HoldingsChannel.com
Ariel Investments LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Philip Morris Intl Inc. 4,186,300 +383,098 $305,432
     PM4,186,300+383,098$305,432
Microsoft Corp. 1,797,885 -294,096 $283,544
     MSFT1,797,885-294,096$283,544
Baidu Inc. ADR 2,141,373 +338,479 $215,829
     BIDU2,141,373+338,479$215,829
Gilead Sciences Inc. 2,666,235 +155,417 $199,328
     GILD2,666,235+155,417$199,328
Mattel Inc. 17,599,495 +2,291,829 $155,052
     MAT17,599,495+2,291,829$155,052
Interpublic Group of Cos. Inc. 9,261,081 +172,339 $149,937
     IPG9,261,081+172,339$149,937
Northern Trust Corp. 1,931,699 +149,123 $145,766
     NTRS1,931,699+149,123$145,766
Stericycle Inc. 2,914,645 -354,670 $141,593
     SRCL2,914,645-354,670$141,593
First American Financial Corp. 3,226,010 -361,335 $136,815
     FAF3,226,010-361,335$136,815
Lazard Ltd. 5,282,628 -171,457 $124,459
     LAZ5,282,628-171,457$124,459
J.M. Smucker Co. 1,104,669 -406,691 $122,618
     SJM1,104,669-406,691$122,618
Kennametal Inc. 6,524,284 +777,990 $121,482
     KMT6,524,284+777,990$121,482
KKR & Co Inc. 5,048,925 -851,589 $118,498
     KKR5,048,925-851,589$118,498
Johnson & Johnson 868,374 -84,909 $113,870
     JNJ868,374-84,909$113,870
Berkshire Hathaway Inc.      $109,751
     BRK.B600,288+13,939$109,751
Snap on Inc. 984,192 +5,308 $107,100
     SNA984,192+5,308$107,100
Laboratory Corp. of America Holdings 846,517 -48,583 $106,991
     LH846,517-48,583$106,991
Keysight Technologies Inc. 1,203,306 +42,282 $100,693
     KEYS1,203,306+42,282$100,693
MSG Networks Inc. 9,255,161 +528,604 $94,403
     MSGN9,255,161+528,604$94,403
Zebra Technologies Corp. 498,994 +41,617 $91,615
     ZBRA498,994+41,617$91,615
Nielsen Holdings plc 7,244,978 -417,573 $90,852
     NLSN7,244,978-417,573$90,852
ViacomCBS Inc. 6,199,771 +2,233,508 $86,859
     CBS6,199,771+2,233,508$86,859
Charles River Laboratories Intl Inc. 685,583 -164,511 $86,527
     CRL685,583-164,511$86,527
Verizon Communications Inc. 1,555,875 +104,034 $83,597
     VZ1,555,875+104,034$83,597
JLL 802,095 -10,354 $80,996
     JLL802,095-10,354$80,996
Adtalem Global Education Inc. 2,829,062 +1,263,295 $75,791
     ATGE2,829,062+1,263,295$75,791
Progressive Corp. 901,632 -54,541 $66,577
     PGR901,632-54,541$66,577
CBRE Group Inc. 1,728,199 -75,417 $65,170
     CBRE1,728,199-75,417$65,170
Mohawk Industries Inc. 785,656 +122,945 $59,898
     MHK785,656+122,945$59,898
Knowles Corporation 4,436,195 +850,886 $59,356
     KN4,436,195+850,886$59,356
BOK Financial Corp. 1,369,393 +150,322 $58,281
     BOKF1,369,393+150,322$58,281
Molson Coors Beverage Co 1,486,161 -406,813 $57,975
     TAP1,486,161-406,813$57,975
Simpson Manufacturing Co. Inc. 922,707 -368,535 $57,189
     SSD922,707-368,535$57,189
Bio Rad Laboratories Inc. 158,814 -67,684 $55,674
     BIO158,814-67,684$55,674
Nokia Corp. ADR 17,838,921 -151,449 $55,301
     NOK17,838,921-151,449$55,301
Stanley Black & Decker Inc. 546,728 -59,928 $54,673
     SWK546,728-59,928$54,673
Aflac Inc. 1,589,373 -8,624 $54,420
     AFL1,589,373-8,624$54,420
TEGNA Inc. 4,986,967 -1,344,732 $54,158
     TGNA4,986,967-1,344,732$54,158
Amdocs Ltd. 970,246 -2,380 $53,334
     DOX970,246-2,380$53,334
BorgWarner Inc. 2,165,104 +177,225 $52,764
     BWA2,165,104+177,225$52,764
Littelfuse Inc. 393,593 -12,716 $52,513
     LFUS393,593-12,716$52,513
Envista Holdings Corp 3,487,094 +3,487,094 $52,097
     NVST3,487,094+3,487,094$52,097
EOG Resources Inc. 1,386,759 +437,410 $49,812
     EOG1,386,759+437,410$49,812
Zimmer Biomet Holdings Inc. 476,068 -47,599 $48,121
     ZBH476,068-47,599$48,121
Quest Diagnostics Inc. 592,375 +190,909 $47,568
     DGX592,375+190,909$47,568
Vail Resorts Inc 312,781 +312,781 $46,201
     MTN312,781+312,781$46,201
GlaxoSmithKline plc ADR 1,167,730 +318 $44,245
     GSK1,167,730+318$44,245
The Madison Square Garden Co. 200,315 +200,315 $42,349
     MSGS200,315+200,315$42,349
Masco Corporation 1,184,624 -8,808 $40,952
     MAS1,184,624-8,808$40,952
Affiliated Managers Group Inc. 659,154 +66,456 $38,982
     AMG659,154+66,456$38,982

See Full List: All Stocks Held By Ariel Investments LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Ariel Investments LLC

Size ($ in 1000's)
At 03/31/2020: $5,700,745
At 12/31/2019: $7,969,771

Ariel Investments LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Ariel Investments LLC 13F filings. Link to 13F filings: SEC filings

Ariel Investments LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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