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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Baidu, Inc. BIDUSPON ADR REP A2,930,58681,700633,710,000273,069,00012/31/2020
Philip Morris International Inc. PMCommon4,408,951-158,674365,017,00022,491,00012/31/2020
MICROSOFT CORP MSFTCommon1,423,200-152,109316,548,000-14,787,00012/31/2020
MATTEL INC /DE/ MATCommon15,926,754-1,287,872277,922,00076,511,00012/31/2020
Envista Holdings Corp NVSTCommon7,078,143187,654238,746,00068,689,00012/31/2020
Lazard Ltd LAZA5,541,37139,227234,400,00052,554,00012/31/2020
Lazard Ltd LAZCl A5,541,3715,541,371234,399,993234,399,99312/31/2020
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon9,742,138159,628229,135,00069,395,00012/31/2020
Nielsen Holdings plc NLSNCOM10,927,7433,348,224228,062,000120,584,00012/31/2020
First American Financial Corp FAFCOMMON STOCK4,368,561839,301225,549,00045,874,00012/31/2020
KENNAMETAL INC KMTCommon6,113,401174,721221,549,65249,684,65212/31/2020
Madison Square Garden Entertainment Corp.  Common2,107,380509,754221,359,000111,938,00012/31/2020
STERICYCLE INC SRCLCommon3,100,084142,812214,929,00028,443,00012/31/2020
Snap-on Inc SNACommon1,078,20272,784184,523,00036,596,00012/31/2020
GILEAD SCIENCES INC GILDCommon2,978,954375,241173,554,0009,025,00012/31/2020
MOHAWK INDUSTRIES INC MHKCommon1,220,51692,458172,032,00061,945,00012/31/2020
BOK FINANCIAL CORP BOKFCommon2,462,077271,089168,603,00055,745,00012/31/2020
NORTHERN TRUST CORP NTRSCommon1,719,296-52,006160,135,00022,027,00012/31/2020
BERKSHIRE HATHAWAY INC BRK/BCommon653,169-57,537151,450,000112,00012/31/2020
JONES LANG LASALLE INC JLLCommon1,017,386111,965150,950,00064,337,00012/31/2020
MSG NETWORKS INC. MSGNCL A10,133,713162,049149,371,00053,942,00012/31/2020
JOHNSON & JOHNSON JNJCommon907,44337,009142,813,00013,223,00012/31/2020
LABORATORY CORP OF AMERICA HOLDINGS LHCommon691,256-4,636140,705,0009,689,00012/31/2020
KKR & Co. Inc. KKRcommon3,411,548-152,767138,134,00015,735,00012/31/2020
ViacomCBS Inc. CBSCommon3,690,127-382,927137,494,00023,408,00012/31/2020
CORE LABORATORIES N V CLBCommon4,521,0011,340,488119,851,73771,316,73712/31/2020
BRINKS CO BCOCommon1,663,475356,956119,770,00066,085,00012/31/2020
J M SMUCKER Co SJMCommon963,094-47,415111,334,000-5,400,00012/31/2020
Keysight Technologies, Inc. KEYSCOM827,634-29,547109,322,00024,650,00012/31/2020
TEGNA INC TGNACommon7,555,142547,253105,394,00023,051,00012/31/2020
CHARLES RIVER LABORATORIES INTERNATIONAL, INC. CRLCommon412,866-77,476103,159,000-7,879,00012/31/2020
CBRE GROUP, INC. CBRECOM1,640,207-185,195102,874,00017,135,00012/31/2020
VAIL RESORTS INC MTNCommon351,518-31,73498,059,00016,055,00012/31/2020
LITTELFUSE INC /DE LFUSCommon363,328-17,15692,525,00025,050,00012/31/2020
FLIR SYSTEMS INC FLIRCommon2,100,2951,468,29392,056,00069,399,00012/31/2020
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