Acacia Research (ACTG) Stock Analysis
NASDAQIndustrialsSpecialty Business Services
What Acacia Research does
Acacia Research Corporation, together with its associated entities, primarily concentrates on acquiring intellectual property and related high-yield assets. A core aspect of its business strategy involves the commercialization and defense of patented technologies through licensing. The enterprise operates through a dual-segment structure: Intellectual Property Operations and Industrial Operations. Through its Intellectual Property arm, Acacia manages extensive patent portfolios. These encompass both U.S. and international patents, protecting innovations applied across a broad spectrum of industries. Demonstrating substantial experience, it has successfully executed approximately 1,600 licensing agreements and overseen around 200 patent portfolio licensing and enforcement programs. The Industrial Operations segment is dedicated to the design, manufacture, and distribution of printers, parts, and consumable products. These offerings reach various industrial printing markets through a network of dealers and distributors. Additionally, it delivers specialized supply-chain printing solutions catering to sectors such as manufacturing, transportation and logistics, retail, food and beverage, and pharmaceuticals. The company also provides robust line matrix printers, vital for mission-critical applications including labeling, inventory management, build sheets, invoicing, and bills of lading. Founded in 1993, Acacia Research Corporation maintains its corporate headquarters in New York, New York.
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Frequently asked questions
- What is the ticker symbol for Acacia Research?
- Acacia Research trades under the ticker ACTG on NASDAQ.
- Which exchange is ACTG listed on?
- ACTG is listed on NASDAQ.
- What sector does Acacia Research operate in?
- Acacia Research is classified in the Industrials sector (Specialty Business Services industry).
- How can PortView help analyze ACTG in a portfolio?
- PortView shows ACTG's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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