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Institutional Investment Manager
PARADIGM CAPITAL MANAGEMENT INC/NY
PARADIGM CAPITAL MANAGEMENT INC/NY (CIK: 0001037792) incorporated in New York, located at 9 Elk Street, Albany, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 200 holdings with a total value of $896,908,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 CRAY INCORPORATED COM NEW 959,500 31,136,000 3.47%
2 KAPSTONE PAPER & PACKAGING C 1,336,850 30,200,000 3.37%
3 GLOBUS MED INC 949,500 26,415,000 2.95%
4 BROADCOM LTD F 181,200 26,301,000 2.93%
5 CALERES INC COM 864,900 23,197,000 2.59%
6 TTM TECHNOLOGIES INC 3,450,179 22,461,000 2.50%
7 EXTREME NETWORKS INC 5,180,847 21,137,000 2.36%
8 SKYWORKS SOLUTIONS INC 269,450 20,702,000 2.31%
9 JABIL INC COM 860,650 20,045,000 2.23%
10 Fabrinet 836,200 19,919,000 2.22%
11 MaxLinear, Inc. 1,343,830 19,795,000 2.21%
12 ENERSYS 335,600 18,770,000 2.09%
13 RTI Surgical Inc 4,438,200 17,620,000 1.96%
14 ALLSCRIPTS HEALTHCARE 1,104,400 16,986,000 1.89%
15 FEDERAL SIGNAL CORP COM 1,061,000 16,817,000 1.87%
16 CITI TRENDS INC COM 773,213 16,430,000 1.83%
17 KIRKLANDS INC COM 1,128,200 16,359,000 1.82%
18 Mitel Networks Corporation 2,033,000 15,633,000 1.74%
19 MATTSON TECHNOLOGY INC 4,388,100 15,490,000 1.73%
20 AMERICAN WOODMARK CORPORATION COM 179,600 14,364,000 1.60%
21 Silicon Graphics Corp 2,222,600 13,113,000 1.46%
22 LATTICE SEMICONDUCTOR CORP 2,007,400 12,988,000 1.45%
23 Omnicell Inc 412,600 12,824,000 1.43%
24 NATURES SUNSHINE PRODS INC 1,264,765 12,800,000 1.43%
25 Francesca's Holdings Corp 713,366 12,420,000 1.38%
26 DUCOMMUN INC DEL COM 725,600 11,770,000 1.31%
27 NEW YORK & CO 5,056,100 11,579,000 1.29%
28 BROCADE COMMUNICATIONS SYS I 1,224,400 11,240,000 1.25%
29 PLY GEM HOLDINGS INC 888,640 11,144,000 1.24%
30 Avid Technology Inc 1,509,100 11,001,000 1.23%
31 STEIN MART INC 1,624,900 10,935,000 1.22%
32 INSTEEL INDUSTRIES 510,788 10,686,000 1.19%
33 SHORETEL INC 1,094,900 9,690,000 1.08%
34 HUTTIG BLDG PRODS INC COM 2,462,100 9,356,000 1.04%
35 PTC Inc 267,100 9,250,000 1.03%
36 STAGE STORES INC 961,900 8,763,000 0.98%
37 LA Z BOY INC COM 351,900 8,593,000 0.96%
38 AVINGER INC 367,056 8,336,000 0.93%
39 INSIGHT ENTERPRISES INC COM 326,000 8,189,000 0.91%
40 Imprivata Inc 705,776 7,976,000 0.89%
41 JOHNSON & JOHNSON 74,760 7,679,000 0.86%
42 FINISH LINE INC CL A 415,700 7,516,000 0.84%
43 PEPSICO INC 74,303 7,424,000 0.83%
44 ULTRA CLEAN HLDGS INC 1,340,400 6,863,000 0.77%
45 DATALINK CORP 989,800 6,730,000 0.75%
46 PC CONNECTION INC COM 280,100 6,341,000 0.71%
47 COLGATE PALMOLIVE CO 87,800 5,849,000 0.65%
48 AtriCure Inc 247,525 5,554,000 0.62%
49 J2 GLOBAL INC 62,625 5,155,000 0.57%
50 SYNNEX CORP 56,500 5,081,000 0.57%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001037792-16-000042, filed 2016.02.10).

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.