ACK Asset Management Q3 2021 13F Holdings

ACK Asset Management Q3 2021 holdings
TickerName Value Shares↓ Weighting
ENS ENSAdd  $24,787
11.5%
352,000
5.1%
7.26%
-11.3%
ROG ROGReduce  $24,581
17.1%
189,700
-0.7%
7.20%
-6.9%
TGI TGIAdd  $24,392
11.5%
1,527,500
4.6%
7.14%
-11.3%
RMBL RMBLAdd  $23,588
184.2%
656,335
203.9%
6.91%
126.1%
MTRN MTRNAdd  $20,390
22.0%
344,300
11.1%
5.97%
-3.0%
THRM THRMAdd  $18,318
17.5%
314,300
1.4%
5.36%
-6.5%
ATSAF ATA CN  $17,187
21.6%
825,0000.0%5.03%
-3.2%
AMOT AMOTAdd  $17,092
12.6%
647,752
3.1%
5.00%
-10.4%
VMI VMIAdd  $15,140
16.0%
90,900
1.0%
4.43%
-7.7%
ONEW ONEWNew  $13,300310,1043.89%
MCFT MCFTAdd  $12,802
95.6%
639,064
46.6%
3.75%
55.6%
THRY THRYReduce  $12,666
-0.8%
530,000
-19.1%
3.71%
-21.1%
MDA CNAdd  $12,330
4.5%
971,600
4.3%
3.61%
-16.9%
SMRTNew  $11,6451,050,0003.41%
ATCX ATCXReduce  $10,837
-12.4%
1,237,720
-17.5%
3.17%
-30.3%
BLDR BLDRReduce  $10,699
2.9%
578,559
-16.9%
3.13%
-18.1%
TITN TITNAdd  $10,609
39.6%
577,500
11.1%
3.11%
11.0%
LUNA LUNAAdd  $10,599
30.6%
1,360,000
12.2%
3.10%
3.9%
EVLVNew  $10,5091,161,0003.08%
MBUU MBUUNew  $10,054135,2322.94%
SLCANew  $9,8781,847,6002.89%
NVEC NVECAdd  $8,632
13.2%
132,700
11.5%
2.53%
-9.9%
JBT JBTReduce  $7,464
-14.5%
66,477
-16.9%
2.18%
-32.0%
AGYS AGYSReduce  $2,312
-4.7%
95,560
-16.9%
0.68%
-24.1%
EVI EVINew  $1,02938,3110.30%
LDL LDLReduce  $720
-78.0%
43,190
-79.8%
0.21%
-82.4%
NHIC NHICSold out  $0-308,333-1.14%
SLCA SLCASold out  $0-1,825,000-2.86%
TWCT TWCTSold out  $0-1,000,000-3.71%
FWAA FWAASold out  $0-1,050,000-4.08%
  • ACK Asset Management Q3 2021 Portfolio
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  • Quarter
    Q3 2021
  • Total value
    $342 Million
  • Holdings
    26
  • Turnover
    41.7%
  • EDGAR