0001483339-15-000006.txt : 20150212
0001483339-15-000006.hdr.sgml : 20150212
20150212153124
ACCESSION NUMBER: 0001483339-15-000006
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20141231
FILED AS OF DATE: 20150212
DATE AS OF CHANGE: 20150212
EFFECTIVENESS DATE: 20150212
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Walthausen & Co., LLC
CENTRAL INDEX KEY: 0001483339
IRS NUMBER: 260681507
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-13672
FILM NUMBER: 15605640
BUSINESS ADDRESS:
STREET 1: 2691 ROUTE 9, SUITE 102
CITY: MALTA
STATE: NY
ZIP: 12020
BUSINESS PHONE: (518) 371-3450
MAIL ADDRESS:
STREET 1: 2691 ROUTE 9, SUITE 102
CITY: MALTA
STATE: NY
ZIP: 12020
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001483339
XXXXXXXX
12-31-2014
12-31-2014
Walthausen & Co., LLC
2691 ROUTE 9, SUITE 102
MALTA
NY
12020
13F COMBINATION REPORT
028-13672
028-12592
The Bank of New York Mellon
N
Mark Hodge
Managing Director/Chief Compliance Officer
518-348-7217
Mark Hodge
Malta
NY
02-12-2015
0
128
1299352
false
INFORMATION TABLE
2
inftableq414.xml
AAON Inc
Com
000360206
14063
628074
SH
SOLE
613592
0
14482
Addus Homecare Corp
Com
006739106
6000
247206
SH
SOLE
241426
0
5780
Albany International Corp
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012348108
14125
371801
SH
SOLE
363031
0
8770
Allied Motion Technologies Inc
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019330109
3005
126861
SH
SOLE
126861
0
0
American Financial Group Inc
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025932104
5361
88295
SH
SOLE
87435
0
860
American Public Education Inc
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02913V103
8336
226080
SH
SOLE
220830
0
5250
American Vanguard Corp
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030371108
6478
557480
SH
SOLE
526340
0
31140
Amtech Systems Inc
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032332504
2010
197010
SH
SOLE
197010
0
0
Aptar Group Inc
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038336103
5374
80402
SH
SOLE
79642
0
760
Arctic CAT Inc
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039670104
15217
428640
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SOLE
418110
0
10530
Assurant Inc
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04621X108
5600
81841
SH
SOLE
81066
0
775
Avery Dennison Corp
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053611109
5833
112438
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SOLE
111328
0
1110
Avnet Inc
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053807103
5125
119132
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117862
0
1270
Bank Of Hawaii Corp
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062540109
5270
88850
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87930
0
920
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070203104
6640
340352
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SOLE
340352
0
0
Bel Fuse Inc
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077347300
10415
380955
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372075
0
8880
Big Lots Inc
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089302103
20968
523947
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513527
0
10420
Blount International Inc
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095180105
17737
1009509
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985899
0
23610
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111621306
5401
456207
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451307
0
4900
Bryn Mawr Bank Corp
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117665109
14305
457043
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446533
0
10510
CDI Corp
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125071100
1284
72496
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67196
0
5300
CF Industries Holdings Inc
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125269100
376
1380
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1380
0
0
CNA Financial Corp
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126117100
443
11450
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11450
0
0
CSS Industries Inc
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125906107
8123
293903
SH
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287013
0
6890
CVB Financial Corp
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126600105
16125
1006545
SH
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982815
0
23730
Cambrex Corp
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132011107
14562
673544
SH
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657704
0
15840
Capella Education Company
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139594105
21814
283450
SH
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276920
0
6530
Carlisle Companies Inc
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142339100
5489
60830
SH
SOLE
60170
0
660
Casella Waste Systems Inc
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147448104
425
105290
SH
SOLE
105290
0
0
Chase Corporation
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16150R104
615
17090
SH
SOLE
17090
0
0
Chicago Bridge & Iron Co
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167250109
5576
132830
SH
SOLE
131540
0
1290
City Holding Company
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177835105
13151
282628
SH
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275348
0
7280
Cliffs Natural Resources Inc
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18683K101
5747
804920
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785400
0
19520
Columbus McKinnon Corp
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199333105
6212
221547
SH
SOLE
215307
0
6240
Commerce Bancshares Inc
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200525103
5676
130519
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129238
0
1281
Community Bank Systems Inc
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203607106
15066
395113
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386083
0
9030
Computer Sciences Corp
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205363104
444
7040
SH
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7040
0
0
Convergys Corp
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212485106
15426
757270
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738600
0
18670
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222660102
329
22040
SH
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22040
0
0
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233377407
3905
77290
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76450
0
840
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237266101
20913
1151615
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1123095
0
28520
Deluxe Corp
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248019101
22904
367933
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358723
0
9210
Devry Inc
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251893103
5857
123374
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122234
0
1140
Digital Globe Inc
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25389M877
11771
380080
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371100
0
8980
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253922108
15015
922315
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SOLE
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0
21640
ERA Group Inc
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26885G109
10379
490735
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SOLE
480185
0
10550
Eagle Bancorp Inc
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268948106
21762
612656
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0
13920
Electronics For Imaging Inc
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286082102
4721
110226
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SOLE
110226
0
0
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302081104
17095
595430
SH
SOLE
581760
0
13670
Ferro Corp
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315405100
15481
1194520
SH
SOLE
1166270
0
28250
Fifth Third Bancorp
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316773100
388
19060
SH
SOLE
19060
0
0
First Financial BanCorp
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320209109
17402
936080
SH
SOLE
913970
0
22110
First Financial Bankshares
Com
32020R109
20122
673426
SH
SOLE
660456
0
12970
First Republic Bank
Com
33616C100
429
8230
SH
SOLE
8230
0
0
GNC Holdings Inc
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36191G107
6062
129097
SH
SOLE
127877
0
1220
Gamestop Corp.
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36467W109
5157
152568
SH
SOLE
151228
0
1340
Gentiva Health Services Inc
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37247A102
23757
1247087
SH
SOLE
1217757
0
29330
Graham Holdings Company
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384637104
5601
6485
SH
SOLE
6415
0
70
Great Southern Bancorp
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390905107
10286
259280
SH
SOLE
253360
0
5920
Hancock Holding Company
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410120109
15004
488740
SH
SOLE
476960
0
11780
Hardinge Inc
Com
412324303
1594
133700
SH
SOLE
133700
0
0
Harsco Corp
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415864107
19506
1032620
SH
SOLE
1011550
0
21070
HealthSouth Corp
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421924309
5730
148997
SH
SOLE
147452
0
1545
Hexcel Corp
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428291108
22559
543720
SH
SOLE
533699
0
10021
Horace Mann Educators Corp
Com
440327104
21878
659365
SH
SOLE
646115
0
13250
Independent Bank Corp
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453836108
5337
124678
SH
SOLE
123588
0
1090
Innodata Inc
Com
457642205
91
31300
SH
SOLE
31300
0
0
Interval Leisure Group Inc
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46113M108
15505
742220
SH
SOLE
724750
0
17470
Intrepid Potash Inc
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46121Y102
13656
983840
SH
SOLE
956800
0
27040
Kaiser Aluminum Corp
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483007704
16976
237660
SH
SOLE
232000
0
5660
Kimball Electronics Inc
Com
49428J109
1323
110035
SH
SOLE
107445
0
2590
Kindred Healthcare Inc
Com
494580103
4915
270330
SH
SOLE
268010
0
2320
LSB Industries Inc
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502160104
15348
488157
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SOLE
477942
0
10215
Lakeland Financial Corp
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511656100
17502
402630
SH
SOLE
393100
0
9530
Lawson Products Inc
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520776105
9013
337310
SH
SOLE
330050
0
7260
Lexmark International Inc
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529771107
16076
389527
SH
SOLE
381877
0
7650
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536252109
4824
839030
SH
SOLE
819220
0
19810
Lydall Inc
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550819106
6480
197453
SH
SOLE
192798
0
4655
M/I Homes Inc
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55305B101
16016
697550
SH
SOLE
677750
0
19800
Mallinckrodt PLC
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G5785G107
521
5260
SH
SOLE
5260
0
0
Materion Corp
Com
576690101
14354
407429
SH
SOLE
398959
0
8470
Mercer Int'l Inc
Com
588056101
10159
826634
SH
SOLE
807034
0
19600
Modine Manufacturing Co
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607828100
14750
1084551
SH
SOLE
1058811
0
25740
Mueller Water Products Inc
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624758108
14764
1441810
SH
SOLE
1408100
0
33710
Multi-Color Corp
Com
625383104
19631
354219
SH
SOLE
345839
0
8380
Nevsun Resources Limited
Com
64156L101
7949
2043520
SH
SOLE
1995120
0
48400
New York Community Bancorp
Com
649445103
459
28700
SH
SOLE
28700
0
0
Outfront Media Inc
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69007J106
5761
214637
SH
SOLE
212596
0
2041
Parker-Hannifin Corp
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701094104
469
3640
SH
SOLE
3640
0
0
Petroquest Energy Inc
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716748108
5922
1583550
SH
SOLE
1546520
0
37030
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72941W100
18043
1290650
SH
SOLE
1260210
0
30440
Polyone Corp
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73179P106
5159
136095
SH
SOLE
134555
0
1540
Primerica Inc
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74164M108
23967
441715
SH
SOLE
432475
0
9240
Range Resources Corp
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75281A109
242
4520
SH
SOLE
4520
0
0
Remy International Inc
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75971M108
2556
122190
SH
SOLE
119330
0
2860
Rex Energy Corp
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761565100
11534
2261590
SH
SOLE
2208360
0
53230
Sandisk Corp.
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80004C101
463
4730
SH
SOLE
4730
0
0
Scripps Networks Interactive
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811065101
429
5700
SH
SOLE
5700
0
0
Seaworld Entertainment Inc
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81282V100
19006
1061760
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SOLE
1040060
0
21700
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82669G104
5523
43850
SH
SOLE
43850
0
0
Sonus Networks Inc
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835916503
18628
4692090
SH
SOLE
4580760
0
111330
Southside Bancshares Inc
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84470P109
15377
531900
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519330
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12570
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845467109
259
9490
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9490
0
0
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854231107
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SH
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232352
0
5440
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858155203
23042
1283700
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1258070
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25630
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861025104
6114
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179040
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5599
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193660
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1910
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5172
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87162W100
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214080
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1891926
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405570
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395940
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Wilshire Bancorp Inc
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264
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2600
0
0