Follow-The-Filings

Featured 13F manager

Ariel Investments, LLC John Rogers

Chicago, IL 20 processed 13Fs on this site · 2021 Q3–2026 Q2

  • $10B
  • 106 Positions
  • 2026 Q2
  • +12.3% QoQ
  • Top 5 18.6%

AUM over time

2026 Q2 $10B +12.3% QoQ
2021 Q3 · $10.9B 2021 Q3 · $10.9B
Q3 2021
2021 Q4 · $11.9B · +8.5% QoQ 2021 Q4 · $11.9B · +8.5% QoQ
Q4
2022 Q1 · $11.3B · −5.0% QoQ 2022 Q1 · $11.3B · −5.0% QoQ
Q1 2022
2022 Q2 · $10B · −11.1% QoQ 2022 Q2 · $10B · −11.1% QoQ
Q2
2022 Q3 · $9.1B · −9.1% QoQ 2022 Q3 · $9.1B · −9.1% QoQ
Q3
2022 Q4 · $9.8B · +8.1% QoQ 2022 Q4 · $9.8B · +8.1% QoQ
Q4
2023 Q1 · $10.4B · +5.7% QoQ 2023 Q1 · $10.4B · +5.7% QoQ
Q1 2023
2023 Q2 · $10.6B · +1.5% QoQ 2023 Q2 · $10.6B · +1.5% QoQ
Q2
2023 Q3 · $9.4B · −10.5% QoQ 2023 Q3 · $9.4B · −10.5% QoQ
Q3
2023 Q4 · $10B · +6.3% QoQ 2023 Q4 · $10B · +6.3% QoQ
Q4
2024 Q1 · $10.2B · +1.2% QoQ 2024 Q1 · $10.2B · +1.2% QoQ
Q1 2024
2024 Q2 · $9.2B · −9.1% QoQ 2024 Q2 · $9.2B · −9.1% QoQ
Q2
2024 Q3 · $9.8B · +6.0% QoQ 2024 Q3 · $9.8B · +6.0% QoQ
Q3
2024 Q4 · $9.4B · −4.3% QoQ 2024 Q4 · $9.4B · −4.3% QoQ
Q4
2025 Q1 · $8.5B · −9.2% QoQ 2025 Q1 · $8.5B · −9.2% QoQ
Q1 2025
2025 Q2 · $8.8B · +3.7% QoQ 2025 Q2 · $8.8B · +3.7% QoQ
Q2
2025 Q3 · $9.4B · +6.0% QoQ 2025 Q3 · $9.4B · +6.0% QoQ
Q3
2025 Q4 · $9.3B · −1.0% QoQ 2025 Q4 · $9.3B · −1.0% QoQ
Q4
2026 Q1 · $8.9B · −3.5% QoQ 2026 Q1 · $8.9B · −3.5% QoQ
Q1 2026
2026 Q2 · $10B · +12.3% QoQ 2026 Q2 · $10B · +12.3% QoQ
Q2

Latest book

2026 Q2 2026 Q1 · filed 14 Aug · long equity

MSGE - MSG Entertainment · CL A 4.28% Reduce −13.1% 5,302,754 $80.89 $429M −802,829 +$69M
OSW - Onespaworld 4.19% Reduce −3.5% 14,888,182 $28.24 $420M −544,232 +$66M
CRL - Charles Riv Labs Intl 3.41% Add +4.3% 1,506,185 $226.79 $342M +62,002 +$92M
AMG - Affiliated Managers Group 3.37% Reduce −6.0% 999,676 $338.40 $338M −64,354 +$44M
JLL - Jones Lang Lasalle 3.28% Add +3.5% 1,060,265 $309.95 $329M +35,988 +$17M
NCLH - Norwegian Cruise Line 3.25% Add +5.2% 15,430,947 $21.11 $326M +769,368 +$52M
GNRC - Generac 2.91% Reduce −22.9% 997,951 $292.81 $292M −296,836 +$39M
SPHR - Sphere Entertainment · CL A 2.87% Reduce −32.4% 1,665,326 $173.03 $288M −796,983 −$924K
MIDD - Middleby 2.82% Add +4.4% 1,644,006 $172.01 $283M +69,476 +$74M
MSGS - MSG Sports · CL A 2.64% Reduce −8.2% 658,551 $401.84 $265M −58,790 +$34M
NVST - Envista 2.58% Reduce −9.6% 9,818,177 $26.35 $259M −1,045,415 −$17M
ZBRA - Zebra Technologies · CL A 2.42% Add +18.7% 922,998 $263.26 $243M +145,635 +$80M
LAZ - Lazard 2.41% Reduce −1.2% 5,755,404 $41.94 $241M −70,885 −$6M
BIO - Bio Rad Labs · CL A 2.39% Add +3.9% 816,751 $293.61 $240M +30,790 +$21M
PBH — 2.29% Add +13.9% 4,868,711 $47.27 $230M +594,385 −$23M
BOKF - Bok Finl 2.25% Reduce −1.4% 1,627,416 $138.88 $226M −22,467 +$15M
FAF - First Amern Finl 2.21% Reduce −15.9% 3,229,706 $68.59 $222M −609,296 −$10M
CVSA - Covista 2.20% Reduce −8.3% 1,771,844 $124.66 $221M −159,440 −$2M
MAT - Mattel 2.13% Add +13.6% 15,415,955 $13.88 $214M +1,848,872 +$17M
MHK - Mohawk Inds 2.13% Add +0.7% 1,756,773 $121.33 $213M +12,095 +$41M
MANU - Manchester Utd · CL A 2.12% Add +2.3% 9,258,276 $22.93 $212M +207,889 +$60M
GNTX - Gentex 2.09% Reduce −0.4% 8,309,786 $25.27 $210M −32,616 +$28M
SJM - Smucker J M 2.02% Reduce −3.3% 1,798,871 $112.50 $202M −61,588 +$23M
BYD - Boyd Gaming 1.92% Reduce −4.0% 2,182,342 $88.33 $193M −92,076 +$6M
CG - Carlyle Group 1.91% Add +14.2% 4,548,683 $42.11 $192M +566,926 −$1M
REZI - Resideo Technologies 1.90% Add +1.0% 6,141,052 $31.10 $191M +62,201 −$14M
NTRS - Northern Tr 1.69% Reduce −14.8% 972,340 $173.84 $169M −168,778 +$10M
CLB - Core Laboratories 1.63% Add +6.9% 14,074,945 $11.65 $164M +904,557 −$57M
HAE - Haemonetics Mass 1.54% New 2,060,966 $75.00 $155M +2,060,966 +$155M
RLI - RLI Corp 1.48% Add +188.9% 2,519,527 $59.07 $149M +1,647,494 +$99M
MAS - Masco 1.33% Add +212.4% 1,635,096 $81.37 $133M +1,111,667 +$101M
AXTA - Axalta Coating Sys 1.18% Reduce −0.1% 3,462,010 $34.22 $118M −4,950 +$22M
ADT - ADT Del 1.16% Reduce −8.3% 17,858,375 $6.50 $116M −1,616,677 −$12M
LH - Labcorp 0.97% Reduce −1.4% 349,112 $280.00 $98M −4,907 +$3M
SMG - Scotts Miracle-Gro · CL A 0.96% Add +46.6% 1,410,981 $68.11 $96M +448,339 +$38M
KN - Knowles 0.94% Reduce −40.2% 2,284,673 $41.48 $95M −1,534,189 −$3M
BCO - Brinks 0.86% Reduce −1.3% 911,321 $94.49 $86M −11,637 −$10M
OMC - Omnicom Group 0.85% Add +6.3% 1,174,452 $72.83 $86M +69,507 +$2M
XRAY - Dentsply Sirona 0.85% Add +25.7% 8,026,107 $10.61 $85M +1,639,292 +$11M
LIND — 0.78% Reduce −19.7% 2,762,484 $28.24 $78M −676,579 +$19M
INTC - Intel 0.76% Reduce −62.3% 548,831 $139.63 $77M −906,460 +$12M
CVS - Cvs Health 0.75% Add +4.0% 730,110 $103.45 $76M +27,959 +$25M
LFUS - Littelfuse 0.74% Reduce −24.2% 163,376 $455.33 $74M −52,051 +$1M
DIS - Disney Walt 0.61% Reduce −2.9% 635,446 $96.25 $61M −18,923 −$2M
FSLR - First Solar 0.57% Reduce −10.7% 242,450 $235.96 $57M −29,030 +$4M
GCMG - Gcm Grosvenor · CL A 0.54% Add +0.4% 4,415,839 $12.30 $54M +19,436 +$11M
SLB - Schlumberger 0.54% Reduce −6.0% 1,163,320 $46.49 $54M −74,079 −$10M
FDS - Factset Resh Sys 0.54% Add +4.0% 234,096 $230.08 $54M +9,049 +$5M
KEYS - Keysight Technologies 0.51% Reduce −28.7% 145,711 $350.07 $51M −58,613 −$7M
NVT - Nvent Elec 0.51% Reduce −49.9% 299,032 $169.61 $51M −297,367 −$20M

Showing top 50 of 105 by value

Exits / last held

not current holdings · last reported size, unchanged · gone vs 2026 Q1

Stock % of portfolio Recent activity Shares Reported price* Value Share change $ change
SWK - Stanley Black & Decker 0.32% Exit 0 $71.06 $28M −396,952 −$28M
TAP - Molson Coors Beverage · CL B 0.26% Exit 0 $43.06 $24M −548,715 −$24M
MSFT - Microsoft 0.26% Exit 0 $370.18 $23M −62,192 −$23M
PARA - Paramount Skydance · CL B 0.26% Exit 0 $9.02 $23M −2,546,320 −$23M
HCKT - Hackett Group 0.06% Exit 0 $13.01 $6M −425,568 −$6M
BAP - Credicorp 0.03% Exit 0 $339.22 $3M −7,585 −$3M
Intercorp Finl Svcs 0.03% Exit 0 $50.21 $2M −46,465 −$2M
VXUS - Vanguard Star Fds Exit 0 $77.05 $361K −4,685 −$361K

* Reported price is value ÷ shares from the 13F as of period end — not a live market quote. Weight % is each long-equity position ÷ full 13F AUM, so rows may not sum to 100% when the filing includes options or other non-equity (excluded from this table). Share change and $ change are vs 2026 Q1. Click column headers to sort · click New / Hold / Add / Reduce to promote that move type to the top. Exit opens the last-held block below.

Filings history

20 periods · normalized AUM · open a period for holdings

Period Holdings AUM QoQ Form Filed Filing ID
2026 Q2 106 $10B +12.3% 13F-HR 8/14/2026 000093675326000050
2026 Q1 106 $8.9B −3.5% 13F-HR 5/14/2026 000093675326000025
2025 Q4 108 $9.3B −1.0% 13F-HR 2/13/2026 000093675326000017
2025 Q3 107 $9.4B +6.0% 13F-HR 11/14/2025 000093675325000089
2025 Q2 104 $8.8B +3.7% 13F-HR 8/14/2025 000093675325000065
2025 Q1 106 $8.5B −9.2% 13F-HR 5/15/2025 000093675325000029
2024 Q4 110 $9.4B −4.3% 13F-HR 2/14/2025 000093675325000018
2024 Q3 110 $9.8B +6.0% 13F-HR 11/13/2024 000093675324000085
2024 Q2 115 $9.2B −9.1% 13F-HR 8/14/2024 000093675324000049
2024 Q1 115 $10.2B +1.2% 13F-HR 5/14/2024 000093675324000041
2023 Q4 114 $10B +6.3% 13F-HR 2/14/2024 000093675324000020
2023 Q3 115 $9.4B −10.5% 13F-HR 11/14/2023 000093675323000061
2023 Q2 116 $10.6B +1.5% 13F-HR 8/14/2023 000093675323000056
2023 Q1 114 $10.4B +5.7% 13F-HR 5/12/2023 000093675323000040
2022 Q4 116 $9.8B +8.1% 13F-HR 2/14/2023 000093675323000023
2022 Q3 114 $9.1B −9.1% 13F-HR 11/14/2022 000093675322000041
2022 Q2 112 $10B −11.1% 13F-HR 8/12/2022 000093675322000036
2022 Q1 106 $11.3B −5.0% 13F-HR 5/13/2022 000093675322000031
2021 Q4 104 $11.9B +8.5% 13F-HR 2/14/2022 000093675322000018
2021 Q3 109 $10.9B 13F-HR 11/12/2021 000093675321000089

About

ARIEL INVESTMENTS, LLC

20 processed 13Fs on this site · 2021 Q3–2026 Q2

Notable person
John Rogers
SEC filing name
ARIEL INVESTMENTS, LLC
Location
Chicago, IL
All SEC filings
View on sec.gov