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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
HEWITT ASSOCIATES INC HEWCommon5,500,048350,489189,531,654-15,317,80306/30/2010
JONES LANG LASALLE INC JLLCommon2,732,860-259,450179,384,930-38,724,54606/30/2010
GANNETT CO INC /DE/ GCICommon12,532,778-621,390168,691,191-48,615,66506/30/2010
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon21,979,897-2,088,780156,716,666-43,534,72706/30/2010
JANUS CAPITAL GROUP INC JNSCommon17,149,6654,917,118152,289,025-22,514,07206/30/2010
CBS CORP CBSCommon11,315,382516,990146,307,890-4,221,69506/30/2010
MOHAWK INDUSTRIES INC MHKCommon2,836,01581,230129,776,046-20,029,16306/30/2010
BIO RAD LABORATORIES INC BIOCommon1,487,80389,330128,680,081-16,089,84406/30/2010
Lazard Ltd LAZCl A4,686,1151,681,605125,166,13217,905,12406/30/2010
CB RICHARD ELLIS GROUP INC CBGCommon8,797,409-2,403,755119,732,737-57,805,71206/30/2010
SMUCKER J M CO SJMCommon1,928,54442,815116,136,9202,502,89006/30/2010
STANLEY WORKS SWKcommon2,289,108203,717115,645,736-4,076,58306/30/2010
DUN & BRADSTREET CORP/NW DNBCommon1,651,962300,742110,879,69010,321,89706/30/2010
INTERNATIONAL GAME TECHNOLOGY IGTCommon6,301,345-105,12098,931,117-19,268,16206/30/2010
MCCORMICK & CO INC MKCCommon2,524,820110,48095,842,1673,228,08506/30/2010
HOSPIRA INC HSPCommon1,579,610-130,45090,748,595-6,126,30506/30/2010
CITY NATIONAL CORP CYNCommon1,750,505-626,51989,678,371-38,609,61406/30/2010
TIFFANY & CO TIFCommon2,267,170-226,53585,948,415-32,477,63606/30/2010
NORDSTROM INC JWNCommon2,500,520-93,83080,491,739-25,487,45906/30/2010
MILLER HERMAN INC MLHRCommon4,263,970991,10580,461,11421,353,17206/30/2010
INTERFACE INC IFSIACommon7,464,552196,30580,169,289-3,997,01106/30/2010
IDEX CORP /DE/ IEXCommon2,749,368445,91478,549,4432,305,11606/30/2010
ANIXTER INTERNATIONAL INC AXECommon1,668,208-569,99771,065,661-33,794,24406/30/2010
NEWELL RUBBERMAID INC NWLCommon4,833,870-280,29570,767,857-6,967,45106/30/2010
HCC INSURANCE HOLDINGS INC/DE/ HCCCommon2,842,882-21,14570,389,758-8,657,38706/30/2010
BRADY CORP BRCCommon2,819,123248,40070,252,545-9,748,35506/30/2010
Accenture plc ACNCOM1,768,855-81,42068,366,246-9,252,79006/30/2010
Viacom Inc. VIA.BCommon1,989,985-117,03062,425,829-10,013,34706/30/2010
ENERGIZER HOLDINGS INC ENRCommon1,234,657-105,60062,078,554-22,035,97506/30/2010
MEREDITH CORP MDPCommon1,968,005-11,80061,263,996-6,861,09306/30/2010
NORTHERN TRUST CORP NTRSCommon1,275,757-48,78159,577,852-13,616,11806/30/2010
DEVRY INC DVCommon1,093,205739,62057,382,33034,328,58806/30/2010
PRIVATEBANCORP, INC PVTBCommon5,150,730-366,95057,070,089-18,522,12806/30/2010
AFLAC INC AFLCommon1,314,801-41,25056,102,559-17,517,45006/30/2010
ROYAL CARIBBEAN CRUISES LTD RCLCommon2,365,340-24,14053,858,792-24,970,15306/30/2010
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