N-PORT filing recap · March 2025
What did Ariel International Fund buy in March 2025?
Reported stock-position changes between this filing and the previous one. These are Ariel International Fund's own holdings, not the firm's.
Stock value
$224.89M
Positions
40
Estimated turnover
31.4%
Turnover is a proxy: verified trade-origin share changes valued at period-end and divided by average reported stock value. SEC holdings reports do not disclose execution dates or prices. Corporate actions and unreconciled activity are excluded.
Period in review
Ariel International Fund opened new positions in Intesa Sanpaolo, Algonquin Power & Utilities, and Pt Bank Negara Indonesia. It exited Baidu, Vanguard Ftse Developed Markets ETF, Banca Monte Dei Paschi Di Siena, Venture Corporation, Endesa, Nokia, Snam, and Clp Holdings. The fund substantially increased Redeia Corporacion, Sega Sammy Holdings, Beazley, and Wizz Air Holdings, and dramatically increased Orange and Publicis Groupe. It trimmed Check Point Software Technologies, Michelin, Deutsche Boerse, Axa, and Subaru.