-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, OB/lL0bhLr2rJWNQfVhtt9inDr2KeS52Na00lV6tfxi6wVhZp7w+Cjf64AgBstBu +VU0xCeNsufHDVPUV3gucA== 0001315478-05-000014.txt : 20051114 0001315478-05-000014.hdr.sgml : 20051111 20051114091851 ACCESSION NUMBER: 0001315478-05-000014 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20050930 FILED AS OF DATE: 20051114 DATE AS OF CHANGE: 20051114 EFFECTIVENESS DATE: 20051114 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Champlain Investment Partners, LLC CENTRAL INDEX KEY: 0001315478 IRS NUMBER: 201367417 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-11057 FILM NUMBER: 051197019 BUSINESS ADDRESS: STREET 1: 346 SHELBURNE ROAD CITY: BURLINGTON STATE: X1 ZIP: 05401 BUSINESS PHONE: 8028466200 MAIL ADDRESS: STREET 1: 346 SHELBURNE ROAD CITY: BURLINGTON STATE: X1 ZIP: 05401 13F-HR 1 champ3rdqtr2005.txt 3RD QUARTER 2005 TEST TYPE 13F-HR PERIOD 09/30/05 FILER CIK 0001315478 CCC 2#cccccc SUBMISSION-CONTACT NAME W. Nunez PHONE 802-846-6205 UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON DC 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter ended: September 30, 2005 Check here is Amendment [ ]; Amendment Number: This Amendment (check only one): [ ] is a restaurant [ x] adds new holdings entries Institutional Investment Manager Filing this report: Name: Champlain Investment Partners, LLC Address: 346 Shelburne Road, 6th floor Burlington, VT 05401 13F File Number:28-11057 Person Signing this report on behalf of reporting manager: Name: Wendy Nunez Title: Compliance Officer Phone: 802-846-6205 Signature, Place, and Date of Signing: Wendy K Nunez Burlington, VT 11-14-05 Report Type (check only one): [xx] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION. List of Other Managers Reporting for this Manager: None FORM 13F SUMMARY PAGE Report Summary: Number of other managers: 0 Form 13F Information Table Entry Total: 74 Form 13F Information Table Value Total: 175393360 List of Other Included Managers: None No. 13F File Number: SHRS/ SH/ PUT/ VOTING NAME OF ISSUER TITLE CUSIP VALUE PRN PRN CALL INVDIS OTHMGR SOLE SHARE NONE ABM Industries Inc. COM 000957100 4588605 220500 SH sole 170000 0 50500 Advanced Neuromodulatio COM 00757T101 1176760 24800 SH sole 19000 0 5800 ADVO Inc. COM 007585102 3443465 110050 SH sole 85050 0 25000 AGCO Corporation COM 001084102 2682680 147400 SH sole 113300 0 34100 Alleghany Corp COM 017175100 2891700 9450 SH sole 7240 0 2210 American Medical Syst COM 02744M108 2865330 142200 SH sole 109800 0 32400 AptarGroup Inc. COM 038336103 3773108 75750 SH sole 58550 0 17200 ArthroCare Corporation COM 043136100 2907906 72300 SH sole 56100 0 16200 Bio-Rad Laboratories CL A 090572207 2018133 36700 SH sole 28500 0 8200 Bisys Group Inc. CL A 055472104 1642489 122300 SH sole 95000 0 27300 Brady Corporation CL A 104674106 2317406 74900 SH sole 57200 0 17700 Cabot Oil & Gas Corpor COM 127097103 1837301 36375 SH sole 28075 0 8300 Caseys General Stores COM 147528103 3354720 144600 SH sole 112400 0 32200 Cathay General Bancorp COM 149150104 1749065 49325 SH sole 37825 0 11500 Central Garden & Pet Co COM 153527106 2198471 48585 SH sole 37785 0 10800 Ceridian Corporation COM 156779100 3769238 181650 SH sole 140550 0 41100 Checkpoint Systems, Inc COM 162825103 3733528 157400 SH sole 122300 0 35100 CLARCOR Inc. COM 179895107 2808816 97800 SH sole 75300 0 22500 Comstock Resources COM NEW 205768203 2851189 86900 SH sole 67400 0 19500 Core Laboratories N.V. COM N22717107 2014637 62450 SH sole 47950 0 14500 CoStar Group Inc. COM 22160N109 1674912 35850 SH sole 27650 0 8200 CVB Financial Corpora COM 126600105 1406160 75600 SH sole 57100 0 18500 Diagnostic Products Cor COM 252450101 1297158 24600 SH sole 19300 0 5300 Dionex Corporation COM 254546104 2640619 48675 SH sole 37875 0 10800 DTS, Inc. COM 23335C101 2594202 154050 SH sole 131050 0 23000 East West Bancorp, Inc. COM 27579R104 1682427 49425 SH sole 37725 0 11700 Education Management COM 28139T101 3912324 121350 SH sole 94150 0 27200 Euronet Worldwide, Inc. COM 298736109 2234045 75500 SH sole 57100 0 18400 FactSet Research Syste COM 303075105 2602474 73850 SH sole 56850 0 17000 FileNET Corporation COM 316869106 2420325 86750 SH sole 66750 0 20000 First Advantage Corpo CL A 31845F100 2111655 71825 SH sole 55325 0 16500 First Midwest Bancorp, COM 320867104 472948 12700 SH sole 9700 0 3000 Frontier Financial Corp COM 35907K105 1269475 43775 SH sole 33675 0 10100 G & K Services, Inc. CL A 361268105 1890744 48025 SH sole 37225 0 10800 Glacier Bancorp, Inc. COM 37637Q105 1131386 36650 SH sole 28150 0 8500 Greatbatch, Inc. COM 39153L106 1909824 69600 SH sole 54600 0 15000 Hain Celestial Group COM 405217100 4019680 207200 SH sole 159700 0 47500 Hanmi Financial Corpor COM 410495105 1012380 56400 SH sole 47400 0 9000 Harsco Corporation COM 415864107 3676838 56075 SH sole 43575 0 12500 Harte-Hanks Inc. COM 416196103 3377754 127800 SH sole 98800 0 29000 HCC Insurance Holdings COM 404132102 1731771 60700 SH sole 47200 0 13500 Healthcare Realty Trust COM 421946104 3801258 94700 SH sole 73200 0 21500 HEICO Corporation CL A 422806208 2144900 120500 SH sole 93700 0 26800 Hyperion Solutions Corp COM 44914M104 2577234 52975 SH sole 40975 0 12000 IDX Systems Corporation COM 449491109 3616325 83750 SH sole 66250 0 17500 Independent Bank Corpor COM 453836108 1121022 36900 SH sole 28400 0 8500 Integra LifeSciences Hl COM NEW 457985208 2364468 61800 SH sole 47800 0 14000 Kanbay International COM 48369P207 909920 48400 SH sole 37400 0 11000 Kronos Inc. COM 501052104 2762100 61875 SH sole 47375 0 14500 Kyphon Inc. COM 501577100 1074333 24450 SH sole 18650 0 5800 Lancaster Colony Corpo COM 513847103 3704450 86150 SH sole 66150 0 20000 Macdermid, Inc. COM 554273102 1594639 60725 SH sole 47125 0 13600 Matthews International CL A 577128101 1868265 49425 SH sole 38125 0 11300 Mettler-Toledo Interna COM 592688105 3456444 67800 SH sole 52600 0 15200 MRO Software, Inc. COM 55347W105 1878502 111550 SH sole 86050 0 25500 MSC Industrial Direct CL A 553530106 3285489 99050 SH sole 75550 0 23500 Open Solutions Inc. COM 68371P102 2125268 97400 SH sole 74400 0 23000 Performance Food Group COM 713755106 3056834 96950 SH sole 75450 0 21500 Range Resources Corp COM 75281A109 1407335 36450 SH sole 28250 0 8200 Regis Corporation COM 758932107 4626332 122325 SH sole 94475 0 27850 RLI Corporation COM 749607107 1706994 36900 SH sole 28400 0 8500 Salix Pharmaceuticals COM 795435106 1521500 71600 SH sole 55200 0 16400 Sauer-Danfoss, Inc. COM 804137107 1462000 73100 SH sole 56600 0 16500 Serologicals Corporatio COM 817523103 2657568 117800 SH sole 90800 0 27000 Superior Energy Svcs COM 868157108 2840070 123000 SH sole 95000 0 28000 Sybron Dental Special COM 871142105 3060288 73600 SH sole 56900 0 16700 Tootsie Roll Industri COM 890516107 3449638 108650 SH sole 84650 0 24000 UCBH Holdings, Inc. COM 90262T308 1791758 97750 SH sole 75250 0 22500 UniFirst Corporation COM 904708104 1695635 48350 SH sole 37550 0 10800 Universal Technical Ins COM 913915104 3395770 95360 SH sole 73860 0 21500 Waste Connections, Inc. COM 941053100 1289190 36750 SH sole 28350 0 8400 Whiting Petroleum Corp COM 966387102 1076272 24550 SH sole 18750 0 5800 Wright Medical Group, COM 98235T107 2377918 96350 SH sole 74150 0 22200
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