Alex Roepers Holdings Activity

Atlantic Investment Management Portfolio 13F

Atlantic Investment Management has disclosed a total of 10 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 5, bought 1 totally new and decreased the number of shares of 4 position(s).

What stocks is Alex Roepers buying now?

In the recent quarter Alex Roepers has bought 6 securities out of which top 5 purchases (by % change to portfolio) are (PTEN) PATTERSON-UTI ENERGY INC (added shares +108.92%), (CPRI) CAPRI HOLDINGS LTD (new buy), (GT) GOODYEAR TIRE & RUBBER CO (added shares +30.76%), (WCC) WESCO INTERNATIONAL INC (added shares +9.39%) and (TEX) TEREX CORP (added shares +0.85%).

What does Alex Roepers invest in?

Alex Roepers's top 5 holdings (by % of portfolio) are (EMN) EASTMAN CHEMICAL CO (16.16%), (WCC) WESCO INTERNATIONAL INC (15.07%), (WFRD) WEATHERFORD INTERNATIONAL PL (14.88%), (TEX) TEREX CORP (13.4%) and (FLS) FLOWSERVE CORP (8.94%).

In the latest report(s) the following changes have been made to the top investments: (EMN) EASTMAN CHEMICAL CO (added shares +0.55%), (WCC) WESCO INTERNATIONAL INC (added shares +9.39%), (WFRD) WEATHERFORD INTERNATIONAL PL (reduced shares -1.01%), (TEX) TEREX CORP (added shares +0.85%) and (FLS) FLOWSERVE CORP (reduced shares -26.04%).

2014 Q3 (17 results)
8765432D
+18.23%
+1,713,403
+2.95%
$26.05
-
19.12%
BHI
+22.16%
+609,330
+2.62%
$65.06
-
14.43%
TEX
+178.23%
+632,733
+1.33%
$31.77
95.00% $61.95
2.07%
TGI
+8.31%
+290,995
+1.25%
$65.05
76.86% $15.05
16.28%
OIS
+11.44%
+243,710
+1.00%
$61.90
92.47% $4.66
9.70%
BWC
-100.00%
-399,700
-0.86%
$32.46
68.76% $10.14
0.00%
BGC
+84.49%
+799,585
+0.80%
$15.08
40.92% $8.91
1.74%
CAM
+6.30%
+179,431
+0.79%
$66.38
-
13.28%
CYT
+102.59%
+193,562
+0.60%
$47.29
93.61% $3.02
1.19%
GT
+23.28%
+235,753
+0.35%
$22.58
44.17% $12.61
1.86%
RRD
+44.70%
+104,309
+0.34%
$49.38
78.05% $10.84
0.00%
HAR
-1.99%
-45,068
-0.29%
$98.04
-
14.37%
HSC
+16.75%
+120,612
+0.17%
$21.41
57.26% $9.15
1.19%
VEC
buy
+56,843
+0.07%
$19.53
68.17% $32.84
0.00%
XLS
-5.93%
-63,990
-0.07%
$16.54
-
0.00%
TAM
-4.74%
-34,205
-0.06%
$26.10
-
0.00%
AXL
+1.30%
+14,995
+0.02%
$16.77
53.01% $7.88
1.29%
2014 Q2 (16 results)
BHI
-39.09%
-1,765,195
-8.56%
$74.45
-
13.33%
TGI
+60.55%
+1,320,000
+6.00%
$69.82
78.44% $15.05
15.92%
8765432D
+16.43%
+1,326,144
+2.99%
$34.64
-
21.21%
HAR
-12.80%
-332,508
-2.33%
$107.43
-
15.85%
OIS
-13.93%
-344,596
-1.44%
$64.09
92.73% $4.66
8.89%
XLS
buy
+1,078,328
+1.19%
$16.98
-
1.19%
TEX
buy
+355,000
+0.95%
$41.10
50.72% $61.95
0.95%
BWC
buy
+399,700
+0.84%
$32.46
68.76% $10.14
0.00%
RRD
buy
+233,333
+0.77%
$50.88
78.70% $10.84
0.77%
AXL
+104.32%
+589,418
+0.73%
$18.89
58.28% $7.88
1.42%
BGC
+69.23%
+387,161
+0.65%
$25.66
65.28% $8.91
1.58%
GT
+27.01%
+215,343
+0.39%
$27.78
54.61% $12.61
1.83%
CAM
+2.02%
+56,317
+0.25%
$67.71
-
12.57%
TAM
+22.95%
+134,786
+0.20%
$23.26
-
1.09%
HSC
+16.75%
+103,303
+0.18%
$26.63
65.64% $9.15
1.25%
CYT
+2.06%
+3,815
+0.03%
$105.42
97.14% $3.02
1.30%
33 of 747

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.