Atlantic Investment Management·CIK 1063296
15
Positions
$1.2B
Portfolio Value
72
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q2 2012
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| JOY | 16.06% | $188,627,000 |
| OIXXXX |
14.52% |
| $170,613,000 |
| ASHXXXX | 14.48% | $170,072,000 |
| R108 | 14.21% | $166,965,000 |
| KMT | 13.40% | $157,463,000 |
| ROC | 11.14% | $130,833,000 |
| SEE | 2.37% | $27,792,000 |
| HAR | 2.36% | $27,720,000 |
| CCK | 2.26% | $26,504,000 |
| FLS | 1.95% | $22,950,000 |
| OIS | 1.69% | $19,860,000 |
| NOVXXXX | 1.69% | $19,808,000 |
| CRXXXX | 1.55% | $18,190,000 |
| ACM | 1.54% | $18,095,000 |
| MTWXXXX | 0.80% | $9,360,000 |
| Ticker | Last Value | Last Weight |
|---|---|---|
SOLDGEO | $13,307,000 | 1.10% |