Global Alpha Capital Management Ltd. Q2 2017 Filing

Filed August 14, 2017

Portfolio Value

$217.3B

Holdings

37

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (37 positions)

#StockSharesValue% PortfolioType
1
HNMOrmat Technologies Inc
263,877$15.5B7.14%
2
LMNRlimoneira co
542,791$12.8B5.90%
3
NSYNice System Ltd - ADR
119,828$9.4B4.34%
4
TSAACI Worldwide Inc
406,529$9.1B4.18%
5
ATNIATN International Inc
126,223$8.6B3.98%
6
OMCLOmnicell Inc
193,331$8.3B3.83%
7
RYNRayonier Inc
287,485$8.3B3.81%
8
UMBFUmb Financial Corp
109,433$8.2B3.77%
9
Webmd Health Holdings Inc
137,616$8.1B3.71%
10
CSTECaesartone Ltd
215,763$7.6B3.48%
11
MPAAMotorcar Parts Of America In
256,422$7.2B3.33%
12
QA4AGentherm Inc
182,669$7.1B3.26%
13
Orbcomm Inc
624,901$7.1B3.25%
14
PRAAPRA Group Inc
183,921$7.0B3.21%
15
FPIFarmland Partners Inc
741,720$6.6B3.05%
16
Cambrex Corp
103,409$6.2B2.84%
17
Sodastream International Ltd
114,943$6.2B2.83%
18
HZOMarinemax Inc
294,293$5.8B2.65%
19
7SUSummit Materials Inc -Cl A
198,918$5.7B2.64%
20
CUBICustomers Bancorp Inc
201,750$5.7B2.63%
21
ENVUSDEnvestnet Inc
141,812$5.6B2.58%
22
CSVCarriage Services Inc
184,000$5.0B2.28%
23
GMEDGlobus Medical A
129,400$4.3B1.97%
24
RLIRli Corp
75,453$4.1B1.90%
25
Verifone Holdings Inc
220,800$4.0B1.84%
26
Unit Corp
208,681$3.9B1.80%
27
LNNLindsay Manufacturing Co
43,600$3.9B1.79%
28
EVREvercore Partners
51,000$3.6B1.65%
29
ETDEthan Allen Interiors Inc
107,570$3.5B1.60%
30
SEDGSolaredge Technologies Inc
170,509$3.4B1.57%
31
Travelcenters Of America LLC
690,500$2.8B1.30%
32
SAMBoston Beer Inc -cl A
21,225$2.8B1.29%
33
Cimpress NV
28,955$2.7B1.26%
34
ARCBArcBest Corp
113,000$2.3B1.07%
35
SITESiteone Landscape Supply Inc
42,375$2.2B1.02%
36
USPHU S Physical Therapy Inc
35,064$2.1B0.97%
37
3TYTitan Machinery Inc
31,152$560.0M0.26%