John Rogers - Ariel Investments,
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    106
Portfolio value:    $8,934,260,435
Holdings Activity Buys Sells    History
Holding/activity history for  Kindred Biosciences Inc (KIN)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2021   Q2 0 0.00 Sell 100.00% 0.06 SEC
2021   Q1 1,159,169 0.06 Reduce 39.91% 0.04 $4.97 $5,761,000 SEC
2020   Q4 1,928,976 0.09 Add 14.44% 0.01 $4.31 $8,314,000 SEC
2020   Q3 1,685,506 0.11 Add 9.89% <0.01 $4.29 $7,231,000 SEC
2020   Q2 1,533,812 0.10 Reduce 13.66% 0.02 $4.49 $6,887,000 SEC
2020   Q1 1,776,477 0.12 Reduce 0.30% <0.01 $4.00 $7,106,000 SEC
2019   Q4 1,781,770 0.19 Reduce 6.56% 0.01 $8.48 $15,109,000 SEC
2019   Q3 1,906,785 0.18 Reduce 33.07% 0.10 $6.85 $13,061,000 SEC
2019   Q2 2,848,808 0.30 Add 8.81% 0.02 $8.33 $23,731,000 SEC
2019   Q1 2,618,040 0.30 Add 31.11% 0.07 $9.17 $24,007,000 SEC
2018   Q4 1,996,806 0.31 Reduce 8.24% 0.03 $10.95 $21,865,000 SEC
2018   Q3 2,176,012 0.34 Reduce 1.92% <0.01 $13.95 $30,355,000 SEC
2018   Q2 2,218,612 0.27 Add 25.93% 0.06 $10.65 $23,628,000 SEC
2018   Q1 1,761,829 0.18 Reduce 9.91% 0.02 $8.65 $15,240,000 SEC
2017   Q4 1,955,552 0.21 Reduce 16.43% 0.04 $9.45 $18,480,000 SEC
2017   Q3 2,340,123 0.22 Add 19.28% 0.04 $7.85 $18,370,000 SEC
2017   Q2 1,961,912 0.21 Reduce 34.08% 0.09 $8.60 $16,872,000 SEC
2017   Q1 2,976,322 0.26 Reduce 24.48% 0.05 $7.05 $20,983,000 SEC
2016   Q4 3,940,859 0.21 Add 2.76% <0.01 $4.25 $16,749,000 SEC
2016   Q3 3,835,163 0.24 Add 3.78% <0.01 $4.99 $19,137,000 SEC
2016   Q2 3,695,576 0.17 Add 3.01% <0.01 $3.54 $13,082,000 SEC
2016   Q1 3,587,561 0.16 Add 43.61% 0.05 $3.45 $12,377,000 SEC
2015   Q4 2,498,179 0.11 Add 42.73% 0.03 $3.40 $8,494,000 SEC
2015   Q3 1,750,224 0.12 Add 44.37% 0.04 $5.20 $9,101,000 SEC
2015   Q2 1,212,359 0.10 Add 327.49% 0.08 $6.82 $8,268,000 SEC
2015   Q1 283,600 0.03 Add 110.97% 0.02 $7.14 $2,025,000 SEC
2014   Q4 134,425 0.01 Buy 0.01 $7.45 $1,001,000 SEC