Universe · entity
Dean Capital Management
Institutional manager (13F) · CIK 1455468
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $145M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Littelfuse Inc | $5M | 13,291 |
| 2 | Helmerich & Payne Inc | $4M | 120,913 |
| 3 | John B Sanfilippo & Son Inc | $4M | 54,044 |
| 4 | Viavi Solutions Inc | $4M | 121,150 |
| 5 | Prestige Consumer Healthcare I | $4M | 67,798 |
| 6 | Jazz Pharmaceuticals PLC | $4M | 21,156 |
| 7 | Cactus Inc | $4M | 81,280 |
| 8 | Reynolds Consumer Products | $4M | 180,536 |
| 9 | Portland General Electric Co | $4M | 68,296 |
| 10 | American States Water Co | $4M | 46,678 |
| 11 | Bank of NY Mellon | $3M | 29,137 |
| 12 | Keysight Technologies Inc | $3M | 10,927 |
| 13 | Brady Corp | $3M | 37,769 |
| 14 | Permian Resources Corp | $3M | 139,955 |
| 15 | Bel Fuse Inc Cl B | $3M | 14,847 |
| 16 | Camden National Corp | $3M | 61,881 |
| 17 | Kennametal Inc | $3M | 80,767 |
| 18 | Hershey Co/The | $3M | 13,793 |
| 19 | Stepan Co | $3M | 57,248 |
| 20 | Addus Homecare Corp | $3M | 30,291 |
| 21 | Ameren Corp | $3M | 25,805 |
| 22 | Baker Hughes Co | $3M | 45,877 |
| 23 | Alamo Group Inc | $3M | 16,747 |
| 24 | Dollar General Corp | $3M | 23,016 |
| 25 | L3Harris Technologies Inc | $3M | 7,905 |
| 26 | QCR Holdings Inc | $3M | 31,831 |
| 27 | Cohu Inc | $3M | 88,248 |
| 28 | OGE Energy Corp | $3M | 54,866 |
| 29 | Coterra Energy Inc | $3M | 74,163 |
| 30 | Knight-Swift Transportation Ho | $3M | 44,559 |
| 31 | Atmos Energy Corp | $3M | 13,871 |
| 32 | Heartland Express Inc | $3M | 244,083 |
| 33 | Advanced Energy Inds | $3M | 7,839 |
| 34 | Broadstone Net Lease | $3M | 138,133 |
| 35 | 1st Source Corp | $3M | 36,226 |
| 36 | Avery Dennison Corp | $3M | 14,491 |
| 37 | Assurant Inc | $2M | 11,237 |
| 38 | Quest Diagnostics Inc | $2M | 12,476 |
| 39 | Dover Corp | $2M | 11,702 |
| 40 | Prosperity Bancshares Inc | $2M | 36,112 |
| 41 | Hartford Insurance Group Inc | $2M | 17,824 |
| 42 | Wesco International Inc | $2M | 8,757 |
| 43 | International Flavors & Fragra | $2M | 33,012 |
| 44 | Regency Centers Corp | $2M | 31,541 |
| 45 | Eastman Chemical Co | $2M | 30,998 |
| 46 | SS&C Technologies Holdings | $2M | 34,562 |
| 47 | ITT Inc | $2M | 12,166 |
| 48 | Centerpoint Energy Inc | $2M | 53,471 |
| 49 | BorgWarner Inc | $2M | 42,312 |
| 50 | BJ's Wholesale Club Holdings | $2M | 23,248 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.