Charles Bobrinskoy Holdings Activity

Ariel Focus Fund Portfolio 13F

Ariel Focus Fund has disclosed a total of 9 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 6, decreased the number of shares of 2 and completely sold out 1 position(s).

What stocks is Charles Bobrinskoy buying now?

In the recent quarter Charles Bobrinskoy has bought 6 securities out of which top 5 purchases (by % change to portfolio) are (CVX) CHEVRON CORP (added shares +232.4%), (BYD) BOYD GAMING CORP (added shares +30.09%), (BAC) BANK OF AMERICA CORP (added shares +12.19%), (ORCL) ORACLE CORP (added shares +5.29%) and (MHK) MOHAWK INDUSTRIES INC (added shares +5.21%).

What does Charles Bobrinskoy invest in?

Charles Bobrinskoy's top 5 holdings (by % of portfolio) are (APA) APA CORP (9.92%), (MHK) MOHAWK INDUSTRIES INC (9.26%), (ORCL) ORACLE CORP (9.21%), (LMT) LOCKHEED MARTIN CORP (8.99%) and (BAC) BANK OF AMERICA CORP (8.82%).

In the latest report(s) the following changes have been made to the top investments: (MHK) MOHAWK INDUSTRIES INC (added shares +5.21%), (ORCL) ORACLE CORP (added shares +5.29%) and (BAC) BANK OF AMERICA CORP (added shares +12.19%).

2020 Q2 (26 results)
LMT
-28.17%
-1,875
-1.49%
$364.92
26.58% $461.91
3.80%
ZBRA
-37.77%
-3,550
-1.98%
$255.95
20.96% $309.59
3.26%
LH
-9.43%
-1,000
-0.36%
$166.11
21.20% $201.32
3.47%
JNJ
-14.03%
-1,950
-0.60%
$140.63
6.14% $149.27
3.66%
SNA
-6.22%
-744
-0.36%
$138.51
95.68% $271.03
5.46%
ZBH
-7.80%
-1,064
-0.42%
$119.36
1.93% $121.66
4.91%
SJM
-7.38%
-900
-0.21%
$105.81
6.90% $113.11
2.60%
PGR
-12.27%
-1,714
-0.47%
$80.11
160.54% $208.72
3.37%
MSGE
buy
+20,200
+3.30%
$75.00
46.27% $40.30
3.30%
ORCL
-11.83%
-6,000
-0.72%
$55.27
109.52% $115.80
5.38%
FAF
-17.91%
-5,300
-0.55%
$48.02
13.24% $54.38
2.54%
BX
-100.00%
-9,200
-0.91%
$45.57
158.92% $117.99
0.00%
XOM
-6.94%
-1,500
-0.15%
$44.72
159.39% $116.00
0.00%
BK
-3.77%
-632
-0.09%
$38.65
47.48% $57.00
2.37%
BWA
-6.43%
-2,719
-0.31%
$35.30
3.23% $36.44
4.48%
ATGE
-1.46%
-500
-0.03%
$31.15
92.87% $60.08
0.00%
KKR
-31.83%
-30,300
-2.04%
$30.88
207.67% $95.01
4.37%
LAZ
-7.44%
-5,700
-0.36%
$28.63
36.40% $39.05
4.42%
VIAC
-6.76%
-3,808
-0.35%
$23.32
26.84% $29.58
4.76%
WU
-11.70%
-7,906
-0.63%
$21.62
38.16% $13.37
4.76%
HNGR
-7.04%
-6,400
-0.23%
$16.56
13.04% $18.72
3.05%
NLSN
+14.10%
+14,400
+0.47%
$14.86
88.29% $27.98
3.77%
9990302D
+25.82%
+12,510
+0.53%
$13.50
-
2.58%
MOS
-7.93%
-9,300
-0.25%
$12.51
129.26% $28.68
2.94%
NOV
-7.85%
-2,210
-0.09%
$12.25
51.35% $18.54
1.06%
NTPXX
-38.98%
-399,177
-0.87%
$1.00
-
1.36%
2020 Q1 (18 results)
LMT
-4.31%
-231
-0.25%
$338.95
36.28% $461.91
5.51%
GS
+5.50%
+600
+0.23%
$154.59
183.45% $438.18
4.34%
SJM
-16.44%
-2,400
-0.65%
$111.00
1.90% $113.11
3.31%
NTRS
buy
+3,000
+0.55%
$75.46
12.14% $84.62
0.55%
PGR
+6.28%
+1,300
+0.23%
$73.84
182.67% $208.72
3.97%
ORCL
-10.58%
-5,070
-0.71%
$48.33
139.60% $115.80
5.98%
BX
-73.41%
-25,400
-2.83%
$45.57
158.92% $117.99
0.00%
FAF
-6.62%
-2,100
-0.22%
$42.41
28.22% $54.38
3.06%
XOM
+11.92%
+2,300
+0.21%
$37.97
205.50% $116.00
2.00%
ATGE
buy
+34,300
+2.24%
$26.79
124.26% $60.08
2.24%
KKR
-16.93%
-19,400
-1.11%
$23.47
304.81% $95.01
5.45%
WU
-9.56%
-8,954
-0.54%
$18.13
26.25% $13.37
5.07%
HNGR
+2.60%
+1,909
+0.09%
$15.58
20.15% $18.72
3.46%
VIAC
+28.16%
+22,100
+0.76%
$14.01
111.13% $29.58
3.44%
NLSN
+4.83%
+4,700
+0.14%
$12.54
123.13% $27.98
3.13%
MOS
+19.57%
+13,920
+0.51%
$10.82
165.06% $28.68
3.10%
9990302D
+45.82%
+17,520
+0.22%
$4.18
-
0.71%
NTPXX
-29.03%
-297,474
-1.02%
$1.00
-
2.50%
44 of 307

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.