John W. Rogers Jr. (Ariel Investments) disclosed new in VANGUARD INTL EQUITY INDEX F
John W. Rogers Jr. (Ariel Investments) filed a 13F change in VANGUARD INTL EQUITY INDEX F (922042742) on 2026-05-14, covering period end 2026-03-31.
Why it matters
This signal is selected by portfolio impact within the manager filing, while the full filing change list remains available in the briefing.
Full Filing Changes
116 changes from John W. Rogers Jr. (Ariel Investments), filed 2026-05-14 for period end 2026-03-31.
| Stock | Action | Change | Current | Portfolio Impact |
|---|---|---|---|---|
M22465104 CHECK POINT SOFTWARE TECH LT | Sold out | -$86.1M | $0 | 0.96% |
P73684113 ONESPAWORLD HOLDINGS LIMITED | Increased | $63.6M | $354.2M | 0.71% |
G0750C108 AXALTA COATING SYS LTD | Reduced | -$61.1M | $96.0M | 0.68% |
594918104 MICROSOFT CORP | Reduced | -$60.4M | $23.0M | 0.68% |
368736104 GENERAC HLDGS INC | Increased | $58.7M | $252.9M | 0.66% |
810186106 SCOTTS MIRACLE-GRO CO | New | $58.5M | $58.5M | 0.66% |
G4474Y214 JANUS HENDERSON GROUP PLC | Sold out | -$55.6M | $0 | 0.62% |
577081102 MATTEL INC | Reduced | -$51.5M | $197.1M | 0.58% |
989207105 ZEBRA TECHNOLOGIES CORPORATI | Increased | $47.0M | $162.5M | 0.53% |
8252108 AFFILIATED MANAGERS GROUP | Reduced | -$46.4M | $294.4M | 0.52% |
G66721104 NORWEGIAN CRUISE LINE HLDGS | Reduced | -$46.2M | $274.2M | 0.52% |
00090Q103 ADT INC DEL | Reduced | -$46.0M | $128.0M | 0.52% |
55825T103 MADISON SQUARE GRDN SPRT COR | Increased | $43.7M | $230.6M | 0.49% |
14316J108 CARLYLE GROUP INC | Reduced | -$40.8M | $192.7M | 0.46% |
14040H105 CAPITAL ONE FINL CORP | Sold out | -$39.3M | $0 | 0.44% |
947890109 WEBSTER FINL CORP | Sold out | -$36.4M | $0 | 0.41% |
489170100 KENNAMETAL INC | Reduced | -$36.2M | $31.4M | 0.40% |
159864107 CHARLES RIV LABS INTL INC | Reduced | -$35.7M | $249.1M | 0.40% |
64110D104 NETAPP INC | Sold out | -$34.6M | $0 | 0.39% |
316773100 FIFTH THIRD BANCORP | New | $26.4M | $26.4M | 0.30% |
00737L103 COVISTA INC | Increased | $26.2M | $222.6M | 0.29% |
749607107 RLI CORP | Increased | $25.9M | $49.7M | 0.29% |
109696104 BRINKS CO | Reduced | -$24.3M | $95.6M | 0.27% |
596278101 MIDDLEBY CORP | Reduced | -$23.0M | $208.8M | 0.26% |
15857105 ALGONQUIN POWER & UTILITIES | Increased | $22.7M | $120.6M | 0.25% |
832696405 SMUCKER J M CO | Increased | $22.1M | $179.4M | 0.25% |
444859102 HUMANA INC | Sold out | -$21.2M | $0 | 0.24% |
15189T107 CENTERPOINT ENERGY INC | Reduced | -$17.6M | $20.6M | 0.20% |
537008104 LITTELFUSE INC | Increased | $17.1M | $73.1M | 0.19% |
608190104 MOHAWK INDS INC | Reduced | -$15.8M | $171.8M | 0.18% |
29415F104 ENVISTA HOLDINGS CORPORATION | Increased | $15.7M | $275.6M | 0.18% |
126650100 CVS HEALTH CORP | Reduced | -$15.1M | $50.4M | 0.17% |
31428X106 FEDEX CORP | Increased | $14.6M | $35.2M | 0.16% |
535219109 LINDBLAD EXPEDITIONS HLDGS I | Reduced | -$14.3M | $59.5M | 0.16% |
806857108 SLB LIMITED | Increased | $14.3M | $63.6M | 0.16% |
24906P109 DENTSPLY SIRONA INC | Increased | $13.8M | $74.1M | 0.15% |
00206R102 AT&T INC | Increased | $13.3M | $43.2M | 0.15% |
90572207 BIO RAD LABS INC | Reduced | -$12.6M | $219.1M | 0.14% |
103304101 BOYD GAMING CORP | Reduced | -$12.6M | $186.9M | 0.14% |
303075105 FACTSET RESH SYS INC | Increased | $12.4M | $48.8M | 0.14% |
49926D109 KNOWLES CORP | Increased | $12.4M | $98.1M | 0.14% |
55826T102 SPHERE ENTERTAINMENT CO | Reduced | -$12.2M | $289.1M | 0.14% |
336433107 FIRST SOLAR INC | Reduced | -$12.2M | $53.6M | 0.14% |
69932A204 PARAMOUNT SKYDANCE CORP | Reduced | -$11.7M | $23.0M | 0.13% |
665859104 NORTHERN TR CORP | Reduced | -$11.3M | $159.3M | 0.13% |
05561Q201 BOK FINL CORP | Increased | $11.2M | $211.3M | 0.13% |
48020Q107 JONES LANG LASALLE INC | Increased | $11.2M | $311.7M | 0.12% |
558256103 MADISON SQUARE GARDEN ENTMT | Reduced | -$11.2M | $359.7M | 0.12% |
76118Y104 RESIDEO TECHNOLOGIES INC | Reduced | -$10.1M | $204.9M | 0.11% |
52110M109 LAZARD INC | Reduced | -$9.7M | $247.5M | 0.11% |
G5784H106 MANCHESTER UTD PLC NEW | Increased | $9.2M | $152.2M | 0.10% |
31847R102 FIRST AMERN FINL CORP | Reduced | -$9.2M | $231.5M | 0.10% |
G6700G107 NVENT ELEC PLC | Increased | $8.0M | $70.5M | 0.09% |
458140100 INTEL CORP | Increased | $8.0M | $64.2M | 0.09% |
3.6831E+112 GCM GROSVENOR INC | Reduced | -$7.9M | $43.1M | 0.09% |
42824C109 HEWLETT PACKARD ENTERPRISE C | Increased | $7.8M | $39.5M | 0.09% |
48251W104 KKR & CO INC | Increased | $6.9M | $40.6M | 0.08% |
464287630 ISHARES TR | Increased | $6.4M | $12.4M | 0.07% |
574599106 MASCO CORP | Increased | $5.9M | $31.6M | 0.07% |
49338L103 KEYSIGHT TECHNOLOGIES INC | Increased | $5.2M | $57.7M | 0.06% |
681919106 OMNICOM GROUP INC | Reduced | -$4.7M | $83.2M | 0.05% |
110122108 BRISTOL-MYERS SQUIBB CO | Increased | $4.3M | $43.8M | 0.05% |
504922105 LABCORP HOLDINGS INC | Increased | $4.1M | $94.5M | 0.05% |
55303J106 MGP INGREDIENTS INC NEW | Reduced | -$3.7M | $11.6M | 0.04% |
808513105 SCHWAB CHARLES CORP | Increased | $3.7M | $37.9M | 0.04% |
60505104 BANK AMERICA CORP | Reduced | -$3.5M | $25.0M | 0.04% |
854502101 STANLEY BLACK & DECKER INC | Reduced | -$3.1M | $28.2M | 0.03% |
375558103 GILEAD SCIENCES INC | Increased | $3.0M | $28.2M | 0.03% |
404609109 HACKETT GROUP INC | Reduced | -$2.9M | $5.5M | 0.03% |
1055102 AFLAC INC | Increased | $2.9M | $26.2M | 0.03% |
38141G104 GOLDMAN SACHS GROUP INC | Sold out | -$2.8M | $0 | 0.03% |
337738108 FISERV INC | Increased | $2.6M | $24.1M | 0.03% |
874039100 TAIWAN SEMICONDUCTOR MANUFAC | Increased | $2.4M | $5.4M | 0.03% |
166764100 CHEVRON CORPORATION | Increased | $2.3M | $8.6M | 0.03% |
03743Q108 APA CORPORATION | Increased | $2.2M | $9.4M | 0.02% |
21867A105 CORE LABORATORIES INC | Increased | $2.1M | $221.1M | 0.02% |
12504L109 CBRE GROUP INC | Increased | $1.7M | $35.6M | 0.02% |
500643200 KORN FERRY | Reduced | -$1.6M | $29.2M | 0.02% |
143130102 CARMAX INC | Increased | $1.6M | $23.4M | 0.02% |
921943858 VANGUARD TAX-MANAGED FDS | Sold out | -$1.5M | $0 | 0.02% |
96208T104 WEX INC | Increased | $1.5M | $51.7M | 0.02% |
527064208 LESLIES INC | Reduced | -$1.5M | $3.2M | 0.02% |
539830109 LOCKHEED MARTIN CORP | Increased | $1.4M | $7.9M | 0.02% |
922042742 VANGUARD INTL EQUITY INDEX F | New | $1.4M | $1.4M | 0.02% |
371901109 GENTEX CORP | Reduced | -$1.3M | $182.3M | 0.01% |
922042858 VANGUARD INTL EQUITY INDEX F | New | $1.1M | $1.1M | 0.01% |
P31076105 COPA HOLDINGS SA | Sold out | -$1.1M | $0 | 0.01% |
829073105 SIMPSON MFG INC | Increased | $989,552 | $15.7M | 0.01% |
478160104 JOHNSON & JOHNSON | Increased | $960,118 | $9.9M | 0.01% |
06849F108 BARRICK MNG CORP | Reduced | -$957,458 | $8.5M | 0.01% |
G2519Y108 CREDICORP LTD | Increased | $926,161 | $2.6M | 0.01% |
P5626F128 INTERCORP FINL SVCS INC | Increased | $864,007 | $2.3M | 0.01% |
68389X105 ORACLE CORP | Reduced | -$785,656 | $2.4M | 0.01% |
48581R205 KASPI KZ JSC | Increased | $654,039 | $1.7M | 0.01% |
99724106 BORGWARNER INC | Increased | $597,881 | $3.5M | 0.01% |
833034101 SNAP ON INC | Increased | $577,525 | $11.8M | 0.01% |
48241A105 KB FINL GROUP INC | Increased | $567,468 | $5.0M | 0.01% |
91879Q109 VAIL RESORTS INC | Reduced | -$490,130 | $14.4M | 0.01% |
V7780T103 ROYAL CARIBBEAN GROUP | New | $478,813 | $478,813 | 0.01% |
60871R209 MOLSON COORS BEVERAGE CO | Reduced | -$456,645 | $23.6M | 0.01% |
254687106 DISNEY WALT CO | Reduced | -$375,415 | $63.1M | 0.00% |
55261F104 M & T BK CORP | Increased | $373,312 | $36.7M | 0.00% |
921909768 VANGUARD STAR FDS | New | $361,260 | $361,260 | 0.00% |
19762B202 COLUMBIA ETF TR II | New | $345,497 | $345,497 | 0.00% |
363576109 GALLAGHER ARTHUR J & CO | Increased | $306,249 | $4.3M | 0.00% |
71880K101 PHINIA INC | Increased | $286,437 | $9.1M | 0.00% |
74112D101 PRESTIGE CONSMR HEALTHCARE I | Increased | $256,261 | $253.3M | 0.00% |
61945C103 MOSAIC CO | Increased | $240,575 | $3.8M | 0.00% |
464287473 ISHARES TR | New | $166,872 | $166,872 | 0.00% |
303250104 FAIR ISAAC CORP | Reduced | -$155,849 | $217,778 | 0.00% |
464287598 ISHARES TR | Sold out | -$140,507 | $0 | 0.00% |
40415F101 HDFC BANK LTD | Reduced | -$130,427 | $350,111 | 0.00% |
743315103 PROGRESSIVE CORP | Reduced | -$48,904 | $200,222 | 0.00% |
98956P102 ZIMMER BIOMET HOLDINGS INC | Reduced | -$17,826 | $272,526 | 0.00% |
620076307 MOTOROLA SOLUTIONS INC | Increased | $12,636 | $302,043 | 0.00% |
104674106 BRADY CORP | Reduced | -$10,250 | $224,547 | 0.00% |