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  Name: ACK ASSET MANAGEMENT LLC
  City: SCARSDALE
  State: NY
  Zip: 10583
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $831,323,000
  Total Value Change : $143,080,000
  Securities Held Change : 0
   
All Securities Held : 21
  New Positions : 3
  Closed Positions : 3
  Increased Positions : 11
  Unchanged Positions : 5
  Decreased Positions : 2

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Holdings Found : 23     View All Holdings Currently Viewing:  ALL     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (MTRN)1 Year Chart         MTRN Materion Corp 1 - $115.02 $62,527,000 480,500 7.52% 13,559,000 0 2.364    Industrial Metals & M...
   (DY)1 Year Chart         DY Dycom Industries Inc 2 New $139.50 $61,631,000 535,500 7.41% 61,631,000 535,500 1.682    Heavy Construction
   (MTZ)1 Year Chart         MTZ Mastec Inc 3 - $88.42 $58,479,000 772,300 7.03% 22,134,000 267,300 1.045    Heavy Construction
   (ENS)1 Year Chart         ENS Enersys 4 - $91.12 $57,800,000 572,500 6.95% 3,601,000 0 1.345    Industrial Electrical...
   (ATKR)1 Year Chart         ATKR Atkore International Group ... 5 - $175.00 $57,600,000 360,000 6.93% 3,892,000 0 0.758    N/A
   (ATS)1 Year Chart         ATS Ats Ord Shs 6 - $32.18 $56,205,000 1,304,980 6.76% 4,151,000 83,639 1.332    N/A
   (CNM)1 Year Chart         CNM Core & Main, Inc. 7 - $57.04 $54,634,000 1,352,000 6.57% 16,985,000 47,000 0.52    N/A
   (ROG)1 Year Chart         ROG Rogers Corp 8 - $118.62 $54,175,000 410,200 6.52% 5,531,000 40,200 2.196    Rubber & Plastics
   (ZWS)1 Year Chart         ZWS Zurn Water Solutions Corp 9 - $31.34 $49,997,000 1,700,000 6.01% 2,363,000 0 0.956    Diversified Machinery
   (JBI)1 Year Chart         JBI Janus International Group 10 New $14.05 $44,297,000 3,394,400 5.33% 44,297,000 3,394,400 2.489    N/A
   (NEOG)1 Year Chart         NEOG Neogen Corp 11 - $12.25 $41,415,000 2,059,400 4.98% 4,335,000 59,400 0.953    Diagnostic Substances
   (EME)1 Year Chart         EME Emcor Group Inc 12 - $355.24 $38,777,000 180,000 4.66% -9,613,000 -50,000 0.328    General Contractors
   (ARRY)1 Year Chart         ARRY Array Technologies, Inc. 13 - $0.00 $37,155,000 2,211,600 4.47% 18,293,000 1,361,600 1.47    N/A
   (ATRO)1 Year Chart         ATRO Astronics Corp 14 - $17.03 $26,635,000 1,529,000 3.2% 2,766,000 24,000 4.971    Packaging & Containers
   (AMOT)1 Year Chart         AMOT Allied Motion Technologies Inc 15 - $29.42 $21,147,000 700,000 2.54% -3,818,000 -107,400 4.714    Scientific & Technica...
   (SMRT)1 Year Chart         SMRT Fifth Wall Acquisition Corp. I 16 - $2.34 $19,396,000 6,080,400 2.33% 3,984,000 175,400 3.136    N/A
   (THRY)1 Year Chart         THRY Thryv Holdings, Inc 17 - $23.68 $19,241,000 945,509 2.31% 2,338,000 45,000 2.745    Marketing Services
   (TITN)1 Year Chart         TITN Titan Machinery Inc 18 - $21.81 $19,061,000 660,000 2.29% 1,518,000 0 2.929    Consumer Services
   (CLFD)1 Year Chart         CLFD Clearfield Inc 19 New $30.94 $13,025,000 447,900 1.57% 13,025,000 447,900 3.281    Medical Instruments &...
   (LUNA)1 Year Chart         LUNA Luna Innovations Inc 20 - $2.24 $12,436,000 1,870,000 1.5% 1,631,000 26,141 6.064    Research Services
   (ERII)1 Year Chart         ERII Energy Recovery, Inc. 23 Closed $14.65 $0 0 0% -18,610,000 -877,400 0    Multi Utilities
   (VMI)1 Year Chart         VMI Valmont Industries Inc 22 Closed $207.70 $0 0 0% -26,423,000 -110,000 0    Farm & Construction M...
   (HLIO)1 Year Chart         HLIO Helios Technologies Inc 21 Closed $45.20 $0 0 0% -29,682,000 -535,000 0    Industrial Equipment ...

      23 Records Found
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