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  IMS Health, Inc. (RX)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2009   Q4 0 0.00 Sell 100.00% 6.06 SEC
2009   Q3 13,254,637 6.06 Add 6.11% 0.35 $15,349.96 $203,458,101,000 SEC
2009   Q2 12,490,877 5.06 Add 13.25% 0.59 $12,700.00 $158,634,139,000 SEC
2009   Q1 11,029,082 5.03 Add 724.22% 4.42 $12,470.00 $137,532,653,000 SEC
2008   Q4 1,338,120 0.65 Reduce 91.17% 4.45 $15,160.00 $20,285,899,000 SEC
2008   Q3 15,150,192 4.88 Reduce 12.04% 0.65 $18,910.00 $286,490,130,000 SEC
2008   Q2 17,223,571 5.39 Reduce 4.53% 0.23 $23,300.00 $401,309,203,000 SEC
2008   Q1 18,039,919 5.08 Add 3.77% 0.18 $21,010.05 $379,019,593,000 SEC
2007   Q4 17,384,955 4.53 Add 34.45% 1.16 $23,040.02 $400,549,664,000 SEC
2007   Q3 12,929,955 4.17 Reduce 2.37% 0.09 $30,639.97 $396,173,442,000 SEC
2007   Q1 13,243,644 3.92 Add 5.07% 0.19 $29,659.97 $392,806,055,000 SEC
2006   Q4 12,604,239 3.22 Reduce 1.16% 0.04 $27,480.03 $346,364,898,000 SEC
2006   Q3 12,752,338 3.08 Reduce 3.54% 0.09 $26,639.99 $339,722,148,000 SEC
2006   Q2 13,220,684 2.65 Buy 2.65 $26,850.01 $354,975,511,000 SEC
2006   Q1 0 0.00 Sell 100.00% 2.64 SEC
2005   Q4 14,921,097 2.64 Add 33.87% 0.67 $24.92 $371,834,000 SEC
2005   Q3 11,146,293 1.88 Reduce 55.44% 2.35 $25.17 $280,553,000 SEC
2005   Q2 25,013,428 4.23 Add 4.16% 0.17 $24.77 $619,582,000 SEC
2005   Q1 24,014,408 3.97 Add 4.64% 0.18 $24.39 $585,711,000 SEC
2004   Q4 22,948,666 3.44 Add 34.92% 0.89 $23.21 $532,638,000 SEC
2004   Q3 17,009,001 2.98 Add 1.73% 0.05 $23.92 $406,855,000 SEC
2004   Q2 16,719,103 0.08 Add 5.09% <0.01 $23.44 $391,895,000 SEC
2004   Q1 15,908,764 2.84 Add 8.08% 0.21 $23.26 $370,038,000 SEC
2003   Q4 14,720,028 3.03 Add 4.41% 0.13 $24.86 $365,940,000 SEC
2003   Q3 14,098,188 3.02 Buy 3.02 $21.10 $297,472,000 SEC