John W. Rogers Jr. Holdings Activity

Ariel Appreciation Fund Portfolio 13F

Ariel Appreciation Fund has disclosed a total of 29 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 9 and decreased the number of shares of 20 position(s).

What stocks is John W. Rogers Jr. buying now?

In the recent quarter John W. Rogers Jr. has bought 9 securities out of which top 5 purchases (by % change to portfolio) are (NVST) ENVISTA HOLDINGS CORP (added shares +34.23%), (KEYS) KEYSIGHT TECHNOLOGIES IN (added shares +28.57%), (CG) CARLYLE GROUP INC/THE (added shares +14.66%), (IPG) INTERPUBLIC GROUP OF COS INC (added shares +11.6%) and (KN) KNOWLES CORP (added shares +14%).

What does John W. Rogers Jr. invest in?

John W. Rogers Jr.'s top 5 holdings (by % of portfolio) are (NTRS) NORTHERN TRUST CORP (4.18%), (GS) GOLDMAN SACHS GROUP INC (3.94%), (SCHW) SCHWAB (CHARLES) CORP (3.64%), (CRL) CHARLES RIVER LABORATORIES (3.38%) and (LH) LABORATORY CRP OF AMER HLDGS (3.25%).

In the latest report(s) the following changes have been made to the top investments: (NTRS) NORTHERN TRUST CORP (reduced shares -0.34%), (GS) GOLDMAN SACHS GROUP INC (reduced shares -10.03%), (SCHW) SCHWAB (CHARLES) CORP (reduced shares -2.88%), (CRL) CHARLES RIVER LABORATORIES (reduced shares -9.19%) and (LH) LABORATORY CRP OF AMER HLDGS (reduced shares -10.75%).

2020 Q3 (31 results)
VIAC
-44.87%
-543,100
-1.58%
$28.01
5.61% $29.58
1.94%
SWK
-29.37%
-92,300
-1.55%
$162.20
44.44% $90.12
3.73%
GS
+83.50%
+65,300
+1.36%
$200.97
132.73% $467.72
2.99%
NTPXX
-84.40%
-9,322,589
-0.97%
$1.00
-
0.18%
FLIR
buy
+207,300
+0.77%
$35.85
-
0.77%
SCHW
+28.45%
+161,500
+0.61%
$36.23
117.44% $78.78
2.74%
MAT
-12.85%
-491,900
-0.60%
$11.70
59.15% $18.62
4.05%
CBRE
+35.59%
+117,600
+0.57%
$46.97
94.32% $91.27
2.18%
PGR
-11.50%
-53,400
-0.52%
$94.67
121.00% $209.22
4.03%
KMT
-13.31%
-174,500
-0.52%
$28.94
10.16% $26.00
3.41%
KMX
-20.79%
-50,200
-0.48%
$91.91
20.77% $72.82
1.82%
KKR
-18.22%
-134,900
-0.48%
$34.34
204.72% $104.64
2.16%
BWA
-10.37%
-112,700
-0.45%
$38.74
4.26% $37.09
3.91%
AFL
+14.51%
+115,800
+0.44%
$36.35
143.11% $88.37
3.44%
LAZ
-10.70%
-124,000
-0.42%
$33.05
23.48% $40.81
3.55%
LH
-10.16%
-20,100
-0.39%
$188.27
11.86% $210.59
3.47%
WLTW
-19.24%
-18,100
-0.39%
$208.82
10.89% $231.56
1.64%
MTN
+21.91%
+17,000
+0.38%
$213.97
4.49% $204.36
2.10%
MSGE
+40.84%
+50,800
+0.36%
$68.49
45.86% $37.08
1.24%
NVST
+11.86%
+131,100
+0.34%
$24.68
24.92% $18.53
3.16%
SRCL
-9.21%
-52,100
-0.34%
$63.06
26.21% $46.53
3.36%
WBA
+17.47%
+69,000
+0.26%
$35.92
49.39% $18.18
1.73%
SJM
-6.69%
-19,900
-0.24%
$115.52
0.27% $115.21
3.32%
SNA
-8.90%
-14,800
-0.23%
$147.13
89.61% $278.98
2.31%
NOV
-19.54%
-203,900
-0.19%
$9.06
110.38% $19.06
0.79%
KEYS
-8.10%
-18,800
-0.19%
$98.78
59.24% $157.30
2.19%
OMC
-10.38%
-29,600
-0.15%
$49.50
94.20% $96.13
1.31%
NLSN
-5.48%
-69,400
-0.10%
$14.18
97.32% $27.98
1.76%
KN
-4.31%
-54,800
-0.08%
$14.90
16.91% $17.42
1.88%
FAF
+1.51%
+9,000
+0.05%
$50.91
13.00% $57.53
3.20%
MSGN
-1.00%
-17,500
-0.02%
$9.57
48.07% $14.17
1.71%
31 of 523

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.