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John Rogers - Ariel Investments Holdings – 2026 Q1

Explore the latest portfolio disclosure for John Rogers - Ariel Investments, with insights into sector exposure, position sizes, and overall investment structure for 2026 Q1.

The latest 2026 Q1 filing shows that John Rogers - Ariel Investments maintains its largest exposure in Unclassified Sector, which represents approximately 56.77% of the portfolio. This sector forms the core of John Rogers - Ariel Investments's investment stance during this reporting period.

Additional major allocations include Non-U.S. Assets (about 6.11%) and Industrials (approximately 5.55%) , reflecting how John Rogers - Ariel Investments diversifies beyond its primary sector focus.

These sector weightings provide a clear view into John Rogers - Ariel Investments's positioning and conviction areas for the 2026 Q1 quarter.

Breakdown by Sector

Unclassified Sector
56.8%
Non-U.S. Assets
6.1%
Industrials
5.6%
Healthcare
5.3%
Consumer Cyclical
5.3%
Financial Services
4.5%
Technology
4.2%
ETF
3.9%
Communication Services
2.4%
Consumer Defensive
2.3%
Utilities
1.6%
Energy
1.5%
Real Estate
0.4%
Basic Materials
0.1%
Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
MSGE 6,105,583 $58.91 Reduced -11.27% 4.03% $359.68M 2026 Q1
OSW 15,432,414 $22.95 Increased 10.14% 3.97% $354.17M 2026 Q1
JLL 1,024,277 $304.32 Increased 14.67% 3.49% $311.71M 2026 Q1
AMG 1,064,030 $276.7 Reduced -10.00% 3.30% $294.42M 2026 Q1
SPHR 2,462,309 $117.4 Reduced -22.29% 3.24% $289.08M 2026 Q1
NVST 10,863,592 $25.37 Reduced -9.25% 3.09% $275.61M 2026 Q1
NCLH 14,661,579 $18.7 Increased 2.16% 3.07% $274.17M 2026 Q1
PBH 4,274,326 $59.27 Increased 4.19% 2.84% $253.34M 2026 Q1
GNRC 1,294,787 $195.33 Reduced -9.07% 2.83% $252.91M 2026 Q1
CRL 1,444,183 $172.5 Increased 1.15% 2.79% $249.12M 2026 Q1
LAZ 5,826,289 $42.48 Increased 10.00% 2.77% $247.5M 2026 Q1
FAF 3,839,002 $60.29 Reduced -2.00% 2.59% $231.45M 2026 Q1
MSGS 717,341 $321.4 Reduced -0.71% 2.58% $230.55M 2026 Q1
ATGE 1,931,284 $115.25 Increased 1.77% 2.49% $222.58M 2026 Q1
CLB 13,170,388 $16.79 Reduced -3.59% 2.48% $221.13M 2026 Q1
BIO 785,961 $278.75 Increased 2.78% 2.45% $219.09M 2026 Q1
BOKF 1,649,883 $128.06 Reduced -2.33% 2.37% $211.28M 2026 Q1
MIDD 1,574,530 $132.58 Increased 1.02% 2.34% $208.75M 2026 Q1
REZI 6,078,851 $33.71 Reduced -0.69% 2.29% $204.92M 2026 Q1
MAT 13,567,083 $14.53 Increased 8.26% 2.21% $197.13M 2026 Q1
CG 3,981,757 $48.39 Increased 0.80% 2.16% $192.68M 2026 Q1
BYD 2,274,418 $82.18 Reduced -2.81% 2.09% $186.91M 2026 Q1
GNTX 8,342,402 $21.85 Increased 5.73% 2.04% $182.28M 2026 Q1
SJM 1,860,459 $96.44 Increased 15.63% 2.01% $179.42M 2026 Q1
MHK 1,744,678 $98.46 Increased 1.67% 1.92% $171.78M 2026 Q1
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