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Institutional Investment Manager
Stanley-Laman Group, Ltd.
Stanley-Laman Group, Ltd. (CIK: 0001601489), located at 1235 Westlakes Drive, Berwyn, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 271 holdings with a total value of $323,005,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 PROGRESS SOFTWARE CORP COM 16,888 539,000 0.17%
102 WESTWOOD HOLDINGS CORP 9,131 548,000 0.17%
103 GREAT PLAINS ENERGY INC 20,187 552,000 0.17%
104 EXLSERVICE HOLDINGS INC COM 11,008 555,000 0.17%
105 FEDERATED NATL HLDG CO COM 29,926 559,000 0.17%
106 EASTMAN CHEM CO 7,441 560,000 0.17%
107 ORACLE CORP 14,720 566,000 0.18%
108 GRAPHIC PACKAGING HLDG CO 45,447 567,000 0.18%
109 RAYTHEON CO 4,059 576,000 0.18%
110 FIRST INTERNET BANCORP COM 18,316 586,000 0.18%
111 U S CONCRETE INC 9,007 590,000 0.18%
112 NASDAQ OMX GROUP 8,785 590,000 0.18%
113 CARDINAL HEALTH INC 8,230 592,000 0.18%
114 PINNACLE FOODS INC DEL 11,110 594,000 0.18%
115 REIS INC 26,876 598,000 0.19%
116 RADIANT LOGISTICS INC 153,493 599,000 0.19%
117 MARATHON PETE CORP 11,945 601,000 0.19%
118 SEAGATE TECHNOLOGY PLC 15,780 602,000 0.19%
119 JPMORGAN CHASE & CO 6,985 603,000 0.19%
120 FLEXSTEEL INDS INC COM 9,790 604,000 0.19%
121 QUALYS INC 19,147 606,000 0.19%
122 ESSENT GROUP LTD 18,818 609,000 0.19%
123 CORNING INC 25,545 620,000 0.19%
124 LOWES COS INC 8,867 631,000 0.20%
125 BROADRIDGE FINL SOLUTIONS IN 9,637 639,000 0.20%
126 NEXTERA ENERGY INC 5,444 650,000 0.20%
127 ROCKWELL AUTOMATION INC 5,000 672,000 0.21%
128 SMUCKER J M CO 5,271 675,000 0.21%
129 VALERO ENERGY CORP NEW 10,009 684,000 0.21%
130 ISHARES TR 12,875 690,000 0.21%
131 DOMTAR CORP 17,811 695,000 0.22%
132 HOME DEPOT INC 5,263 706,000 0.22%
133 CONOCOPHILLIPS 14,192 712,000 0.22%
134 MEDTRONIC PLC 10,109 720,000 0.22%
135 CONTINENTAL BLDG PRODS INC COM 31,319 723,000 0.22%
136 UNITEDHEALTH GROUP INC 4,615 739,000 0.23%
137 NAVIENT 45,295 744,000 0.23%
138 CEDAR FAIR L P 11,621 746,000 0.23%
139 SABRA HEALTH CARE REIT INC 30,554 746,000 0.23%
140 NIELSEN HLDGS PLC 17,878 750,000 0.23%
141 AMGEN INC 5,406 790,000 0.24%
142 AMERICAN SOFTWARE CL A CLASS A 76,802 793,000 0.25%
143 AQUA AMERICA INC 26,655 801,000 0.25%
144 MTS SYS CORP 14,148 802,000 0.25%
145 BRISTOL MYERS SQUIBB CO 13,800 806,000 0.25%
146 COGENT COMMUNICATIONS HLDGS IN COM NEW 19,532 808,000 0.25%
147 MACYS INC 22,603 809,000 0.25%
148 OGE ENERGY CORP 24,840 831,000 0.26%
149 WELLS FARGO & CO NEW 15,157 835,000 0.26%
150 ABBVIE INC 13,446 842,000 0.26%
Page 3 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001376474-17-000032, filed 2017.02.06).

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.