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Institutional Investment Manager
Lapides Asset Management, LLC
Lapides Asset Management, LLC (CIK: 0001357993) incorporated in Connecticut, located at 500 West Putnam Avenue, Greenwich, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 73 holdings with a total value of $739,182,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 PENFORD CORP 100,900 1,295,000 0.18%
2 Nutri Systems Inc 102,800 1,759,000 0.24%
3 DTS Inc 101,300 1,865,000 0.25%
4 RUBICON TECHNOLOGY INC COM 226,800 1,984,000 0.27%
5 QUMU CORP 155,500 2,175,000 0.29%
6 TRANSACT TECHNOLOGIES INC COM 212,600 2,203,000 0.30%
7 HUNTSMAN CORP 78,800 2,214,000 0.30%
8 Monotype Imaging Holdings Inc 79,600 2,242,000 0.30%
9 Comverse Inc 96,900 2,585,000 0.35%
10 LEMAITRE VASCULAR INC COM 328,200 2,714,000 0.37%
11 INGREDION INC 37,300 2,799,000 0.38%
12 The ADT Corporation 84,100 2,938,000 0.40%
13 PLANTRONICS INCORPORATED NEW 65,700 3,157,000 0.43%
14 BELDEN INC 41,900 3,275,000 0.44%
15 MSCI INC 77,900 3,572,000 0.48%
16 FULLER H B CO 76,300 3,670,000 0.50%
17 NEWPORT CORP 202,000 3,737,000 0.51%
18 Acxiom Corp 176,000 3,817,000 0.52%
19 BOULDER BRANDS INC 270,800 3,840,000 0.52%
20 ALLIANCE DATA SYSTEMS CORP 14,100 3,966,000 0.54%
21 Agilysys Inc 291,100 4,099,000 0.55%
22 Laboratory Corp. of America Ho 44,400 4,547,000 0.62%
23 Sally Beauty Co Inc 181,800 4,560,000 0.62%
24 Rayonier Advanced Materials In 124,333 4,818,000 0.65%
25 MEASUREMENT SPECIA 57,700 4,966,000 0.67%
26 AVERY DENNISON CORP 97,500 4,997,000 0.68%
27 HANESBRANDS INC 51,800 5,099,000 0.69%
28 VARIAN MEDICAL 64,600 5,371,000 0.73%
29 CITRIX SYS INC 88,900 5,561,000 0.75%
30 Cardtronics Inc 163,600 5,575,000 0.75%
31 REGIS CORP MINN COM 396,200 5,578,000 0.75%
32 CSG SYS INTL INC 225,100 5,877,000 0.80%
33 CIBER INC COM 1,208,300 5,969,000 0.81%
34 ANALOGIC CORP COM PAR $0.05 85,500 6,690,000 0.91%
35 EURONET WORLDWIDE INC 139,200 6,715,000 0.91%
36 UNITED STATIONERS INC 164,700 6,830,000 0.92%
37 ALBANY INTL CORP CL A 181,400 6,886,000 0.93%
38 POLYCOM INC 579,000 7,255,000 0.98%
39 Verint Systems Inc 152,400 7,475,000 1.01%
40 PITNEY BOWES INC 277,500 7,665,000 1.04%
41 AMPHENOL CORP NEW 82,300 7,929,000 1.07%
42 BRADY CORP 276,500 8,259,000 1.12%
43 FMC 117,900 8,393,000 1.14%
44 TETRA TECH INC 307,300 8,451,000 1.14%
45 Neustar Inc Cl A 325,400 8,467,000 1.15%
46 HILL INTERNATIONAL INC 1,528,700 9,524,000 1.29%
47 ACCO BRANDS CORP 1,519,900 9,743,000 1.32%
48 Royal Caribbean Cruises Ltd 178,400 9,919,000 1.34%
49 GILDAN ACTIVEWEAR INC 189,700 11,170,000 1.51%
50 ICONIX BRAND GROUP INC 289,800 12,444,000 1.68%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001357993-14-000010, filed 2014.08.08).

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.