Alex Roepers Holdings Activity

Atlantic Investment Management Portfolio 13F

Atlantic Investment Management has disclosed a total of 11 changes to the portfolio in the latest (2025 Q1) SEC report(s): increased the number of shares of 2, bought 3 totally new, decreased the number of shares of 2 and completely sold out 4 position(s).

What stocks is Alex Roepers buying now?

In the recent quarter Alex Roepers has purchased 5 securities: (APTV) APTIV PLC (new buy), (EMN) EASTMAN CHEMICAL CO (new buy), (ASH) ASHLAND GLOBAL HOLDINGS INC (new buy), (WFRD) WEATHERFORD INTERNATIONAL PL (added shares +30.75%) and (OSK) OSHKOSH CORP (added shares +2.57%).

What does Alex Roepers invest in?

Alex Roepers's top 5 holdings (by % of portfolio) are (APTV) APTIV PLC (22.4%), (WFRD) WEATHERFORD INTERNATIONAL PL (17.14%), (GTLS) CHART INDUSTRIES INC (16.57%), (OSK) OSHKOSH CORP (12.4%) and (EMN) EASTMAN CHEMICAL CO (12.38%).

In the latest report(s) the following changes have been made to the top investments: (APTV) APTIV PLC (new buy), (WFRD) WEATHERFORD INTERNATIONAL PL (added shares +30.75%), (GTLS) CHART INDUSTRIES INC (reduced shares -10.18%), (OSK) OSHKOSH CORP (added shares +2.57%) and (EMN) EASTMAN CHEMICAL CO (new buy).

2017 Q4 (9 results)
HUN
-4.02%
-123,846
-0.61%
$33.29
68.61% $10.45
14.58%
ALK
-6.32%
-6,000
-0.06%
$73.51
33.32% $49.01
0.00%
EMN
-7.49%
-91,224
-1.11%
$92.64
17.80% $76.15
13.68%
AXL
-12.39%
-50,000
-0.11%
$17.03
75.34% $4.20
0.79%
DBD
-16.38%
-1,061,978
-2.28%
$16.35
233.89% $54.59
11.61%
IGT
-17.24%
-42,750
-0.17%
$26.51
41.45% $15.52
0.00%
LKSDQ
-18.90%
-69,084
-0.16%
$15.15
-
0.70%
BW
-100.00%
-75,000
-0.33%
$33.31
96.88% $1.04
0.00%
KS
-100.00%
-190,000
-0.54%
$21.49
99.81% $0.04
0.00%
2017 Q3 (13 results)
SCS
-1.01%
-4,904
-0.01%
$15.40
29.28% $10.89
0.93%
ARRS
-7.59%
-324,853
-1.15%
$28.49
-
14.03%
COMM
-13.73%
-585,548
-2.42%
$33.21
75.34% $8.19
15.21%
HUN
-19.60%
-848,843
-2.90%
$27.42
61.89% $10.45
11.88%
TGI
-23.07%
-53,993
-0.20%
$29.75
13.51% $25.73
0.67%
8765432D
-24.42%
-1,872,420
-6.41%
$25.16
-
19.84%
EMN
-28.42%
-483,508
-5.45%
$90.49
15.85% $76.15
13.72%
IGT
-29.65%
-113,689
-0.37%
$24.55
36.79% $15.52
0.89%
DXC
-100.00%
-61,117
-0.58%
$76.72
80.19% $15.20
0.00%
NOMD
-100.00%
-312,368
-0.55%
$14.11
21.53% $17.15
0.00%
ADNT
-100.00%
-50,000
-0.41%
$65.38
69.85% $19.71
0.00%
MGA
-100.00%
-173,356
-1.00%
$46.33
17.38% $38.28
0.00%
ZTO
-100.00%
-127,400
-0.22%
$13.96
26.40% $17.65
0.00%
2017 Q2 (12 results)
SCS
-4.78%
-12,742
-0.04%
$14.00
22.21% $10.89
0.70%
8765432D
-14.48%
-1,418,640
-3.49%
$23.92
-
20.60%
MGA
-46.15%
-148,546
-0.71%
$46.33
17.38% $38.28
0.00%
BW
-62.88%
-33,023
-0.79%
$117.60
99.12% $1.04
0.47%
TGI
-86.39%
-1,484,990
-4.82%
$31.60
18.57% $25.73
0.76%
BDC
-100.00%
-67,886
-0.48%
$69.19
68.44% $116.54
0.00%
CSC
-100.00%
-138,000
-0.98%
$69.01
85.45% $10.04
0.00%
MU
-100.00%
-91,107
-0.45%
$28.90
336.01% $126.00
0.00%
RL
-100.00%
-54,722
-0.75%
$81.62
235.08% $273.49
0.00%
HAR
-100.00%
-1,030,435
-11.81%
$111.50
-
0.00%
ODP
-100.00%
-123,382
-0.59%
$46.65
61.46% $17.98
0.00%
GT
-100.00%
-330,000
-1.22%
$36.00
70.75% $10.53
0.00%
2017 Q1 (9 results)
HAR
-8.41%
-94,591
-1.10%
$111.50
-
0.00%
ODP
-26.57%
-44,648
-0.22%
$46.65
61.46% $17.98
0.00%
TGI
-28.95%
-448,346
-1.88%
$25.75
0.08% $25.73
4.62%
GT
-88.94%
-2,654,730
-9.98%
$36.00
70.75% $10.53
0.00%
OSK
-100.00%
-41,100
-0.40%
$64.62
74.86% $112.99
0.00%
SPLS
-100.00%
-521,665
-0.70%
$9.05
13.27% $10.25
0.00%
PAY
-100.00%
-347,836
-0.64%
$17.73
90.19% $33.72
0.00%
CTB
-100.00%
-100,000
-0.41%
$38.85
-
0.00%
ABG
-100.00%
-98,584
-0.89%
$61.70
288.81% $239.89
0.00%
43 of 416

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.