AIC

Atlantic Investment Company Portfolio holdings

AUM $34.3M
1-Year Return 10.7%
This Quarter Return
-9.23%
1 Year Return
-10.7%
3 Year Return
5 Year Return
10 Year Return
AUM
$34.3M
AUM Growth
-$7.45M
Cap. Flow
+$151K
Cap. Flow %
0.44%
Top 10 Hldgs %
49.2%
Holding
51
New
3
Increased
30
Reduced
3
Closed
3

Sector Composition

1 Healthcare 20.26%
2 Energy 13.13%
3 Technology 12.71%
4 Materials 12.68%
5 Consumer Staples 9.68%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MPC icon
26
Marathon Petroleum
MPC
$54.6B
$489K 1.42%
10,555
+555
+6% +$25.7K
UNH icon
27
UnitedHealth
UNH
$280B
$458K 1.33%
3,950
+125
+3% +$14.5K
AG icon
28
First Majestic Silver
AG
$4.48B
$448K 1.3%
140,000
IBM icon
29
IBM
IBM
$231B
$446K 1.3%
3,220
+58
+2% +$8.03K
CL icon
30
Colgate-Palmolive
CL
$67.3B
$421K 1.23%
6,638
+150
+2% +$9.51K
WMT icon
31
Walmart
WMT
$805B
$420K 1.22%
19,425
+435
+2% +$9.41K
MCK icon
32
McKesson
MCK
$86.4B
$415K 1.21%
2,245
+65
+3% +$12K
SYK icon
33
Stryker
SYK
$151B
$400K 1.16%
4,255
USB icon
34
US Bancorp
USB
$76.3B
$365K 1.06%
8,890
+300
+3% +$12.3K
SLB icon
35
Schlumberger
SLB
$53.5B
$338K 0.98%
4,904
PFE icon
36
Pfizer
PFE
$139B
$305K 0.89%
10,222
AFL icon
37
Aflac
AFL
$57.9B
$302K 0.88%
10,376
+290
+3% +$8.44K
MRK icon
38
Merck
MRK
$209B
$273K 0.79%
5,801
ABBV icon
39
AbbVie
ABBV
$375B
$251K 0.73%
4,619
+90
+2% +$4.89K
ORCL icon
40
Oracle
ORCL
$625B
$249K 0.73%
6,905
+215
+3% +$7.75K
MDT icon
41
Medtronic
MDT
$119B
$221K 0.64%
3,300
+70
+2% +$4.69K
AXP icon
42
American Express
AXP
$230B
$219K 0.64%
+2,960
New +$219K
DUK icon
43
Duke Energy
DUK
$93.9B
$206K 0.6%
+2,865
New +$206K
MCD icon
44
McDonald's
MCD
$226B
$203K 0.59%
+2,064
New +$203K
CELG
45
DELISTED
Celgene Corp
CELG
$201K 0.59%
1,855
+90
+5% +$9.75K
T icon
46
AT&T
T
$212B
$201K 0.59%
8,170
ANV
47
DELISTED
ALLIED NEVADA GOLD CORP
ANV
$8K 0.02%
177,000
ABT icon
48
Abbott
ABT
$231B
-4,124
Closed -$202K
CUZ icon
49
Cousins Properties
CUZ
$4.88B
-931
Closed -$27K
GOOG icon
50
Alphabet (Google) Class C
GOOG
$2.78T
-17,900
Closed -$483K