Global Alpha Capital Management Ltd. Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$238.2B

Holdings

36

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (36 positions)

#StockSharesValue% PortfolioType
1
HNMOrmat Technologies Inc
271,677$16.6B6.96%
2
LMNRlimoneira co
580,291$13.4B5.64%
3
TSAACI Worldwide Inc
503,179$11.5B4.81%
4
UMBFUmb Financial Corp
142,614$10.6B4.46%
5
OMCLOmnicell Inc
207,732$10.6B4.45%
6
NSYNice System Ltd - ADR
129,832$10.6B4.43%
7
MPAAMotorcar Parts Of America In
294,339$8.7B3.64%
8
PRAAPRA Group Inc
276,808$7.9B3.33%
9
QA4AGentherm Inc
212,779$7.9B3.32%
10
FPIFarmland Partners Inc
833,720$7.5B3.16%
11
Sodastream International Ltd
108,609$7.2B3.03%
12
Orbcomm Inc
684,522$7.2B3.01%
13
ATNIATN International Inc
135,738$7.2B3.00%
14
RYNRayonier Inc
245,735$7.1B2.98%
15
Verifone Holdings Inc
342,515$6.9B2.92%
16
ENVUSDEnvestnet Inc
134,815$6.9B2.89%
17
CSTECaesartone Ltd
227,913$6.8B2.85%
18
Cambrex Corp
117,709$6.5B2.72%
19
CUBICustomers Bancorp Inc
195,250$6.4B2.67%
20
7SUSummit Materials Inc -Cl A
190,718$6.1B2.56%
21
RLIRli Corp
102,404$5.9B2.47%
22
CSVCarriage Services Inc
223,940$5.7B2.41%
23
LNNLindsay Manufacturing Co
58,438$5.4B2.25%
24
GMEDGlobus Medical A
164,375$4.9B2.05%
25
Unit Corp
228,681$4.7B1.98%
26
HZOMarinemax Inc
278,768$4.6B1.94%
27
ETDEthan Allen Interiors Inc
133,230$4.3B1.81%
28
ARCBArcBest Corp
127,300$4.3B1.79%
29
USPHU S Physical Therapy Inc
65,740$4.0B1.70%
30
EVREvercore Inc
47,725$3.8B1.61%
31
Cimpress NV
38,942$3.8B1.60%
32
SEDGSolaredge Technologies Inc
131,889$3.8B1.58%
33
SAMBoston Beer Inc -cl A
21,375$3.3B1.40%
34
Travelcenters Of America LLC
717,930$3.1B1.28%
35
3TYTitan Machinery Inc
195,845$3.0B1.28%
36
CLARClarus Corp
11,000$82.0M0.03%