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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 (2017Q1)
Portfolio Summary: 86 holdings with a total value of $533,138,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Verint Systems Inc 596,400 25,869,000 4.85%
2 Verifone Systems, Inc. 1,371,500 25,688,000 4.82%
3 PITNEY BOWES INC 1,659,700 21,759,000 4.08%
4 Calix Inc 2,881,800 20,893,000 3.92%
5 SPROUTS FMRS MKT INC 843,400 19,499,000 3.66%
6 HUNTSMAN CORP 775,200 19,023,000 3.57%
7 Houghton Mifflin Harcourt Co 1,846,800 18,745,000 3.52%
8 MINERALS TECHNOLOGIES INC 225,600 17,281,000 3.24%
9 WESTROCK CO 326,300 16,977,000 3.18%
10 BELDEN INC 236,900 16,391,000 3.07%
11 Knowles Corp 842,500 15,965,000 2.99%
12 NCR Corp 328,680 15,014,000 2.82%
13 Stratasys Ltd 730,400 14,966,000 2.81%
14 PTC Inc 283,500 14,898,000 2.79%
15 FMC 183,000 12,735,000 2.39%
16 ACCURAY INCORPORATED COM 2,213,800 10,516,000 1.97%
17 DIEBOLD NXDF INC 338,600 10,395,000 1.95%
18 MATTEL INC 373,400 9,563,000 1.79%
19 Agilysys Inc 1,004,200 9,490,000 1.78%
20 TERADATA CORP DEL 276,400 8,602,000 1.61%
21 ENVIRI CORP COM 667,700 8,513,000 1.60%
22 Kraton Corporation 274,200 8,478,000 1.59%
23 AngioDynamics Inc 486,900 8,448,000 1.58%
24 TEGNA Inc 321,200 8,229,000 1.54%
25 Tronox Ltd Cl A 445,600 8,221,000 1.54%
26 DOLBY LABORATORIES INC 149,600 7,841,000 1.47%
27 ALLEGHENY TECHNOLOGIES COM 428,100 7,689,000 1.44%
28 TRINITY BIOTECH PLC 1,284,100 7,653,000 1.44%
29 OLD DOMINION FREIGHT LINE IN 88,725 7,592,000 1.42%
30 ZEBRA TECHNOLOGIES CORPORATION CL A 79,700 7,273,000 1.36%
31 CELANESE CORP DEL 79,000 7,098,000 1.33%
32 ALLIANCE DATA SYSTEMS CORP 26,000 6,474,000 1.21%
33 Aaron's Inc 205,500 6,112,000 1.15%
34 AMERICAN VANGUARD CORP COM 365,800 6,072,000 1.14%
35 Mobile Mini Inc 188,500 5,749,000 1.08%
36 CLEAN HARBORS INC 87,700 4,878,000 0.91%
37 TETRA TECH INC 119,200 4,869,000 0.91%
38 BALL CORP 61,900 4,597,000 0.86%
39 ROGERS CORP COM 52,600 4,517,000 0.85%
40 Web.com Group Inc 223,600 4,315,000 0.81%
41 Syneron Medical Ltd 396,800 4,186,000 0.79%
42 PLATFORM SPECIALTY PRODS COR 317,600 4,135,000 0.78%
43 Circor Intl Inc 68,300 4,060,000 0.76%
44 CREE INC 139,500 3,729,000 0.70%
45 PLANTRONICS INCORPORATED NEW 66,900 3,620,000 0.68%
46 CORE LABS 31,300 3,616,000 0.68%
47 GARMIN LTD 69,700 3,562,000 0.67%
48 comScore Inc 159,000 3,433,000 0.64%
49 HANESBRANDS INC 154,900 3,216,000 0.60%
50 FLOWERS FOODS INC 155,400 3,016,000 0.57%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001357993-17-000008, filed 2017.05.18).

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.