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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
MICROSOFT CORP MSFTCommon2,729,418-123,296277,227,000-49,038,00012/31/2018
Baidu, Inc. BIDUSPON ADR REP A1,402,302119,660222,405,000-70,910,00012/31/2018
Philip Morris International Inc. PMCommon3,209,444833,504214,262,00020,528,00012/31/2018
First American Financial Corp FAFCOMMON STOCK4,421,642-25,287197,382,000-32,035,00012/31/2018
KENNAMETAL INC KMTCommon5,451,895-47,973181,439,066-58,134,93412/31/2018
Lazard Ltd LAZCl A4,816,609277,126177,781,000-40,704,00012/31/2018
MSG NETWORKS INC. MSGNCL A7,002,559-983,720164,980,000-41,066,00012/31/2018
GILEAD SCIENCES INC GILDCommon2,404,0490150,373,000-35,244,00012/31/2018
J M SMUCKER Co SJMCommon1,588,636-173,816148,522,000-32,323,00012/31/2018
NORTHERN TRUST CORP NTRSCommon1,742,486-6,703145,654,000-32,991,00012/31/2018
Keysight Technologies, Inc. KEYSCOM2,294,993-523,905142,473,000-44,364,00012/31/2018
ZEBRA TECHNOLOGIES CORP ZBRACommon844,246-194,491134,429,000-49,251,00012/31/2018
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon6,431,772-945,422132,687,000-36,029,00012/31/2018
SNAP-ON Inc SNACommon873,989-45,691126,982,000-41,871,00012/31/2018
Nielsen Holdings plc NLSNCOM5,298,985-141,764123,625,000-26,866,00012/31/2018
MATTEL INC /DE/ MATCommon12,296,345935,585122,840,000-55,524,00012/31/2018
NOKIA CORP NOKSPONSORED ADR21,063,714-3,069,448122,591,000-12,072,00012/31/2018
LABORATORY CORP OF AMERICA HOLDINGS LHCommon964,759-47,388121,907,000-53,883,00012/31/2018
JOHNSON & JOHNSON JNJCommon909,332-115,441117,349,000-24,244,00012/31/2018
BERKSHIRE HATHAWAY INC BRK/BCommon558,458-1,759114,026,000-5,922,00012/31/2018
STERICYCLE INC SRCLCommon3,086,5311,171,781113,245,000887,00012/31/2018
CHARLES RIVER LABORATORIES INTERNATIONAL INC CRLCommon988,171-265,795111,841,000-56,868,00012/31/2018
KKR & Co. L.P. KKRcommon5,649,833-249,286110,906,000-49,963,00012/31/2018
U.S. SILICA HOLDINGS, INC. SLCACOM9,989,3091,557,106101,691,000-57,087,00012/31/2018
SIMPSON MANUFACTURING CO INC /CA/ SSDCommon1,833,66659,10899,256,000-29,328,00012/31/2018
Viacom Inc. VIA.BCommon3,698,840-380,83595,060,000-42,670,00012/31/2018
JONES LANG LASALLE INC JLLCommon738,27722,37793,466,000-9,853,00012/31/2018
STANLEY BLACK & DECKER, INC. SWKcommon726,11768,49186,945,000-9,358,00012/31/2018
TEGNA INC TGNACommon7,809,567-2,076,86784,890,000-33,352,00012/31/2018
ZIMMER BIOMET HOLDINGS, INC. ZBHCommon801,150-103,03683,095,000-35,778,00012/31/2018
VERIZON COMMUNICATIONS INC VZCommon1,462,772108,59982,237,0009,938,00012/31/2018
Oaktree Capital Group, LLC OAKCommon2,019,992-59,00980,295,000-5,776,00012/31/2018
LITTELFUSE INC /DE LFUSCommon444,719210,57376,260,00029,925,00012/31/2018
MEREDITH CORP MDPCommon1,447,06843,44375,161,0003,506,00012/31/2018
CBRE GROUP, INC. CBRECOM1,862,505-27,37274,575,000-8,769,00012/31/2018
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