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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

ARIEL INVESTMENTS, LLC INSTITUTION : John Rogers (ARIEL INVESTMENTS, LLC )
John Rogers Buys/Sells In Portfolio (reported on 2021-05-14)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
OneSpaWorld Holdings Ltd    (COM)9,672,1460
New Buy
New Buy
Axalta Coating Systems Ltd    (COM)AXTA4,796,8990
New Buy
New Buy
Weibo Corp    (ADR)WB118,4000
New Buy
New Buy
ViacomCBS Inc    (COM)739,9690
New Buy
New Buy
nVent Electric PLC    (SHS)3,015,4560
New Buy
New Buy
Vidler Water Resouces Inc    (COM)68,7790
New Buy
New Buy
Sanofi    (ADR)SNY5,4350
New Buy
New Buy
Janus Henderson Group PLC    (ORD S3,686,2240
New Buy
New Buy
Gaia Inc    (COM)140,8932,204
Added138,689
6292.60%
Envista Holdings Corp    (COM)6,710,727541,097
Added6,169,630
1140.20%
MSG Networks Inc    (CL A)8,573,0032,107,380
Added6,465,623
306.80%
Bristol-Myers Squibb Co    (COM)BMY700,634254,798
Added445,836
174.97%
180 Degree Capital Corp    (COM)178,88188,012
Added90,869
103.24%
Masco Corp    (COM)MAS1,703,9501,079,607
Added624,343
57.83%
Banco Santander Chile    (ADR)SAN1,290,504841,567
Added448,937
53.34%
Credicorp Ltd    (COM)BAP375,583253,152
Added122,431
48.36%
Check Point Software Technologies Ltd   CHKP489,094331,912
Added157,182
47.35%
Omnicom Group Inc    (COM)OMC598,970411,388
Added187,582
45.59%
Molson Coors Beverage Co    (CL B)TAP617,173428,588
Added188,585
44.00%
Lockheed Martin Corp    (COM)LMT24,59717,453
Added7,144
40.93%
J M Smucker Co/The    (COM)SJM1,330,088963,094
Added366,994
38.10%
Telefonica Brasil SA    (ADR)2,933,0852,227,867
Added705,218
31.65%
Walgreens Boots Alliance Inc    (COWBA1,558,9981,190,065
Added368,933
31.00%
Philip Morris International Inc    PGR801,447623,354
Added178,093
28.57%
Lazard Ltd    (SHS A)LAZ6,948,9545,541,371
Added1,407,583
25.40%
First American Financial Corp    (CFAF5,372,1354,368,561
Added1,003,574
22.97%
Cardinal Health Inc    (COM)CAH1,017,546827,647
Added189,899
22.94%
Adtalem Global Education Inc    (CO3,094,5962,542,875
Added551,721
21.69%
BOK Financial Corp    (COM)BOKF2,989,2642,462,077
Added527,187
21.41%
Stericycle Inc    (COM)SRCL3,683,9743,100,084
Added583,890
18.83%
APA Corp    (COM)428,684361,648
Added67,036
18.53%
Kennametal Inc    (COM)KMT7,066,6146,113,401
Added953,213
15.59%
Equity Commonwealth    (COM SH BEN EQC1,523,7531,351,000
Added172,753
12.78%
Matthews International Corp    (CL MATW310,025280,475
Added29,550
10.53%
Simpson Manufacturing Co Inc    (COSSD680,927624,907
Added56,020
8.96%
MIND Technology Inc    (COM)1,597,0881,476,193
Added120,895
8.18%
Team Inc    (COM)TISI2,271,7532,124,478
Added147,275
6.93%
Norwegian Cruise Line Holdings Ltd   &nbNCLH1,192,5821,130,782
Added61,800
5.46%
Aflac Inc    (COM)AFL1,540,6391,465,539
Added75,100
5.12%
TEGNA Inc    (COM)TGNA7,907,1927,555,142
Added352,050
4.65%
Affiliated Managers Group Inc    (CAMG825,603791,454
Added34,149
4.31%
Bio-Rad Laboratories Inc    (CL A)BIO51,30149,311
Added1,990
4.03%
Madison Square Garden Sports Corp   &nbsMSG187,395180,145
Added7,250
4.02%
Vodafone Group PLC    (ADR)VOD858,397826,746
Added31,651
3.82%
Northern Trust Corp    (COM)NTRS1,771,0431,719,296
Added51,747
3.00%
Mohawk Industries Inc    (COM)MHK1,256,5991,220,516
Added36,083
2.95%
Middleby Corp/The    (COM)MIDD170,998166,234
Added4,764
2.86%
Nielsen Holdings PLC    (SHS EUR)NLSN11,235,76210,927,743
Added308,019
2.81%
Royal Caribbean Cruises Ltd    (COMRCL496,869485,469
Added11,400
2.34%
Laboratory Corp of America Holdings   &nLH707,003691,256
Added15,747
2.27%
Jones Lang LaSalle Inc    (COM)JLL1,039,6861,017,386
Added22,300
2.19%
Horace Mann Educators Corp    (COM)HMN314,902308,202
Added6,700
2.17%
Brink's Co/The    (COM)BCO1,699,4381,663,475
Added35,963
2.16%
Interpublic Group of Cos Inc/The    IPG9,952,6529,742,138
Added210,514
2.16%
Knowles Corp    (COM)KN4,743,6754,648,684
Added94,991
2.04%
Vail Resorts Inc    (COM)MTN358,444351,518
Added6,926
1.97%
Mosaic Co/The    (COM)MOS399,193392,008
Added7,185
1.83%
Charles Schwab Corp/The    (COM)SCHW1,172,1971,151,827
Added20,370
1.76%
AstraZeneca PLC    (ADR)AZN26,79026,405
Added385
1.45%
Oracle Corp    (COM)ORCL164,456162,716
Added1,740
1.06%
Novartis AG    (ADR)NVS20,58220,427
Added155
0.75%
Amdocs Ltd    (COM)DOX1,044,7591,037,873
Added6,886
0.66%
Methode Electronics Inc    (COM)MEI1,028,6221,025,932
Added2,690
0.26%
Brady Corp    (CL A)BRC574,594575,094
Reduced500
0.08%
Evercore Inc    (COM)EVR259,683260,183
Reduced500
0.19%
NetApp Inc    (COM)NTAP745,734748,792
Reduced3,058
0.40%
Charles River Laboratories International Inc  CRL411,073412,866
Reduced1,793
0.43%
Western Union Co/The    (COM)WU408,072410,024
Reduced1,952
0.47%
Korn Ferry    (COM)KFY835,516841,966
Reduced6,450
0.76%
CBRE Group Inc    (CL A)CBG1,620,9391,640,207
Reduced19,268
1.17%
Littelfuse Inc    (COM)LFUS358,143363,328
Reduced5,185
1.42%
Verizon Communications Inc    (COM)VZ1,130,3601,146,984
Reduced16,624
1.44%
Stanley Black & Decker Inc    (COM)SWK314,059318,910
Reduced4,851
1.52%
Nokia Oyj    (ADR)NOK8,064,8668,206,588
Reduced141,722
1.72%
Madison Square Garden Entertainment Corp  &nb2,578,3062,631,312
Reduced53,006
2.01%
Hanger Inc    (COM)HGR298,114304,314
Reduced6,200
2.03%
Bank of New York Mellon Corp/The    BK142,828146,128
Reduced3,300
2.25%
RF Industries Ltd    (COM)RFIL50,11051,274
Reduced1,164
2.27%
Crown Crafts Inc    (COM)CRWS43,04844,048
Reduced1,000
2.27%
Cisco Systems Inc/Delaware    (COM)CSCO70,10871,918
Reduced1,810
2.51%
Zimmer Biomet Holdings Inc    (COM)ZMH419,002430,618
Reduced11,616
2.69%
US Bancorp    (COM)USB246,899255,575
Reduced8,676
3.39%
Philip Morris International Inc    PM4,259,1444,408,951
Reduced149,807
3.39%
Johnson & Johnson    (COM)JNJ875,407907,443
Reduced32,036
3.53%
Goldman Sachs Group Inc/The    (COMGS278,459289,635
Reduced11,176
3.85%
Mattel Inc    (COM)MAT15,309,84715,926,754
Reduced616,907
3.87%
Snap-on Inc    (COM)SNA1,035,8421,078,202
Reduced42,360
3.92%
Gilead Sciences Inc    (COM)GILD2,834,3432,978,954
Reduced144,611
4.85%
Microsoft Corp    (COM)MSFT1,353,5081,423,200
Reduced69,692
4.89%
NOV Inc    (COM)2,191,9072,317,898
Reduced125,991
5.43%
Rubicon Technology Inc    (COM)53,79857,886
Reduced4,088
7.06%
Meredith Corp    (COM)MDP4,112,8554,453,221
Reduced340,366
7.64%
BorgWarner Inc    (COM)BWA1,588,4331,741,960
Reduced153,527
8.81%
Novo Nordisk A/S    (ADR)NVO4,1194,552
Reduced433
9.51%
CarMax Inc    (COM)KMX348,521403,267
Reduced54,746
13.57%
Core Laboratories NV    (COM)CLB3,788,9424,521,001
Reduced732,059
16.19%
Keysight Technologies Inc    (COM)KEYS692,519827,634
Reduced135,115
16.32%
Baidu Inc    (ADR)BIDU2,443,1412,930,586
Reduced487,445
16.63%
iShares Russell 2000 Value ETF    (IWN166,421201,217
Reduced34,796
17.29%
Orion Energy Systems Inc    (COM)OESX103,967125,849
Reduced21,882
17.38%
Zebra Technologies Corp    (COM)ZBRA134,283170,654
Reduced36,371
21.31%
iShares MSCI ACWI ex US ETF    (ETFACWX45,50258,401
Reduced12,899
22.08%
GlaxoSmithKline PLC    (ADR)GSK428,734578,882
Reduced150,148
25.93%
Willis Towers Watson PLC    (SHS)WLTW75,624104,184
Reduced28,560
27.41%
Berkshire Hathaway Inc    (CL B)BRK/B470,917653,169
Reduced182,252
27.90%
Green Brick Partners Inc    (COM)GRBK24,18234,155
Reduced9,973
29.19%
Kindred Biosciences Inc    (COM)KIN1,159,1691,928,976
Reduced769,807
39.90%
GSI Technology Inc    (COM)GSIT267,945452,720
Reduced184,775
40.81%
US Silica Holdings Inc    (COM)SLCA5,262,4278,960,928
Reduced3,698,501
41.27%
Safeguard Scientifics Inc    (COM)SFE198,920359,626
Reduced160,706
44.68%
Alico Inc    (COM)ALCO30,56860,932
Reduced30,364
49.83%
FLIR Systems Inc    (COM)FLIR950,1332,100,295
Reduced1,150,162
54.76%
One Stop Systems Inc    (COM)23,74558,919
Reduced35,174
59.69%
KKR & Co Inc    (COM)3,492,83510,133,713
Reduced6,640,878
65.53%
Vanguard FTSE Developed Markets ETF   &nVEA435,3951,322,252
Reduced886,857
67.07%
Capital Southwest Corp    (COM)CSWC30,92896,598
Reduced65,670
67.98%
Pure Cycle Corp    (COM)PCYO175,680552,591
Reduced376,911
68.20%
ORBCOMM Inc    (COM)ORBC417,2871,316,295
Reduced899,008
68.29%
Enzo Biochem Inc    (COM)ENZ237,992871,112
Reduced633,120
72.67%
EMCORE Corp    (COM)EMKR183,284692,171
Reduced508,887
73.52%
Cumberland Pharmaceuticals Inc    (CPIX212,370821,096
Reduced608,726
74.13%
CRA International Inc    (COM)CRAI11,05043,391
Reduced32,341
74.53%
AstroNova Inc    (COM)ALOT79,320321,363
Reduced242,043
75.31%
Gulf Island Fabrication Inc    (COMGIFI30,900132,838
Reduced101,938
76.73%
Lakeland Industries Inc    (COM)LAKE21,33193,208
Reduced71,877
77.11%
Tejon Ranch Co    (COM)TRC62,425277,400
Reduced214,975
77.49%
Tapestry Inc    (COM)778,1923,690,127
Reduced2,911,935
78.91%
Movado Group Inc    (COM)MOV32,250167,531
Reduced135,281
80.74%
Ballantyne Strong Inc    (COM)BTN472,1352,583,100
Reduced2,110,965
81.72%
Century Casinos Inc    (COM)CNTY143,403849,759
Reduced706,356
83.12%
Houlihan Lokey Inc    (COM)398,4373,411,548
Reduced3,013,111
88.32%
RealNetworks Inc    (COM)RNWK289,7763,378,127
Reduced3,088,351
91.42%
SuRo Capital Corp    (COM)33,4331,468,077
Reduced1,434,644
97.72%
Cowen Inc    (CL A)82,9737,078,143
Reduced6,995,170
98.82%
TIM SA/Brazil    (ADR)61,7038,177,824
Reduced8,116,121
99.24%
GlassBridge Enterprises Inc    (COM1,769398,231
Reduced396,462
99.55%
ACACIA RESEARCH    (COM)ACTG0122,189
Sold Out
Sold Out
FOOT LOCKER INC    (COM)FL0395,302
Sold Out
Sold Out
NORDSTROM INC    (COM)JWN0298,852
Sold Out
Sold Out
PCTEL INC    (COM)PCTI058,275
Sold Out
Sold Out
MTS SYSTEMS CORP    (COM)MTSC0300,551
Sold Out
Sold Out
STRATTEC SEC CORP    (COM)STRT08,500
Sold Out
Sold Out
SYNACOR INC    (COM)SYNC01,190,207
Sold Out
Sold Out
ISHARES RUSSELL MID CAP VALUE ETF   &nbsIWS02,381
Sold Out
Sold Out
INTERCONTINENTAL EXCHANGE INC    (CICE059,962
Sold Out
Sold Out
PICO HLDGS INC    (COM)PICO032,431
Sold Out
Sold Out
ZAGG INC    (COM)ZAGG0249,443
Sold Out
Sold Out
APACHE CORP    (COM)APA0373,013
Sold Out
Sold Out
* Portfolios do not reflect changes after reporting
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