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Institutional Investment Manager
Foundry Partners, LLC
Foundry Partners, LLC (CIK: 0001573913) incorporated in Delaware, located at 510 First Avenue North, Minneapolis, MN. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 438 holdings with a total value of $2,316,218,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BARRETT BUSINESS SERVICES IN COM 87,100 5,583,000 0.24%
152 SYKES ENTERPRISES INC 193,260 5,577,000 0.24%
153 WESBANCO INC 129,072 5,558,000 0.24%
154 HYSTER YALE MATLS HANDLING I 87,007 5,548,000 0.24%
155 COMMUNITY HEALTHCARE TR INC COM 239,350 5,512,000 0.24%
156 HomeTrust Bancshares, Inc. 212,755 5,510,000 0.24%
157 KIRKLANDS INC COM 352,545 5,468,000 0.24%
158 SPARTANNASH CO COM 138,173 5,463,000 0.24%
159 FIRST INTERNET BANCORP COM 169,635 5,428,000 0.23%
160 WASHINGTON TR BANCORP COM 96,605 5,415,000 0.23%
161 PAN AMERN SILVER CORP 356,852 5,378,000 0.23%
162 HAVERTY FURNITURE COS INC COM 226,675 5,372,000 0.23%
163 WESTERN ALLIANCE BANCORP 109,535 5,335,000 0.23%
164 COMTECH TELECOMMUNICATIONS C 448,350 5,313,000 0.23%
165 UNITED CMNTY FINL CORP OHIO 594,150 5,312,000 0.23%
166 WILEY JOHN SONS INC 96,633 5,266,000 0.23%
167 FLUOR CORP NEW 98,535 5,175,000 0.22%
168 RING ENERGY INC COM 397,805 5,167,000 0.22%
169 ORION GROUP HLDGS INC COM 518,385 5,158,000 0.22%
170 GLATFELTER 213,975 5,112,000 0.22%
171 NELNET INC 100,135 5,082,000 0.22%
172 FINANCIAL INSTNS INC 148,265 5,071,000 0.22%
173 RAIT FINANCIAL TRUST 1,508,653 5,069,000 0.22%
174 XCERRA CORP 657,270 5,022,000 0.22%
175 Meta Finl Group Inc 48,550 4,996,000 0.22%
176 UNITED INS HLDGS CORP 328,755 4,977,000 0.21%
177 MARTEN TRANS LTD COM 213,185 4,967,000 0.21%
178 STERLING CONSTRUCTION CO INC 584,959 4,949,000 0.21%
179 TERRITORIAL BANCORP INC COM 149,770 4,918,000 0.21%
180 CELADON GROUP INC 683,335 4,886,000 0.21%
181 LANDEC CORP 353,815 4,883,000 0.21%
182 PROLOGIS INC 92,050 4,859,000 0.21%
183 COVENANT TRANSN GROUP INC CL A 248,785 4,812,000 0.21%
184 FIDELITY SOUTHERN CORP NEW COM 203,225 4,810,000 0.21%
185 DIODES INC COM 184,951 4,748,000 0.20%
186 COEUR MNG INC 520,100 4,728,000 0.20%
187 BLOOMIN BRANDS INC 258,882 4,668,000 0.20%
188 HCI GROUP INC 117,925 4,656,000 0.20%
189 PACIFIC ETHANOL INC 488,675 4,642,000 0.20%
190 INTERDIGITAL INC 50,737 4,635,000 0.20%
191 II VI INC 156,000 4,625,000 0.20%
192 SEAGATE TECHNOLOGY PLC 119,705 4,569,000 0.20%
193 SIERRA BANCORP 169,590 4,509,000 0.19%
194 PERRY ELLIS INTL INC 180,845 4,505,000 0.19%
195 STEIN MART INC 818,180 4,484,000 0.19%
196 LITTELFUSE INC 29,515 4,479,000 0.19%
197 BELDEN INC 59,395 4,441,000 0.19%
198 PHOTRONICS INC 391,900 4,428,000 0.19%
199 NORTHWEST PIPE CO 256,925 4,424,000 0.19%
200 CAPITAL CITY BK GROUP INC COM 214,700 4,397,000 0.19%
Page 4 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001573913-17-000001, filed 2017.02.10).

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.