Atlantic International Corp. Common Stock

10-Year Study

ATLN.US · Industrials · US · Common Stock

Executive Summary: Atlantic International Corp. Common Stock has compounded at -63.9% annually over the last 10 years, with a maximum drawdown of 99.4% and an annualized volatility of 368.1%.

1Y CAGR
-22.9%
3Y CAGR
-54.8%
5Y CAGR
-63.9%
10Y CAGR
-63.9%

History & Riski10-year historical performance analysis including CAGR, Max Drawdown, Sharpe & Sortino ratios, annual returns, and rolling volatility — all computed from daily market data.

10-Year Growth of $10,000

Max DrawdownMax DrawdownThe largest peak-to-trough decline in the asset's value over the measurement period.Click for full definition →
99.4%
Sharpe RatioSharpe RatioRisk-adjusted return: how much excess return you earn per unit of total risk (volatility).Click for full definition →
-0.03
Sortino RatioSortino RatioLike Sharpe, but only penalizes downside volatility — a more accurate risk measure for asymmetric return distributions.Click for full definition →
-0.09
Ann. VolatilityAnnualized VolatilityThe annualized standard deviation of an asset's returns — a measure of how much prices fluctuate.Click for full definition →
165.0%
Best YearBest & Worst YearThe single calendar year with the highest and lowest return in the measured period.Click for full definition →
2026 · +20.3%
Worst YearBest & Worst YearThe single calendar year with the highest and lowest return in the measured period.Click for full definition →
2022 · -84.4%
% Positive Years% Positive YearsThe percentage of calendar years in the measurement period where the asset delivered a positive return.Click for full definition →
40%

Annual Returns

Rolling 12-Month Returns

Rolling 12-Month Annualised Volatility

Historical Drawdowns

Monthly Returns

Monthly Returns Heatmap

YearJanFebMarAprMayJunJulAugSepOctNovDecAnn.
2026160.2-9.0-3.8-50.87.420.3%
2025-11.3-51.391.0-30.0-4.6-24.5-24.1157.1-23.0-9.2-26.2-35.0-72.7%
2024-12.3-3.3-14.6-56.5138.593.54.2-0.6-11.5-5.30.8-7.018.2%
202381.121.4-37.55.023.1-21.7-10.954.4-31.8-28.7-63.03.0-64.5%
2022-11.8-23.08.4-23.0-32.510.821.3-2.3-27.7-6.9-31.1-33.3-84.4%
2021-27.51.6-28.6-29.2-62.7%

Risk X-RayiA 19-factor macroeconomic risk decomposition showing exactly which market forces (equity beta, rates, inflation, credit, commodity, crypto) drive this asset's volatility. Powered by multivariate regression against daily factor returns.

Risk Profile Insight: This asset has an estimated annualized volatility of 368.1%. The dominant macroeconomic risk driver is SHV.US, accounting for 79.8% of variance. Idiosyncratic stock-specific factors contribute 8.5%.

10-Year Historical Price Series (Growth of $10,000)
DateSimulated Value
2021-08-0110000
2021-09-017250.996209695577
2021-10-017370.517816269745
2021-11-015258.9639875105895
2021-12-013725.0996969595417
2022-01-013286.852539687859
2022-02-012529.8804016435415
2022-03-012743.027937945667
2022-04-012111.5538287591544
2022-05-011426.2947686443135
2022-06-011579.6812166969146
2022-07-011916.3346094331382
2022-08-011872.509855710978
2022-09-011354.581690714837
2022-10-011260.9561409368
2022-11-01868.5259098109832
2022-12-01579.6812831881507
2023-01-011049.8007770583806
2023-02-011274.9003980279383
2023-03-01796.8127368940264
2023-04-01836.6533357437356
2023-05-011029.880477633526
2023-06-01806.7729341001939
2023-07-01719.1234741496131
2023-08-011110.5577140510572
2023-09-01756.9720905505771
2023-10-01539.342617485645
2023-11-01199.701203582563
2023-12-01205.6772934100194
2024-01-01180.27887602302468
2024-02-01174.30278619556827
2024-03-01148.9043806820086
2024-04-0164.74103249795263
2024-05-01154.3824630238436
2024-06-01298.80477633525993
2024-07-01311.2549753492291
2024-08-01309.4123369663385
2024-09-01273.90437830732156
2024-10-01259.4621493508669
2024-11-01261.4541792933524
2024-12-01243.02789045192688
2025-01-01215.6374431224467
2025-02-01105.07967445358831
2025-03-01200.69721855380575
2025-04-01140.43824155301033
2025-05-01133.9641442399326
2025-06-01101.09561456861739
2025-07-0176.69322402630044
2025-08-01197.21115428102112
2025-09-01151.89242559573677
2025-10-01137.94820412490353
2025-11-01101.84263173376695
2025-12-0166.23506089153426
2026-01-01172.31075625308281
2026-02-01156.87250757601146
2026-03-01150.89641204930624
2026-04-0174.20318612325622
2026-05-0179.68127368940264
Annual Return Matrix
YearAnnual Return
2022-0.8443850284970114
2023-0.6451890040699115
20240.1815980579219738
2025-0.7274590139906755
20260.2030074799793382
Total Factor Risk
3.6814079917840132
VTI.US Exposure
0.09066816581643566
VEA.US Exposure
0.0011988428069386614
VWO.US Exposure
0.0015701549068630773
QQQ.US Exposure
-0.0005428952671669865
VTV.US Exposure
0.00047338733907623787
IJR.US Exposure
0.004713701123703296
QUAL.US Exposure
0.0036105119834784964
SHV.US Exposure
0.7981211132530307
TLT.US Exposure
-0.0003386156109388715
LQD.US Exposure
0.010445971179091209
HYG.US Exposure
0.0008468108327344874
GLD.US Exposure
0.0000065117361185974265
USO.US Exposure
0.00017876095251371293
VNQ.US Exposure
0.00061797940618526
BTC-USD.CC Exposure
0.00034891625492674275
CPER.US Exposure
0.00013394286794859772
VIX.INDX Exposure
0.00014001040176454726
UUP.US Exposure
0.0030495561979300145
TIP.US Exposure
0.00015245930328456
Idiosyncratic Exposure
0.08460471451608201
Value Score
25
Growth Score
46.4
Profit Score
18
Health Score
0
Yield Score
0
Moat Score
0

Factor Risk Decomposition

Share of annualised volatility attributable to each macro factor.

Total Est. Vol
368.1%

FundamentalsiCompany financial health metrics: P/E valuation, dividend yield, Piotroski F-Score (9-point profitability signal), Altman Z-Score (bankruptcy risk proxy), and a radar chart across 6 fundamental dimensions. Note: ETFs may show N/A for some metrics.

Fundamental Dimensions

Core Valuation

P/E Ratio (TTM)P/E RatioPrice-to-Earnings ratio — the market price of a stock divided by its earnings per share, a key valuation measure.Click for full definition →N/A
Forward P/EForward P/E RatioA valuation metric that compares the current stock price to estimated future earnings per share.Click for full definition →No estimate availableN/A
Dividend YieldDividend YieldAnnual dividend paid per share divided by the current share price — expressed as a percentage income return.Click for full definition →0.00%
Squeeze RiskShort Squeeze RiskA situation where a sharp rise in the price of a stock forces short sellers to buy shares to cover their positions, further driving up the price.Click for full definition →Extreme
Market Cap$119.0M
Piotroski F-ScorePiotroski F-ScoreA 9-point scoring system evaluating a company's financial strength across profitability, leverage, and operating efficiency.Click for full definition →
9-point profitability signal
0.0/ 9
Weak
Altman Z-ScoreAltman Z-ScoreA bankruptcy prediction model that combines 5 financial ratios into a single score indicating financial distress risk.Click for full definition →
Bankruptcy risk proxy
-0.17
Distress Zone
Income Simulation

Based on $10,000 initial investment.

Total Income Generated
$0
Avg Yield on Cost
0.00%

Momentum & MacroiPrice momentum indicators: distance from 50/200-Day SMA, 52-Week High proximity, Golden Cross trend signal, RSI momentum gauge, Fibonacci retracement levels, and Beta (market sensitivity).

vs 50-Day SMAMoving Averages (SMA)A rolling average of an asset's price over a defined window — used to identify trends and momentum signals.Click for full definition →
-41.8%
Above/below 50-day moving average
vs 200-Day SMAMoving Averages (SMA)A rolling average of an asset's price over a defined window — used to identify trends and momentum signals.Click for full definition →
-42.5%
Above/below 200-day moving average
vs 52-Week High52-Week HighThe highest price an asset reached in the past 52 weeks — a key reference for momentum and valuation context.Click for full definition →
68.3% from high
Distance from 52-week high
BetaBetaA measure of an asset's sensitivity to broad market movements relative to a benchmark (e.g. S&P 500).Click for full definition →
1.00
Market sensitivity coefficient
Trend SignalGolden Cross & Death CrossTechnical chart patterns that occur when a short-term moving average crosses over a long-term moving average.Click for full definition →
✦ Death Cross
Bearish — 50 SMA below 200 SMA
RSI (14-Day)Relative Strength Index (RSI)A momentum oscillator that measures the speed and change of price movements to identify overbought or oversold conditions.Click for full definition →
40
OversoldNeutralOverbought
Neutral
Fibonacci LevelsFibonacci RetracementTechnical levels based on mathematical ratios that indicate potential support and resistance areas.Click for full definition →
38.2% retracement-55.1%
50.0% retracement-48.5%
61.8% retracement-39.5%
% distance of current price from each 52-week Fibonacci support level.

Frequently Asked Questions & Methodology

Is Atlantic International Corp. Common Stock a high-risk investment?

Atlantic International Corp. Common Stock (ATLN.US) has an annualized volatility of 368.1% and experienced a maximum drawdown of 99.4% over the last 10 years. Its primary macro risk driver is SHV.US.

What is the 10-year return of ATLN.US?

Over the past 10 years, ATLN.US has generated a Compound Annual Growth Rate (CAGR) of -63.9%. It has had a positive return in 40% of the years measured.

Data Methodology & Trust

The risk and return information on this page is pre-calculated mathematically using daily market data spanning a 10-year period. Fundamentals (such as P/E Ratio, Market Cap, and Dividend Yield) represent trailing averages and may not immediately reflect real-time live market fluctuations. Advanced scoring models like the Piotroski F-Score and Altman Z-Score are proxies applied to publicly available trailing-twelve-month financial statements and may not account for recent off-balance-sheet events, qualitative company shifts, or sector-specific capital structures. Macroeconomic factor exposures are estimated via multivariate regression against standard market indices. This data is provided for quantitative insight and backtesting research, and should not be misconstrued as tailored financial advice.

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