGIES INC 282,100 21,609,000 1.66%
46 UMB FINL CORP 291,100 21,923,000 1.69%
47 WNS HOLDINGS LTD 767,700 21,964,000 1.69%
48 FERRO CORP 1,465,200 22,256,000 1.71%
49 ENPRO INDS INC COM 314,200 22,358,000 1.72%
50 UMPQUA HLDGS CORP 1,266,987 22,476,000 1.73%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000913849-17-000199, filed 2017.05.15).

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.