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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 (2016Q2)
Original 13F HR (0001037792-16-000060) filed in 2016.08.09
#
Name
Shares
Value ($)
%
Options
Notes
151 NEW YORK & CO 800,000 1,192 0.15%
152 SHORETEL INC 180,000 1,204 0.15%
153 Legacy TX Financial Group Inc 44,800 1,206 0.15%
154 Gramercy PPTY TR Com 130,928 1,207 0.15%
155 GARMIN LTD 28,800 1,222 0.15%
156 RENASANT CORP 38,000 1,229 0.15%
157 GRANITE CONSTR INC 27,000 1,230 0.15%
158 Express 85,200 1,236 0.15%
159 HILLENBRAND INC 41,550 1,248 0.15%
160 ALLEGHANY CORP 2,275 1,250 0.15%
161 CIENA CORP 67,200 1,260 0.15%
162 AtriCure Inc 90,125 1,273 0.16%
163 FEDERAL SIGNAL CORP 99,700 1,284 0.16%
164 TOWER INTL INC 63,100 1,299 0.16%
165 ASPEN INSURANCE HOLDINGS LTD 28,850 1,338 0.16%
166 KRATOS DEFENSE & SEC SOLUTIO 330,000 1,353 0.16%
167 GLOBUS MED INC 57,100 1,361 0.17%
168 Banner Corp 32,000 1,361 0.17%
169 AMERICAN FINL GROUP INC OHIO 18,575 1,373 0.17%
170 Xcerra Corp 240,000 1,380 0.17%
171 HARVARD BIOSCIENCE INC 486,800 1,392 0.17%
172 FIRST MERCHANTS CORP COM 56,700 1,414 0.17%
173 Blackstone Mortgage Trust 51,300 1,419 0.17%
174 MATRIX SVC CO COM 86,175 1,421 0.17%
175 MAXLINEAR INC 80,000 1,438 0.18%
176 Express 99,475 1,443 0.18%
177 ULTRA CLEAN HLDGS INC 255,000 1,451 0.18%
178 MATRIX SVC CO COM 88,025 1,452 0.18%
179 IAC/INTERACTIVE 25,900 1,458 0.18%
180 SENSIENT TECHNOLOGIES CORP 20,600 1,463 0.18%
181 PTC Inc 40,000 1,503 0.18%
182 TTM TECHNOLOGIES 208,800 1,572 0.19%
183 CONVERGYS CORPORATION 64,525 1,613 0.20%
184 TILLYS INC CL A 291,900 1,690 0.21%
185 IAC/INTERACTIVE 30,100 1,695 0.21%
186 BEST BUY INC 55,550 1,700 0.21%
187 Imprivata Inc 122,800 1,719 0.21%
188 CONVERGYS CORPORATION 68,750 1,719 0.21%
189 FINISH LINE INC CL A 87,000 1,757 0.21%
190 KIRKLANDS INC COM 120,000 1,762 0.21%
191 CALERES INC 73,200 1,772 0.22%
192 RTI Surgical Inc 494,000 1,773 0.22%
193 AZENTA INC COM 158,525 1,779 0.22%
194 J2 GLOBAL INC 28,475 1,799 0.22%
195 MAGELLAN HEALTH INC COM NEW 27,500 1,809 0.22%
196 FOOT LOCKER INC 33,550 1,841 0.22%
197 SENSIENT TECHNOLOGIES CORP 26,050 1,851 0.23%
198 MEDNAX INC COM 25,625 1,856 0.23%
199 MICROSEMI CORP 56,850 1,858 0.23%
200 PERKINELMER INC 35,475 1,860 0.23%
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