ATLANTA CAPITAL MANAGEMENT CO L L C
All 13F Filings
- Location
- Most recent 13F
- Q1 2014
- Holdings value ($000)
- 14,522,639
- Description
- For portfolio-tracking use cases, ATLANTA CAPITAL MANAGEMENT CO L L C stands out as an institutional asset manager; the Q1 2014 snapshot reflects a broadly diversified core book with mostly cash-equity positioning. ATLANTA CAPITAL MANAGEMENT CO L L C has steady filing coverage in SEC disclosures. Recent core disclosed names include Markel CORP, Morningstar INC, and Affiliated Managers GROUP. Top-position leadership partially rotated, with KIRBY CORP entering while LKQ CORP moved out. Versus the previous filing, the profile points to position breadth that stayed broadly stable and capital deployment that stayed in a similar range. This page organizes raw filings into a readable timeline of additions, trims, exits, and recurring core positions from Q1 2014 backward. If you searched for "ATLANTA CAPITAL MANAGEMENT CO L L C 13F portfolio changes", this page gives a concise starting summary with full filing context in one place.
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Sector allocation over time (stocks only)
Stacked by quarter. Hover to see detailed sector breakdown for any quarter.
| Quarter | Date Filed | Holdings | Value ($000) | Form Type | Name |
|---|---|---|---|---|---|
| Q1 2014 | 5/14/2014 | 198 | 14,522,639 | 13F-HR | ATLANTA CAPITAL MANAGEMENT CO L L C |
| Q4 2013 | 2/12/2014 | 195 | 15,249,871 | 13F-HR | ATLANTA CAPITAL MANAGEMENT CO L L C |
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Money flow by instrument (QoQ, ex-options)
| Type | Value ($000) | Share % | Inflow | Outflow | Net |
|---|---|---|---|---|---|
| Stocks | 14.48 M | 99.7% | 0 | 707.7 K | -707.7 K |
| ETFs | 8.899 K | 0.1% | 2.019 K | 0 | 2.019 K |
| Other | 30.73 K | 0.2% | 0 | 21.52 K | -21.52 K |
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Fund Snapshot
Q1 2014
Latest filed
5/14/2014
Total value ($000)
14,522,639
Holdings
198
QoQ value change ($000)
-727,232
(-4.8%)
Value = total reported 13F value ($000), Holdings = number of positions.
13F Value over time
Holdings count over time
Sector allocation (latest, stocks only)
Methodology:
sector allocation is stocks-only;
instrument flow table is ex-options;
options exposure is shown separately.
Details.