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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
First American Financial Corp FAFCOMMON STOCK4,520,651-218,402265,272,000-305,00003/31/2018
Baidu, Inc. BIDUSPON ADR REP A1,127,180-58,743251,575,000-26,180,00003/31/2018
MICROSOFT CORP MSFTCommon2,748,518-55,202250,857,00011,027,00003/31/2018
Keysight Technologies, Inc. KEYSCOM4,604,580-8,677241,234,00049,323,00003/31/2018
Lazard Ltd LAZCl A4,509,758-286,096237,033,000-14,749,00003/31/2018
KENNAMETAL INC KMTCommon5,186,954-2,675208,308,000-42,922,00003/31/2018
J M SMUCKER Co SJMCommon1,658,63247,050205,687,0005,464,00003/31/2018
MSG NETWORKS INC. MSGNCL A9,069,33087,873204,967,00023,092,00003/31/2018
LABORATORY CORP OF AMERICA HOLDINGS LHCommon1,186,682-35,928191,946,000-3,073,00003/31/2018
NORTHERN TRUST CORP NTRSCommon1,810,324-48,407186,699,0001,030,00003/31/2018
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon7,677,764-297,857176,819,00016,030,00003/31/2018
JONES LANG LASALLE INC JLLCommon984,830-141,155171,991,0004,298,00003/31/2018
ZEBRA TECHNOLOGIES CORP ZBRACommon1,209,817-283,508168,394,00013,387,00003/31/2018
GILEAD SCIENCES INC GILDCommon2,169,319-67,018163,545,0003,334,00003/31/2018
KKR & Co. L.P. KKRCommon7,843,723-221,222159,228,000-10,620,00003/31/2018
U.S. SILICA HOLDINGS, INC. SLCACOM5,970,9071,070,913152,378,000-7,166,00003/31/2018
CHARLES RIVER LABORATORIES INTERNATIONAL INC CRLCommon1,361,2778,082145,303,000-2,804,00003/31/2018
NOKIA CORP NOKSPONSORED ADR24,054,959-150,787131,581,00018,782,00003/31/2018
Bristow Group Inc BRSCommon10,093,161-170,490131,211,000-7,040,00003/31/2018
MATTEL INC /DE/ MATCommon9,869,537718,423129,784,000-10,960,00003/31/2018
JOHNSON & JOHNSON JNJCommon987,940-24,883126,605,000-14,907,00003/31/2018
SNAP-ON Inc SNACommon845,64668,854124,767,000-10,628,00003/31/2018
Nielsen Holdings plc NLSNCOM3,924,501641,918124,760,0005,274,00003/31/2018
BERKSHIRE HATHAWAY INC BRK/BCommon544,219-18,192108,561,000-2,920,00003/31/2018
SIMPSON MANUFACTURING CO INC /CA/ SSDCommon1,881,040160,482108,329,0009,552,00003/31/2018
Viacom Inc. VIA.BCommon3,426,26829,062106,420,0001,752,00003/31/2018
Philip Morris International Inc. PMCommon1,058,194-4,472105,184,000-7,087,00003/31/2018
ZIMMER BIOMET HOLDINGS, INC. ZBHCommon955,511-49,959104,189,000-17,141,00003/31/2018
CBRE GROUP, INC. CBGCOM2,170,848-448,084102,507,000-10,919,00003/31/2018
TEGNA INC TGNACommon8,917,6511,416,878101,572,000-4,039,00003/31/2018
AFLAC INC AFLCommon2,265,896936,90899,156,000-17,503,00003/31/2018
ANIXTER INTERNATIONAL INC AXECommon1,278,67886,60296,860,0006,262,00003/31/2018
Madison Square Garden Co MSGCL A374,53360,98892,060,00025,949,00003/31/2018
DUN & BRADSTREET CORP/NW DNBCommon772,790-6,49690,416,000-1,859,00003/31/2018
MTS SYSTEMS CORP MTSCCommon1,739,50459,50289,845,000-371,00003/31/2018
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