Dark
Light
System
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 (2016Q1)
Portfolio Summary: 180 holdings with a total value of $858,828,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 CRAY INCORPORATED COM NEW 764,900 32,057,000 3.73%
2 BROADCOM LTD F 181,200 27,995,000 3.26%
3 CALERES INC COM 864,900 24,468,000 2.85%
4 TTM TECHNOLOGIES INC 3,580,179 23,809,000 2.77%
5 GLOBUS MED INC 952,500 22,622,000 2.63%
6 KAPSTONE PAPER & PACKAGING C 1,578,550 21,863,000 2.55%
7 SKYWORKS SOLUTIONS INC 269,375 20,984,000 2.44%
8 NEW YORK & CO 5,174,409 20,491,000 2.39%
9 MATTSON TECHNOLOGY INC 5,544,655 20,238,000 2.36%
10 EXTREME NETWORKS INC 6,392,900 19,882,000 2.32%
11 Mitel Networks Corporation 2,423,500 19,825,000 2.31%
12 RTI Surgical Inc 4,660,600 18,643,000 2.17%
13 ENERSYS 332,100 18,505,000 2.15%
14 MaxLinear, Inc. 982,870 18,183,000 2.12%
15 Fabrinet 556,000 17,987,000 2.09%
16 KIRKLANDS INC COM 1,017,700 17,820,000 2.07%
17 CITI TRENDS INC COM 953,113 16,994,000 1.98%
18 JABIL INC COM 860,475 16,581,000 1.93%
19 Silicon Graphics Corp 2,124,830 15,128,000 1.76%
20 ALLSCRIPTS HEALTHCARE 1,104,400 14,589,000 1.70%
21 PLY GEM HOLDINGS INC 969,400 13,620,000 1.59%
22 FEDERAL SIGNAL CORP COM 1,020,257 13,529,000 1.58%
23 AMERICAN WOODMARK CORPORATION COM 179,600 13,396,000 1.56%
24 STEIN MART INC 1,733,308 12,705,000 1.48%
25 NATURES SUNSHINE PRODS INC 1,304,765 12,526,000 1.46%
26 DUCOMMUN INC DEL COM 745,600 11,370,000 1.32%
27 Omnicell Inc 402,600 11,221,000 1.31%
28 LATTICE SEMICONDUCTOR CORP 1,907,400 10,834,000 1.26%
29 Imprivata Inc 803,300 10,146,000 1.18%
30 Avid Technology Inc 1,429,100 9,661,000 1.12%
31 BROCADE COMMUNICATIONS SYS I 912,200 9,651,000 1.12%
32 LA Z BOY INC COM 341,900 9,142,000 1.06%
33 HUTTIG BLDG PRODS INC COM 2,462,100 9,061,000 1.06%
34 DATALINK CORP 989,800 9,047,000 1.05%
35 SHORETEL INC 1,134,900 8,443,000 0.98%
36 ULTRA CLEAN HLDGS INC 1,549,999 8,308,000 0.97%
37 JOHNSON & JOHNSON 74,700 8,083,000 0.94%
38 COHU INC COM 670,962 7,971,000 0.93%
39 PEPSICO INC 73,800 7,563,000 0.88%
40 INSIGHT ENTERPRISES INC COM 245,900 7,043,000 0.82%
41 PC CONNECTION INC COM 250,100 6,455,000 0.75%
42 KRATOS DEFNS & SEC SOLTN NEW 1,295,800 6,414,000 0.75%
43 AtriCure Inc 381,125 6,414,000 0.75%
44 COLGATE PALMOLIVE CO 87,800 6,203,000 0.72%
45 STAGE STORES INC 734,600 5,921,000 0.69%
46 NEFF CORP COM CL A 789,191 5,871,000 0.68%
47 Xcerra Corp 891,363 5,812,000 0.68%
48 SYNNEX CORP 56,200 5,203,000 0.61%
49 MICROSEMI CORP 135,000 5,172,000 0.60%
50 LMI Aerospace, Inc. 560,900 4,773,000 0.56%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001037792-16-000059, filed 2016.05.12).

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.