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Institutional Investment Manager
Zebra Capital Management LLC
Zebra Capital Management LLC (CIK: 0001316915) incorporated in Connecticut, located at 2187 Atlantic Street, Stamford, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 224 holdings with a total value of $172,248,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 AMDOCS LTD 13,415 732,000 0.42%
102 SYMANTEC CORP 31,316 728,000 0.42%
103 GENESCO INC COM 10,825 715,000 0.42%
104 INSIGHT ENTERPRISES INC 23,846 713,000 0.41%
105 INNOSPEC INC COM 15,752 709,000 0.41%
106 GENUINE PARTS CO 7,897 707,000 0.41%
107 NAVIGATORS GROUP INC 9,060 703,000 0.41%
108 FLOWERS FOODS INC 33,223 703,000 0.41%
109 UNITED FIRE GROUP INC COM 21,348 699,000 0.41%
110 TELETECH HOLDINGS INCORPORATED 25,780 698,000 0.41%
111 STEPAN CO 12,904 698,000 0.41%
112 TUPPERWARE BRANDS CORP 10,767 695,000 0.40%
113 OCEANEERING INTL INC 14,899 694,000 0.40%
114 VIACOM INC NEW 10,716 693,000 0.40%
115 BRISTOW GROUP INC COM 12,957 691,000 0.40%
116 BED BATH & BEYOND INC 9,962 687,000 0.40%
117 CABOT CORP 18,397 686,000 0.40%
118 SPARTANNASH CO COM 20,995 683,000 0.40%
119 FIRST MERCHANTS CORP COM 26,913 665,000 0.39%
120 CA INC 22,651 663,000 0.38%
121 1st Source Corp 19,399 662,000 0.38%
122 CHEMICAL FINANCIAL CORPORATION 19,808 655,000 0.38%
123 S&P GLOBAL INC 6,509 654,000 0.38%
124 WEIS MKTS INC 15,460 652,000 0.38%
125 MASIMO CORP 16,812 651,000 0.38%
126 KAMAN CORP COM 15,228 639,000 0.37%
127 MATTEL INC 24,675 634,000 0.37%
128 AVNET INC 15,426 634,000 0.37%
129 NATIONAL HEALTHCARE CORP COM 9,704 631,000 0.37%
130 WILEY JOHN SONS INC 11,605 631,000 0.37%
131 NATIONAL BEVERAGE CORP COM 27,961 629,000 0.37%
132 IDEXX LAB 9,806 629,000 0.37%
133 MKS INSTRS INC COM 16,553 628,000 0.36%
134 COHERENT INC 9,805 622,000 0.36%
135 COCA COLA CONS INC COM 4,048 612,000 0.36%
136 AVON PRODS INC 97,649 611,000 0.35%
137 PTC INC 14,854 609,000 0.35%
138 Union Bankshares Corporation 26,136 607,000 0.35%
139 OTTER TAIL CORP 22,705 604,000 0.35%
140 ENSIGN GROUP INC 11,694 597,000 0.35%
141 MATIV HOLDINGS INC COM 14,948 596,000 0.35%
142 CHOICE HOTELS INTL NEW 10,842 588,000 0.34%
143 STANDEX INTL CORP 7,324 585,000 0.34%
144 SUN HYDRAULICS CORP COM 15,103 576,000 0.33%
145 CSG SYS INTL INC 17,975 569,000 0.33%
146 Forum Energy Technologies Inc 27,667 561,000 0.33%
147 STANDARD MTR PRODS INC COM 15,697 551,000 0.32%
148 QUAKER CHEM CORP 6,188 550,000 0.32%
149 SCHOLASTIC CORP 12,410 548,000 0.32%
150 AMERICAN FINL GROUP INC OHIO 8,350 543,000 0.32%
Page 3 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-008424, filed 2015.08.11).

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.