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John Rogers - Ariel Investments – Largest Position Reductions (2026 Q1)

This report summarizes the most meaningful reductions and sell-offs made by John Rogers - Ariel Investments in 2026 Q1. The analysis highlights which positions were trimmed or exited, providing insight into how the investor adjusted risk exposure and portfolio strategy.

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
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
GNRC 1,294,787 $195.33 Reduced -9.07% 2.83% $252.91M 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
CLB 13,170,388 $16.79 Reduced -3.59% 2.48% $221.13M 2026 Q1
BOKF 1,649,883 $128.06 Reduced -2.33% 2.37% $211.28M 2026 Q1
REZI 6,078,851 $33.71 Reduced -0.69% 2.29% $204.92M 2026 Q1
BYD 2,274,418 $82.18 Reduced -2.81% 2.09% $186.91M 2026 Q1
NTRS 1,141,118 $139.57 Reduced -8.63% 1.78% $159.27M 2026 Q1
ADT 19,475,052 $6.57 Reduced -9.66% 1.43% $127.95M 2026 Q1
KN 3,818,862 $25.68 Reduced -4.50% 1.10% $98.07M 2026 Q1
AXTA 3,466,960 $27.7 Reduced -28.73% 1.08% $96.03M 2026 Q1
BCO 922,958 $103.63 Reduced -10.17% 1.07% $95.65M 2026 Q1
LH 354,019 $266.81 Reduced -1.69% 1.06% $94.46M 2026 Q1
LFUS 215,427 $339.35 Reduced -2.74% 0.82% $73.11M 2026 Q1
NVT 596,399 $118.28 Reduced -2.71% 0.79% $70.54M 2026 Q1
INTC 1,455,291 $44.13 Reduced -4.52% 0.72% $64.22M 2026 Q1
SLB 1,237,399 $51.39 Reduced -3.71% 0.71% $63.59M 2026 Q1
LIND 3,439,063 $17.3 Reduced -32.82% 0.67% $59.5M 2026 Q1
KEYS 204,324 $282.38 Reduced -20.90% 0.65% $57.7M 2026 Q1
CVS 702,151 $71.82 Reduced -14.90% 0.56% $50.43M 2026 Q1
BMY 721,731 $60.65 Reduced -1.49% 0.49% $43.77M 2026 Q1
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