John W. Rogers Jr. Holdings Activity

Ariel Appreciation Fund Portfolio 13F

Ariel Appreciation Fund has disclosed a total of 37 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 15, bought 1 totally new, decreased the number of shares of 20 and completely sold out 1 position(s).

What stocks is John W. Rogers Jr. buying now?

In the recent quarter John W. Rogers Jr. has bought 16 securities out of which top 5 purchases (by % change to portfolio) are (KKR) KKR & CO INC (added shares +61.7%), (JLL) JONES LANG LASALLE INC (added shares +41.15%), (FDS) FACTSET RESEARCH SYSTEMS INC (added shares +128.6%), (RLI) RLI CORP (new buy) and (CBRE) CBRE GROUP INC - A (added shares +34.94%).

What does John W. Rogers Jr. invest in?

John W. Rogers Jr.'s top 5 holdings (by % of portfolio) are (MSGE) MADISON SQUARE GARDEN ENTERT (3.53%), (CRL) CHARLES RIVER LABORATORIES (3.38%), (MSGS) MADISON SQUARE GARDEN SPORTS (3.37%), (SLB) SCHLUMBERGER LTD (3.34%) and (JLL) JONES LANG LASALLE INC (3.28%).

In the latest report(s) the following changes have been made to the top investments: (MSGE) MADISON SQUARE GARDEN ENTERT (reduced shares -19.23%), (CRL) CHARLES RIVER LABORATORIES (reduced shares -11.21%), (MSGS) MADISON SQUARE GARDEN SPORTS (reduced shares -5.65%), (SLB) SCHLUMBERGER LTD (reduced shares -6.27%) and (JLL) JONES LANG LASALLE INC (added shares +41.15%).

2022 Q2 (35 results)
REZI
buy
+1,095,952
+1.94%
$19.42
63.03% $31.66
1.94%
CRL
+105.35%
+56,907
+1.11%
$213.97
12.37% $187.51
2.16%
NOV
+85.17%
+279,634
+0.43%
$16.91
-
0.94%
SCHW
+40.39%
+205,148
+1.18%
$63.18
44.19% $91.10
4.10%
CLB
+39.50%
+380,146
+0.69%
$19.81
33.57% $13.16
2.42%
KEYS
+34.52%
+32,323
+0.41%
$137.85
154.39% $350.67
1.58%
CBRE
+31.29%
+79,060
+0.53%
$73.61
81.24% $133.41
2.22%
IPG
+26.44%
+196,445
+0.49%
$27.53
-
2.36%
MTN
+26.17%
+12,834
+0.25%
$218.05
38.86% $133.31
1.23%
LFUS
+23.76%
+18,504
+0.43%
$254.04
85.85% $472.14
2.23%
SWK
+21.30%
+52,508
+0.50%
$104.86
20.26% $83.62
2.86%
KN
+17.85%
+169,134
+0.27%
$17.33
129.54% $39.78
1.76%
GS
+10.40%
+14,613
+0.40%
$297.02
257.80% $1,062.75
4.20%
KMX
+10.28%
+26,347
+0.22%
$90.48
43.35% $51.26
2.33%
KMT
+9.77%
+124,319
+0.26%
$23.23
50.58% $34.98
2.96%
NVT
+8.71%
+71,931
+0.21%
$31.33
429.33% $165.84
2.56%
NTRS
+8.67%
+39,624
+0.35%
$96.48
80.70% $174.34
4.36%
BWA
+7.88%
+71,480
+0.22%
$33.37
123.28% $74.51
2.97%
LH
+6.62%
+10,339
+0.22%
$234.36
13.57% $266.16
3.56%
MANU
+6.38%
+115,611
+0.12%
$11.12
108.72% $23.21
1.95%
MSGS
+6.04%
+7,972
+0.11%
$151.00
154.75% $384.68
1.93%
KKR
+5.21%
+27,985
+0.12%
$46.29
107.91% $96.24
2.38%
MSGE
+1.84%
+13,158
+0.06%
$52.62
39.66% $73.49
3.49%
SNA
-8.36%
-9,601
-0.17%
$197.03
96.66% $387.48
1.89%
CAH
-8.57%
-50,353
-0.24%
$52.27
328.26% $223.85
2.56%
WBA
-9.64%
-85,518
-0.30%
$37.90
-
2.77%
MAT
-18.21%
-421,531
-0.86%
$22.33
34.39% $14.65
3.85%
SJM
-22.75%
-36,996
-0.43%
$128.01
9.00% $116.49
1.46%
AFL
-25.30%
-192,370
-0.97%
$55.33
112.90% $117.80
2.86%
TAP
-27.86%
-133,027
-0.66%
$54.51
23.72% $41.58
1.71%
ADT
-29.41%
-378,184
-0.21%
$6.15
10.57% $6.80
0.51%
OMC
-50.12%
-172,197
-1.00%
$63.61
20.55% $76.68
0.99%
PGR
-53.57%
-118,951
-1.26%
$116.27
74.69% $203.11
1.09%
NTPXX
-76.10%
-28,941,974
-2.64%
$1.00
0.00% $1.00
0.83%
NLSN
-100.00%
-727,902
-1.81%
$27.24
-
0.00%
35 of 833

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.