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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 (2016Q3)
Original 13F HR (0001037792-16-000061) filed in 2016.11.10
#
Name
Shares
Value ($)
%
Options
Notes
51 SHORETEL INC 636,500 5,092 0.53%
52 RADISYS CORP COM 935,042 4,998 0.52%
53 MASIMO CORP 67,550 4,019 0.42%
54 LMI Aerospace, Inc. 546,500 3,897 0.41%
55 AtriCure Inc 244,300 3,865 0.41%
56 EXTREME NETWORKS INC 850,000 3,816 0.40%
57 SUMMER INFANT INC 1,631,400 3,524 0.37%
58 TIVO CORPORATION COM 173,050 3,371 0.35%
59 SYMANTEC CORP 132,000 3,313 0.35%
60 MICROSEMI CORP 76,100 3,195 0.34%
61 ENDOLOGIX INC 244,100 3,124 0.33%
62 Qorvo Inc 54,280 3,026 0.32%
63 ALLSCRIPTS HEALTHCARE SOLUTN 227,500 2,996 0.31%
64 MEDNAX INC COM 44,725 2,963 0.31%
65 FOOT LOCKER INC 41,300 2,797 0.29%
66 PERKINELMER INC 46,850 2,629 0.28%
67 NEFF CORP 268,340 2,549 0.27%
68 DUCOMMUN INC DEL COM 110,000 2,512 0.26%
69 Mid-Amer Apt Cmntys Inc 25,715 2,417 0.25%
70 Vocera Communications Inc 142,955 2,416 0.25%
71 CITI TRENDS INC COM 120,000 2,392 0.25%
72 Mitel Networks Corporation 318,600 2,345 0.25%
73 EMCORE CORP 410,000 2,337 0.25%
74 MICROSEMI CORP 52,900 2,221 0.23%
75 LATTICE SEMICONDUCTOR CORP 340,000 2,207 0.23%
76 J2 GLOBAL INC 32,900 2,191 0.23%
77 MATRIX SVC CO 116,800 2,191 0.23%
78 IAC/INTERACTIVE 34,900 2,180 0.23%
79 FOOT LOCKER INC 32,175 2,179 0.23%
80 TERADYNE INC 100,400 2,167 0.23%
81 NEW YORK & CO INC 950,000 2,147 0.23%
82 MAGELLAN HEALTH INC COM NEW 39,900 2,144 0.22%
83 FEDERAL SIGNAL CORP COM 160,000 2,122 0.22%
84 BEST BUY INC 55,550 2,121 0.22%
85 Qorvo Inc 37,425 2,086 0.22%
86 American Eagle Outfitters 112,500 2,009 0.21%
87 PERKINELMER INC 35,550 1,995 0.21%
88 EMCOR GROUP INC 33,275 1,984 0.21%
89 CONVERGYS CORP 65,125 1,981 0.21%
90 IAC/INTERACTIVE 31,200 1,949 0.20%
91 CONVERGYS CORP 64,050 1,948 0.20%
92 J2 GLOBAL INC 28,925 1,927 0.20%
93 SENSIENT TECHNOLOGIES CORP 25,375 1,923 0.20%
94 NATURES SUNSHINE PRODS INC 120,000 1,920 0.20%
95 AZENTA INC COM 139,825 1,903 0.20%
96 Mid-Amer Apt Cmntys Inc 20,050 1,884 0.20%
97 MEDNAX INC COM 28,150 1,865 0.20%
98 CALERES INC 73,700 1,864 0.20%
99 REGAL ENTMT GROUP 84,475 1,837 0.19%
100 MIMEDX GROUP INC COM 212,400 1,822 0.19%
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