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Institutional Investment Manager
LSV ASSET MANAGEMENT
LSV ASSET MANAGEMENT (CIK: 0001050470) incorporated in Delaware, located at 155 North Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001050470-16-000068) filed in 2016.05.10
#
Name
Shares
Value ($)
%
Options
Notes
451 PENNSYLVANIA REAL ESTATE INV 350,524 7,658 0.02%
452 PRIMERICA INC 171,484 7,636 0.02%
453 HILLENBRAND INC 252,313 7,556 0.02%
454 BLACK BOX CORP DEL 555,847 7,487 0.02%
455 REPUBLIC BANCORP KY CL A 288,947 7,463 0.02%
456 QUAD/GRAPHICS INC 575,948 7,452 0.02%
457 DELPHI AUTOMOTIVE PLC 98,940 7,422 0.02%
458 BAKER HUGHES INC 167,700 7,350 0.02%
459 AMERICAN NATL INS CO COM 63,603 7,346 0.02%
460 GLOBAL BRASS & COPPR HLDGS INC 290,355 7,244 0.02%
461 BERKSHIRE HATHAWAY INC DEL 50,100 7,108 0.01%
462 FIRST DEFIANCE FINL CORP 180,053 6,915 0.01%
463 EMERSON ELEC CO 126,000 6,851 0.01%
464 NEWPORT CORP 297,179 6,835 0.01%
465 NAVIGANT CONSULTING INC 427,405 6,757 0.01%
466 CORENERGY INFRASTRUCTURE TR 334,804 6,732 0.01%
467 INNOSPEC INC 154,558 6,701 0.01%
468 CENTERPOINT ENERGY INC 320,300 6,700 0.01%
469 FIRST MERCHANTS CORP 278,038 6,553 0.01%
470 GREEN PLAINS INC COM 404,800 6,460 0.01%
471 TENNECO INC 124,800 6,428 0.01%
472 PC CONNECTION INC 247,787 6,395 0.01%
473 VEDANTA LTD 1,162,229 6,392 0.01%
474 APPLIED MATLS INC 301,400 6,383 0.01%
475 CATERPILLAR INC 81,900 6,268 0.01%
476 COMTECH TELECOMMUNICATIONS C 267,100 6,242 0.01%
477 CANON INC 208,200 6,208 0.01%
478 DIGITAL RLTY TR INC 69,000 6,105 0.01%
479 FIRST CMNTY BANKSHARES INC V 307,016 6,091 0.01%
480 ATMOS ENERGY CORP 81,700 6,067 0.01%
481 PLANTRONICS INCORPORATED NEW 152,802 5,988 0.01%
482 VECTRUS INC 262,181 5,964 0.01%
483 Macquarie Group Ltd ADR 117,100 5,953 0.01%
484 ARES CAPITAL CORP 397,951 5,905 0.01%
485 FIRSTMERIT CORPORATION 280,400 5,902 0.01%
486 Trico Bancshs Chico 232,936 5,897 0.01%
487 TE CONNECTIVITY LTD 95,000 5,882 0.01%
488 Enterprise Finl Svcs Corp 213,190 5,764 0.01%
489 COCA COLA EUROPEAN PARTNERS SHS 112,600 5,713 0.01%
490 BEL FUSE INC CL B 391,294 5,712 0.01%
491 CIRRUS LOGIC INC COM 156,200 5,687 0.01%
492 Australia and New Zealand Banking Group Ltd 316,900 5,674 0.01%
493 FOSTER L B CO CL A 311,647 5,659 0.01%
494 Mercantile Bank Corp 251,917 5,647 0.01%
495 MARRIOTT VACATIONS WORLDWIDE C COM 82,400 5,561 0.01%
496 TSAKOS ENERGY NAVIGATION LTD 899,675 5,559 0.01%
497 SANOFI 135,900 5,457 0.01%
498 MURPHY USA INC 88,400 5,432 0.01%
499 Alon USA Energy, Inc. 525,465 5,422 0.01%
500 TEVA PHARMACEUTICAL INDS LTD 100,800 5,393 0.01%
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