Atlantic Investment Management·CIK 1063296
18
Positions
$1.3B
Portfolio Value
72
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q1 2015
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| OIXXXX | 22.02% | $292,666,000 |
| TGI |
21.12% |
| $280,684,000 |
| FMC | 16.37% | $217,550,000 |
| OIS | 10.47% | $139,195,000 |
| GT | 7.74% | $102,904,000 |
| WCC | 5.25% | $69,721,000 |
| IM | 4.06% | $54,008,000 |
| TEX | 1.94% | $25,795,000 |
| ALK | 1.41% | $18,781,000 |
| BGC | 1.24% | $16,421,000 |
| NVRI | 1.22% | $16,231,000 |
| DCH | 1.22% | $16,216,000 |
| LEA | 1.08% | $14,379,000 |
| MGA | 1.05% | $13,932,000 |
| ACM | 1.03% | $13,694,000 |
| CYT | 0.97% | $12,889,000 |
| TKR | 0.97% | $12,857,000 |
| AXE | 0.85% | $11,364,000 |