ACK Asset Management Q1 2022 holdings

$461 Million is the total value of ACK Asset Management's 24 reported holdings in Q1 2022. The portfolio turnover from Q4 2021 to Q1 2022 was 18.5% .

 Value Shares↓ Weighting
ENS BuyENS$41,797
+1.6%
560,501
+0.2%
9.07%
-6.5%
MTRN BuyMTRN$35,985
+36.3%
419,700
+1.1%
7.81%
+25.3%
BLDR  BLDR$35,533
+223.6%
550,5590.0%7.71%
+197.6%
TGI SellTGI$33,097
+28.1%
1,309,200
-18.2%
7.18%
+17.8%
VMI BuyVMI$31,996
+66.4%
134,100
+24.3%
6.94%
+53.1%
ATSAF BuyATA CN$30,139
+74.8%
835,800
+1.3%
6.54%
+60.8%
THRM BuyTHRM$27,375
+18.8%
374,800
+1.1%
5.94%
+9.2%
SWIM BuySWIM$25,269
+52.7%
1,908,500
+84.4%
5.48%
+40.5%
RMBL BuyRMBL$24,765
-4.5%
723,900
+1.1%
5.37%
-12.2%
AMOT BuyAMOT$22,181
+16.5%
743,324
+6.9%
4.81%
+7.2%
THRY BuyTHRY$21,793
+56.8%
775,000
+35.9%
4.73%
+44.2%
MCFT BuyMCFT$18,989
+17.0%
771,600
+1.1%
4.12%
+7.5%
TITN BuyTITN$16,504
+55.7%
584,000
+1.1%
3.58%
+43.1%
ONEW BuyONEW$15,833
-21.3%
459,600
+1.1%
3.44%
-27.6%
LUNA BuyLUNA$14,130
+1.4%
1,832,647
+5.6%
3.06%
-6.7%
ATCX SellATCX$11,286
+4.0%
937,335
-24.3%
2.45%
-4.3%
MBUU SellMBUU$10,291
-34.2%
177,400
-16.1%
2.23%
-39.5%
JBT BuyJBT$9,489
+1.8%
80,100
+1.0%
2.06%
-6.3%
BuyMDA CN$8,858
-32.2%
1,073,500
+1.3%
1.92%
-37.7%
CHGG NewCHGG$8,163225,000
+100.0%
1.77%
FTCI BuyFTCI$8,125
-33.4%
1,648,112
+8.8%
1.76%
-38.8%
SellSNPO$3,522
-66.6%
238,800
-53.6%
0.76%
-69.3%
EVI BuyEVI$3,426
-28.3%
184,300
+17.9%
0.74%
-34.1%
AGYS SellAGYS$2,409
-27.5%
60,412
-47.0%
0.52%
-33.3%
NVEC ExitNVEC$0-132,700
-100.0%
-2.03%
ExitEVLV$0-1,161,000
-100.0%
-2.46%
SLCA ExitSLCA$0-1,972,600
-100.0%
-2.57%
ExitSMRT$0-1,253,600
-100.0%
-3.32%

These EDGAR filings were analyzed to create this holdings report:

The EDGAR filing(s) were signed by:

  • Kenneth F. Cooper — Chief Financial Officer

Compare quarterly holdings

Export ACK Asset Management's holdings

EDGAR filings