John Rogers
Ariel Investments
- Portfolio value
- $10,029,168,542
- Stocks
- 106
- Period
- Q2 2026
- Filed
- 14 Aug 2026
Small and mid-cap value with a patient, long-term orientation.
✦
Cut Kennametal Inc 99.1%, added 5732% to Progressive Corp and opened 8 new positions, the largest HAE at 1.5%. Unknown is still the biggest weight in the book at 24.9%. The top five names are 19% of it.
Sector exposure
Unknown
24.9%
Financial Services
18.8%
Healthcare
12.1%
Consumer Cyclical
11.8%
Communication Services
10.2%
Industrials
6.2%
Technology
6.0%
Real Estate
3.7%
Consumer Defensive
2.2%
Energy
1.8%
Basic Materials
1.3%
Concentration
4.3%Largest, MSGE
19%Top 5
33%Top 10
0Positions over 5%
73Under 1%, 22% of the book
Portfolio return
Time-weighted · held at window start
By position
By sector
| Stock | % Portfolio | Recent Activity | Shares | Reported Price | Value | |
|---|---|---|---|---|---|---|
| MSGE — Madison Square Garden Entert | 4.28% | Reduce 13.15% | 5,302,754 | $80.89 | $428,939,771 | ↗ ◎ |
| OSW — Onespaworld Holdings Ltd | 4.19% | Reduce 3.53% | 14,888,182 | $28.24 | $420,442,260 | ↗ ◎ |
| CRL — Charles River Laboratories | 3.41% | Add 4.29% | 1,506,185 | $226.79 | $341,587,697 | ↗ ◎ |
| AMG — Affiliated Managers Group | 3.37% | Reduce 6.05% | 999,676 | $338.40 | $338,290,358 | ↗ ◎ |
| JLL — Jones Lang Lasalle Inc | 3.28% | Add 3.51% | 1,060,265 | $309.95 | $328,629,137 | ↗ ◎ |
| NORWEGIAN CRUISE LINE HLDGS | 3.25% | 15,430,947 | $21.11 | $325,747,291 | ||
| GNRC — Generac Holdings Inc | 2.91% | Reduce 22.93% | 997,951 | $292.81 | $292,210,033 | ↗ ◎ |
| SPHR — Sphere Entertainment Co | 2.87% | Reduce 32.37% | 1,665,326 | $173.03 | $288,151,357 | ↗ ◎ |
| MIDD — Middleby Corp | 2.82% | Add 4.41% | 1,644,006 | $172.01 | $282,785,472 | ↗ ◎ |
| MSGS — Madison Square Garden Sports | 2.64% | Reduce 8.20% | 658,551 | $401.84 | $264,632,134 | ↗ ◎ |
| NVST — Envista Holdings Corp | 2.58% | Reduce 9.62% | 9,818,177 | $26.35 | $258,708,964 | ↗ ◎ |
| ZBRA — Zebra Technologies Corp-Cl A | 2.42% | Add 18.73% | 922,998 | $263.26 | $242,988,454 | ↗ ◎ |
| LAZ — Lazard Inc | 2.41% | Reduce 1.22% | 5,755,404 | $41.94 | $241,381,643 | ↗ ◎ |
| BIO — Bio-Rad Laboratories-A | 2.39% | Add 3.92% | 816,751 | $293.61 | $239,806,261 | ↗ ◎ |
| PBH — Prestige Consumer Healthcare | 2.29% | Add 13.91% | 4,868,711 | $47.27 | $230,143,970 | ↗ ◎ |
| BOKF — Bok Financial Corporation | 2.25% | Reduce 1.36% | 1,627,416 | $138.88 | $226,015,534 | ↗ ◎ |
| FAF — First American Financial | 2.21% | Reduce 15.87% | 3,229,706 | $68.59 | $221,525,535 | ↗ ◎ |
| CVSA — Covista Inc | 2.20% | Reduce 8.26% | 1,771,844 | $124.66 | $220,878,073 | ↗ ◎ |
| MAT — Mattel Inc | 2.13% | Add 13.63% | 15,415,955 | $13.88 | $213,973,455 | ↗ ◎ |
| MOHAWK INDS INC | 2.12% | 1,756,773 | $121.33 | $213,149,268 | ||
| MANCHESTER UTD PLC NEW | 2.12% | 9,258,276 | $22.93 | $212,292,269 | ||
| GNTX — Gentex Corp | 2.09% | Reduce 0.39% | 8,309,786 | $25.27 | $209,988,292 | ↗ ◎ |
| SJM — Jm Smucker Co/the | 2.02% | Reduce 3.31% | 1,798,871 | $112.50 | $202,372,988 | ↗ ◎ |
| BYD — Boyd Gaming Corp | 1.92% | Reduce 4.05% | 2,182,342 | $88.33 | $192,766,269 | ↗ ◎ |
| CG — Carlyle Group Inc/the | 1.91% | Add 14.24% | 4,548,683 | $42.11 | $191,545,041 | ↗ ◎ |
| REZI — Resideo Technologies Inc | 1.90% | Add 1.02% | 6,141,052 | $31.10 | $190,986,718 | ↗ ◎ |
| NTRS — Northern Trust Corp | 1.69% | Reduce 14.79% | 972,340 | $173.84 | $169,031,585 | ↗ ◎ |
| CLB — Core Laboratories Inc | 1.64% | Add 6.87% | 14,074,945 | $11.65 | $163,973,109 | ↗ ◎ |
| HAE — Haemonetics Corp/mass | 1.54% | New | 2,060,966 | $75.00 | $154,572,450 | ↗ ◎ |
| RLI — Rli Corp | 1.48% | Add 188.93% | 2,519,527 | $59.07 | $148,828,460 | ↗ ◎ |
| MASCO CORP | 1.33% | 1,635,096 | $81.37 | $133,047,761 | ||
| AXALTA COATING SYS LTD | 1.18% | 3,462,010 | $34.22 | $118,469,981 | ||
| ADT — Adt Inc | 1.16% | Reduce 8.30% | 17,858,375 | $6.50 | $116,079,438 | ↗ ◎ |
| LH — Labcorp Holdings Inc | 0.97% | Reduce 1.39% | 349,112 | $280.00 | $97,751,360 | ↗ ◎ |
| SMG — Scotts Miracle-Gro Co | 0.96% | Add 46.57% | 1,410,981 | $68.11 | $96,101,916 | ↗ ◎ |
| KN — Knowles Corp | 0.94% | Reduce 40.17% | 2,284,673 | $41.48 | $94,768,236 | ↗ ◎ |
| BCO — Brink's Co/the | 0.86% | Reduce 1.26% | 911,321 | $94.49 | $86,110,721 | ↗ ◎ |
| OMC — Omnicom Group Inc. | 0.85% | Add 6.29% | 1,174,452 | $72.83 | $85,535,339 | ↗ ◎ |
| XRAY — Dentsply Sirona Inc | 0.85% | Add 25.67% | 8,026,107 | $10.61 | $85,156,995 | ↗ ◎ |
| LIND — Lindblad Expeditions Holding | 0.78% | Reduce 19.67% | 2,762,484 | $28.24 | $78,012,548 | ↗ ◎ |
| INTC — Intel Corp | 0.76% | Reduce 62.29% | 548,831 | $139.63 | $76,633,273 | ↗ ◎ |
| CVS — Cvs Health Corp | 0.75% | Add 3.98% | 730,110 | $103.45 | $75,529,880 | ↗ ◎ |
| LFUS — Littelfuse Inc | 0.74% | Reduce 24.16% | 163,376 | $455.33 | $74,389,994 | ↗ ◎ |
| DISNEY WALT CO | 0.61% | 635,446 | $96.25 | $61,161,678 | ||
| FSLR — First Solar Inc | 0.57% | Reduce 10.69% | 242,450 | $235.96 | $57,208,502 | ↗ ◎ |
| GCMG — Gcm Grosvenor Inc - Class A | 0.54% | Add 0.44% | 4,415,839 | $12.30 | $54,314,820 | ↗ ◎ |
| SLB LIMITED | 0.54% | 1,163,320 | $46.49 | $54,082,747 | ||
| FDS — Factset Research Systems Inc | 0.54% | Add 4.02% | 234,096 | $230.08 | $53,860,807 | ↗ ◎ |
| KEYS — Keysight Technologies In | 0.51% | Reduce 28.69% | 145,711 | $350.07 | $51,009,049 | ↗ ◎ |
| NVT — Nvent Electric Plc | 0.51% | Reduce 49.86% | 299,032 | $169.61 | $50,718,818 | ↗ ◎ |
| PPL — Ppl Corp | 0.49% | New | 1,349,987 | $36.35 | $49,072,027 | ↗ ◎ |
| SCHW — Schwab (Charles) Corp | 0.48% | Add 30.37% | 525,299 | $92.27 | $48,469,339 | ↗ ◎ |
| WEX — Wex Inc | 0.47% | Reduce 1.88% | 331,383 | $141.09 | $46,754,828 | ↗ ◎ |
| CBRE — Cbre Group Inc - A | 0.46% | Add 30.54% | 343,527 | $134.69 | $46,269,652 | ↗ ◎ |
| MTB — M & T Bank Corp | 0.41% | Reduce 1.72% | 174,574 | $238.01 | $41,550,357 | ↗ ◎ |
| BMY — Bristol-Myers Squibb Co | 0.40% | Reduce 3.51% | 696,430 | $57.62 | $40,128,297 | ↗ ◎ |
| T — At&t Inc | 0.40% | Add 29.23% | 1,924,404 | $20.70 | $39,835,163 | ↗ ◎ |
| KKR — Kkr & Co Inc | 0.39% | Reduce 3.45% | 424,241 | $91.78 | $38,936,839 | ↗ ◎ |
| AQN — Algonquin Power & Utilities | 0.39% | Reduce 66.35% | 6,608,611 | $5.86 | $38,726,460 | ↗ ◎ |
| DT — Dynatrace, Inc. | 0.34% | New | 788,488 | $43.91 | $34,622,508 | ↗ ◎ |
| HPE — Hewlett Packard Enterprise | 0.34% | Reduce 54.72% | 751,355 | $45.11 | $33,893,624 | ↗ ◎ |
| HLI — Houlihan Lokey Inc | 0.33% | New | 244,520 | $134.13 | $32,797,468 | ↗ ◎ |
| FITB — Fifth Third Bancorp | 0.31% | Reduce 2.25% | 554,673 | $56.37 | $31,266,917 | ↗ ◎ |
| KFY — Korn Ferry | 0.30% | Reduce 2.87% | 450,116 | $66.58 | $29,968,724 | ↗ ◎ |
| FDX — Fedex Corp | 0.30% | Reduce 3.48% | 95,476 | $313.13 | $29,896,400 | ↗ ◎ |
| BAC — Bank Of America Corp | 0.28% | Reduce 3.82% | 492,572 | $56.98 | $28,066,753 | ↗ ◎ |
| AFL — Aflac Inc | 0.28% | Reduce 1.27% | 236,216 | $117.25 | $27,696,326 | ↗ ◎ |
| FISV — Fiserv Inc | 0.27% | Add 26.02% | 545,115 | $49.05 | $26,737,891 | ↗ ◎ |
| GILD — Gilead Sciences Inc | 0.25% | Reduce 3.27% | 195,657 | $126.34 | $24,719,305 | ↗ ◎ |
| LESL — Leslie's Inc | 0.24% | Reduce 16.18% | 2,416,405 | $10.15 | $24,526,510 | ↗ ◎ |
| COF — Capital One Financial Corp | 0.22% | New | 108,339 | $200.62 | $21,734,970 | ↗ ◎ |
| RCL — Royal Caribbean Cruises Ltd | 0.21% | Add 3760.52% | 67,173 | $317.53 | $21,329,443 | ↗ ◎ |
| SSD — Simpson Manufacturing Co Inc | 0.21% | Add 8.54% | 99,589 | $209.35 | $20,848,957 | ↗ ◎ |
| CNP — Centerpoint Energy Inc | 0.20% | Reduce 3.51% | 460,132 | $44.04 | $20,264,213 | ↗ ◎ |
| KMX — Carmax Inc | 0.18% | Reduce 38.33% | 346,538 | $52.89 | $18,328,395 | ↗ ◎ |
| IWN — Ishares Russell 2000 Value E | 0.17% | Add 17.18% | 76,697 | $221.20 | $16,965,376 | ↗ ◎ |
| MTN — Vail Resorts Inc | 0.15% | Reduce 2.83% | 109,130 | $136.15 | $14,858,050 | ↗ ◎ |
| PGR — Progressive Corp | 0.13% | Add 5732.28% | 58,906 | $218.45 | $12,868,016 | ↗ ◎ |
| SNA — Snap-On Inc | 0.12% | Reduce 11.25% | 28,940 | $402.40 | $11,645,456 | ↗ ◎ |
| MGPI — Mgp Ingredients Inc | 0.11% | Reduce 2.88% | 610,729 | $17.52 | $10,699,972 | ↗ ◎ |
| PHIN — Phinia Inc | 0.09% | Reduce 14.61% | 113,193 | $82.37 | $9,323,708 | ↗ ◎ |
| JNJ — Johnson & Johnson | 0.09% | Reduce 12.72% | 35,393 | $253.97 | $8,988,760 | ↗ ◎ |
| TSM — Taiwan Semiconductor-Sp Adr | 0.09% | Add 10.85% | 17,838 | $477.57 | $8,518,894 | ↗ ◎ |
| FDXF — Fedex Freight Holding Co | 0.07% | New | 47,734 | $151.00 | $7,207,834 | ↗ ◎ |
| B — Barrick Mining Corp | 0.07% | Reduce 6.17% | 194,488 | $36.73 | $7,143,544 | ↗ ◎ |
| APA — Apa Corp | 0.06% | Reduce 16.04% | 186,521 | $32.57 | $6,074,989 | ↗ ◎ |
| CVX — Chevron Corp | 0.06% | Reduce 16.56% | 34,626 | $165.76 | $5,739,606 | ↗ ◎ |
| LMT — Lockheed Martin Corp | 0.06% | Reduce 15.78% | 11,045 | $509.46 | $5,626,986 | ↗ ◎ |
| VEA — Vanguard Ftse Developed Etf | 0.05% | New | 75,980 | $71.25 | $5,413,575 | ↗ ◎ |
| VT — Vanguard Tot World Stk Etf | 0.04% | Add 180.42% | 27,941 | $156.95 | $4,385,340 | ↗ ◎ |
| AJG — Arthur J Gallagher & Co | 0.04% | Reduce 5.90% | 18,597 | $229.57 | $4,269,313 | ↗ ◎ |
| BWA — Borgwarner Inc | 0.04% | Reduce 15.29% | 55,049 | $66.40 | $3,655,254 | ↗ ◎ |
| KB — Kb Financial Group Inc-Adr | 0.03% | Reduce 46.36% | 26,798 | $104.96 | $2,812,718 | ↗ ◎ |
| MOS — Mosaic Co/the | 0.03% | Reduce 16.67% | 123,607 | $21.19 | $2,619,232 | ↗ ◎ |
| KSPI — Jsc Kaspi.kz Adr | 0.02% | Add 3.92% | 23,614 | $86.64 | $2,045,917 | ↗ ◎ |
| ORCL — Oracle Corp | 0.02% | Reduce 16.11% | 13,730 | $146.55 | $2,012,132 | ↗ ◎ |
| XCEM — Columbia Em Core Ex-China | 0.01% | Add 96.92% | 16,671 | $52.88 | $881,562 | ↗ ◎ |
| VWO — Vanguard Ftse Emerging Marke | 0.01% | Reduce 50.28% | 10,065 | $59.69 | $600,780 | ↗ ◎ |
| HDB — Hdfc Bank Ltd-Adr | 0.00% | 14,072 | $25.83 | $363,480 | ↗ ◎ | |
| MSI — Motorola Solutions Inc | 0.00% | Reduce 0.57% | 692 | $415.29 | $287,381 | ↗ ◎ |
| KMT — Kennametal Inc | 0.00% | Reduce 99.10% | 7,814 | $35.05 | $273,881 | ↗ ◎ |
| ZBH — Zimmer Biomet Holdings Inc | 0.00% | Reduce 0.50% | 2,999 | $86.09 | $258,184 | ↗ ◎ |
| BRC — Brady Corporation - Cl A | 0.00% | Reduce 0.62% | 2,747 | $91.57 | $251,543 | ↗ ◎ |
| FICO — Fair Isaac Corp | 0.00% | Reduce 0.49% | 203 | $1194.78 | $242,540 | ↗ ◎ |
| IWD — Ishares Russell 1000 Value E | 0.00% | New | 895 | $242.43 | $216,975 | ↗ ◎ |
| IWS — Ishares Russell Mid-Cap Valu | 0.00% | 1,145 | $164.60 | $188,467 | ↗ ◎ |