0001455468-15-000002.txt : 20150513 0001455468-15-000002.hdr.sgml : 20150513 20150513142153 ACCESSION NUMBER: 0001455468-15-000002 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20150331 FILED AS OF DATE: 20150513 DATE AS OF CHANGE: 20150513 EFFECTIVENESS DATE: 20150513 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Dean Capital Management CENTRAL INDEX KEY: 0001455468 IRS NUMBER: 261309687 STATE OF INCORPORATION: KS FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-13367 FILM NUMBER: 15857729 BUSINESS ADDRESS: STREET 1: 7450 W 130TH ST STE 150 CITY: OVERLAND PARK STATE: KS ZIP: 66213 BUSINESS PHONE: 913-944-4444 MAIL ADDRESS: STREET 1: 7450 W 130TH ST STE 150 CITY: OVERLAND PARK STATE: KS ZIP: 66213 13F-HR 1 primary_doc.xml 13F-HR LIVE false false false 0001455468 XXXXXXXX 03-31-2015 03-31-2015 Dean Capital Management
7450 W 130TH ST STE 150 OVERLAND PARK KS 66213
13F COMBINATION REPORT 028-13367 0000846797 028-02462 DEAN INVESTMENT ASSOCIATES, LLC N
Doug Leach Chief Compliance Officer 913-944-4455 Doug Leach Overland Park KS 05-13-2015 2 149 52348 false 1 0000908758 028-14511 American Beacon Advisors, Inc. 2 0001442641 028-13158 Legato Capital Management LLC
INFORMATION TABLE 2 frm13f20150331.xml Alamo Group Inc CS 011311107 21 330 SH DFND 01 330 0 0 American Equity Investment Lif CS 025676206 38 1290 SH DFND 01 1290 0 0 Amerisafe Inc CS 03071H100 27 590 SH DFND 01 590 0 0 Ascena Retail Group Inc CS 04351G101 17 1205 SH DFND 01 1205 0 0 AZZ Inc CS 002474104 41 870 SH DFND 01 870 0 0 Bancfirst Corp CS 05945F103 12 200 SH DFND 01 200 0 0 Bank of Marin Bancorp/Ca CS 063425102 24 480 SH DFND 01 480 0 0 BBCN Bancorp Inc CS 073295107 17 1165 SH DFND 01 1165 0 0 Blount International Inc CS 095180105 19 1470 SH DFND 01 1470 0 0 Bryn Mawr Bank Corp CS 117665109 23 750 SH DFND 01 750 0 0 Buckle Inc Com CS 118440106 35 685 SH DFND 01 685 0 0 CACI Intl Inc CS 127190304 30 330 SH DFND 01 330 0 0 Chatham Lodging Trust CS 16208T102 8 275 SH DFND 01 275 0 0 Childrens Pl Retail Stores Inc CS 168905107 41 635 SH DFND 01 635 0 0 Clean Harbors Inc CS 184496107 30 525 SH DFND 01 525 0 0 Community Trust Bancorp CS 204149108 16 495 SH DFND 01 495 0 0 Connectone Bancorp Inc CS 20786w107 17 885 SH DFND 01 885 0 0 Convergys Corp CS 212485106 47 2050 SH DFND 01 2050 0 0 Cracker Barrel Old Country CS 22410J106 11 70 SH DFND 01 70 0 0 Crane Co CS 224399105 23 365 SH DFND 01 365 0 0 Cubic Corp CS 229669106 26 500 SH DFND 01 500 0 0 Denbury Res Inc CS 247916208 18 2495 SH DFND 01 2495 0 0 Encore Wire Corp CS 292562105 19 505 SH DFND 01 505 0 0 Enstar Group Ltd CS G3075P101 16 115 SH DFND 01 115 0 0 Exactech Inc CS 30064e109 29 1120 SH DFND 01 1120 0 0 First NBC BK HLDG CO CS 32115d106 20 605 SH DFND 01 605 0 0 Forward Air Corp CS 349853101 13 235 SH DFND 01 235 0 0 Foster Co-A CS 350060109 20 430 SH DFND 01 430 0 0 Fox Factory Holding Corp CS 35138V102 19 1230 SH DFND 01 1230 0 0 Frank's International Nv CS n33462107 19 1015 SH DFND 01 1015 0 0 Genesco Inc CS 371532102 15 210 SH DFND 01 210 0 0 Glacier Bancorp Inc CS 37637Q105 25 1005 SH DFND 01 1005 0 0 Hawkins Inc CS 420261109 18 470 SH DFND 01 470 0 0 Helen Of Troy Ltd CS G4388N106 21 260 SH DFND 01 260 0 0 Hibbett Sports Inc CS 428567101 20 415 SH DFND 01 415 0 0 Hillenbrand Inc CS 431571108 25 820 SH DFND 01 820 0 0 Horizon Bancorp CS 440407104 26 1113 SH DFND 01 1113 0 0 Hyster-Yale CS 449172105 17 235 SH DFND 01 235 0 0 Innophos Holdings Inc CS 45774N108 8 150 SH DFND 01 150 0 0 John Bean Technologies Corp CS 477839104 21 585 SH DFND 01 585 0 0 Kadant Inc CS 48282T104 11 200 SH DFND 01 200 0 0 Laclede Group Inc CS 505597104 17 325 SH DFND 01 325 0 0 Lakeland Financial Corp CS 511656100 21 510 SH DFND 01 510 0 0 Littelfuse Inc CS 537008104 40 405 SH DFND 01 405 0 0 LTC Properties Inc CS 502175102 9 195 SH DFND 01 195 0 0 Madden Steven Ltd CS 556269108 21 545 SH DFND 01 545 0 0 Marten Trans Ltd CS 573075108 23 995 SH DFND 01 995 0 0 McGrath RentCorp CS 580589109 17 525 SH DFND 01 525 0 0 Meritage Homes Corp CS 59001A102 37 755 SH DFND 01 755 0 0 MTS Systems Corp CS 553777103 32 425 SH DFND 01 425 0 0 Multi-Color Corp CS 625383104 34 490 SH DFND 01 490 0 0 National Healthcare Corp CS 635906100 13 200 SH DFND 01 200 0 0 New Jersey Res CS 646025106 16 530 SH DFND 01 530 0 0 Northwestern Corp CS 668074305 15 285 SH DFND 01 285 0 0 Panhandle Oil and Gas Inc-A CS 698477106 17 865 SH DFND 01 865 0 0 Piedmont Office Realty Tr Inc CS 720190206 12 670 SH DFND 01 670 0 0 Plexus Corp CS 729132100 17 420 SH DFND 01 420 0 0 Primerica Inc CS 74164M108 31 610 SH DFND 01 610 0 0 ProAssurance Corp CS 74267C106 43 945 SH DFND 01 945 0 0 Progress Software Corp Com CS 743312100 23 860 SH DFND 01 860 0 0 Ryman Hospitality Properties I CS 78377T107 9 145 SH DFND 01 145 0 0 SM Energy Co CS 78454L100 31 605 SH DFND 01 605 0 0 Southside Bancshares Inc CS 84470p109 16 575 SH DFND 01 575 0 0 Summit Hotel Properties Inc CS 866082100 9 650 SH DFND 01 650 0 0 Tech Data Corp CS 878237106 44 770 SH DFND 01 770 0 0 The Ensign Group Inc CS 29358P101 16 335 SH DFND 01 335 0 0 Tompkins Financial CS 890110109 25 455 SH DFND 01 455 0 0 United Financial Bancorp Inc CS 910304104 14 1101 SH DFND 01 1101 0 0 Valmont Inds Inc CS 920253101 16 130 SH DFND 01 130 0 0 VSE Corp CS 918284100 16 200 SH DFND 01 200 0 0 Wiley John & Sons Inc Cl A CS 968223206 21 345 SH DFND 01 345 0 0 Winnebago Industries Inc CS 974637100 16 740 SH DFND 01 740 0 0 World Fuel Svcs Corp CS 981475106 46 795 SH DFND 01 795 0 0 WPX Energy Inc CS 98212B103 17 1515 SH DFND 01 1515 0 0 Alamo Group Inc CS 011311107 626 9915 SH DFND 02 9915 0 0 American Equity Investment Lif CS 025676206 1126 38642 SH DFND 02 38642 0 0 Amerisafe Inc CS 03071H100 819 17705 SH DFND 02 17705 0 0 Ascena Retail Group Inc CS 04351G101 509 35050 SH DFND 02 35050 0 0 AZZ Inc CS 002474104 1217 26115 SH DFND 02 26115 0 0 Bancfirst Corp CS 05945F103 363 5960 SH DFND 02 5960 0 0 Bank of Marin Bancorp/Ca CS 063425102 735 14445 SH DFND 02 14445 0 0 BBCN Bancorp Inc CS 073295107 505 34889 SH DFND 02 34889 0 0 Blount International Inc CS 095180105 562 43600 SH DFND 02 43600 0 0 Bryn Mawr Bank Corp CS 117665109 684 22480 SH DFND 02 22480 0 0 Buckle Inc Com CS 118440106 1038 20325 SH DFND 02 20325 0 0 CACI Intl Inc CS 127190304 897 9980 SH DFND 02 9980 0 0 Chatham Lodging Trust CS 16208T102 243 8271 SH DFND 02 8271 0 0 Childrens Pl Retail Stores Inc CS 168905107 1214 18920 SH DFND 02 18920 0 0 Clean Harbors Inc CS 184496107 894 15745 SH DFND 02 15745 0 0 Community Trust Bancorp CS 204149108 489 14760 SH DFND 02 14760 0 0 Connectone Bancorp Inc CS 20786w107 516 26525 SH DFND 02 26525 0 0 Convergys Corp CS 212485106 1405 61425 SH DFND 02 61425 0 0 Cracker Barrel Old Country CS 22410J106 333 2190 SH DFND 02 2190 0 0 Crane Co CS 224399105 687 11004 SH DFND 02 11004 0 0 Cubic Corp CS 229669106 778 15020 SH DFND 02 15020 0 0 Denbury Res Inc CS 247916208 545 74805 SH DFND 02 74805 0 0 Encore Wire Corp CS 292562105 579 15295 SH DFND 02 15295 0 0 Enstar Group Ltd CS G3075P101 481 3389 SH DFND 02 3389 0 0 Exactech Inc CS 30064e109 861 33605 SH DFND 02 33605 0 0 First NBC BK HLDG CO CS 32115d106 592 17955 SH DFND 02 17955 0 0 Forward Air Corp CS 349853101 380 6995 SH DFND 02 6995 0 0 Foster Co-A CS 350060109 608 12815 SH DFND 02 12815 0 0 Fox Factory Holding Corp CS 35138V102 566 36925 SH DFND 02 36925 0 0 Frank's International Nv CS n33462107 569 30435 SH DFND 02 30435 0 0 Genesco Inc CS 371532102 452 6339 SH DFND 02 6339 0 0 Glacier Bancorp Inc CS 37637Q105 749 29780 SH DFND 02 29780 0 0 Hawkins Inc CS 420261109 537 14140 SH DFND 02 14140 0 0 Helen Of Troy Ltd CS G4388N106 633 7766 SH DFND 02 7766 0 0 Hibbett Sports Inc CS 428567101 614 12510 SH DFND 02 12510 0 0 Hillenbrand Inc CS 431571108 757 24528 SH DFND 02 24528 0 0 Horizon Bancorp CS 440407104 780 33353 SH DFND 02 33353 0 0 Hyster-Yale CS 449172105 521 7105 SH DFND 02 7105 0 0 Innophos Holdings Inc CS 45774N108 256 4535 SH DFND 02 4535 0 0 John Bean Technologies Corp CS 477839104 625 17505 SH DFND 02 17505 0 0 Kadant Inc CS 48282T104 313 5950 SH DFND 02 5950 0 0 Laclede Group Inc CS 505597104 499 9744 SH DFND 02 9744 0 0 Lakeland Financial Corp CS 511656100 623 15360 SH DFND 02 15360 0 0 Littelfuse Inc CS 537008104 1211 12180 SH DFND 02 12180 0 0 LTC Properties Inc CS 502175102 269 5855 SH DFND 02 5855 0 0 Madden Steven Ltd CS 556269108 624 16430 SH DFND 02 16430 0 0 Marten Trans Ltd CS 573075108 691 29770 SH DFND 02 29770 0 0 McGrath RentCorp CS 580589109 517 15715 SH DFND 02 15715 0 0 Meritage Homes Corp CS 59001A102 1106 22730 SH DFND 02 22730 0 0 MTS Systems Corp CS 553777103 960 12695 SH DFND 02 12695 0 0 Multi-Color Corp CS 625383104 1031 14870 SH DFND 02 14870 0 0 National Healthcare Corp CS 635906100 382 5995 SH DFND 02 5995 0 0 New Jersey Res CS 646025106 495 15945 SH DFND 02 15945 0 0 Northwestern Corp CS 668074305 461 8565 SH DFND 02 8565 0 0 Panhandle Oil and Gas Inc-A CS 698477106 513 25920 SH DFND 02 25920 0 0 Piedmont Office Realty Tr Inc CS 720190206 373 20025 SH DFND 02 20025 0 0 Plexus Corp CS 729132100 513 12575 SH DFND 02 12575 0 0 Primerica Inc CS 74164M108 931 18282 SH DFND 02 18282 0 0 ProAssurance Corp CS 74267C106 1302 28355 SH DFND 02 28355 0 0 Progress Software Corp Com CS 743312100 700 25755 SH DFND 02 25755 0 0 Ryman Hospitality Properties I CS 78377T107 270 4435 SH DFND 02 4435 0 0 SM Energy Co CS 78454L100 941 18215 SH DFND 02 18215 0 0 Southside Bancshares Inc CS 84470p109 496 17285 SH DFND 02 17285 0 0 Summit Hotel Properties Inc CS 866082100 274 19491 SH DFND 02 19491 0 0 Tech Data Corp CS 878237106 1340 23199 SH DFND 02 23199 0 0 The Ensign Group Inc CS 29358P101 477 10170 SH DFND 02 10170 0 0 Tompkins Financial CS 890110109 732 13585 SH DFND 02 13585 0 0 United Financial Bancorp Inc CS 910304104 408 32809 SH DFND 02 32809 0 0 Valmont Inds Inc CS 920253101 485 3950 SH DFND 02 3950 0 0 VSE Corp CS 918284100 499 6095 SH DFND 02 6095 0 0 Wiley John & Sons Inc Cl A CS 968223206 637 10415 SH DFND 02 10415 0 0 Winnebago Industries Inc CS 974637100 473 22225 SH DFND 02 22225 0 0 World Fuel Svcs Corp CS 981475106 1373 23880 SH DFND 02 23880 0 0 WPX Energy Inc CS 98212B103 496 45360 SH DFND 02 45360 0 0 iShares Tr Russell 2000 Value EF 464287630 1551 15025 SH DFND 02 15025 0 0