Just Posted
Our 06/30/14 quarterly report is now available
The Red Hot Russell Mid Cap Value Index
Quarterly overview of fund objectives and performance summary as of 06/30/14
"People aren’t always rational, and that’s good for value investors."
Turtle Time with David Maley
Job Report, Stock Earnings and Our Economy
Where John W. Rogers, Jr. Sees Undervalued Stocks
Talking with John W. Rogers, Jr.
Behavioral Finance Webinar Replay
Money’s 2014 Investor’s Guide Fund Tables
Turtle Time with Charlie Bobrinskoy
Turtle Time
Charlie Bobrinskoy answered your questions via live chat. Read the replay.
Research Team Promotions
Research Team Promotions
We have never been more enthusiastic about our team.
Fund Performance as of 08/19/2014
Value Portfolios
Ariel Fund
Investor Class
NAV
$ 78.41
Daily Change
0.29%
YTD Return
6.42%
Institutional Class
NAV
$ 78.55
Daily Change
0.31%
YTD Return
6.64%
Ariel Appreciation Fund
Investor Class
NAV
$ 58.17
Daily Change
0.33%
YTD Return
4.40%
Institutional Class
NAV
$ 58.32
Daily Change
0.33%
YTD Return
4.63%
Ariel Focus Fund
Investor Class
NAV
$ 15.60
Daily Change
0.71%
YTD Return
9.47%
Institutional Class
NAV
$ 15.61
Daily Change
0.71%
YTD Return
9.62%
Deep Value Portfolios
Ariel Discovery Fund
Investor Class
NAV
$ 12.54
Daily Change
0.00%
YTD Return
-8.27%
Institutional Class
NAV
$ 12.64
Daily Change
0.00%
YTD Return
-8.07%
Global Portfolios
Ariel International Fund
Investor Class
NAV
$ 13.46
Daily Change
0.22%
YTD Return
4.75%
Institutional Class
NAV
$ 13.30
Daily Change
0.15%
YTD Return
4.89%
Ariel Global Fund
Investor Class
NAV
$ 14.35
Daily Change
0.35%
YTD Return
8.79%
Institutional Class
NAV
$ 14.17
Daily Change
0.35%
YTD Return
8.92%
Performance data quoted is past performance, which does not guarantee future results. All performance assumes reinvestment of dividends and capital gains. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than quoted. For month-end and standardized performance data and expense ratios, click the "View Full Performance" links above. Click here to download a Fund Prospectus.
Past performance does not guarantee future results. © Ariel Investments, LLC. The mutual funds offered by Ariel Investment Trust are distributed by Ariel Distributors, LLC. Use of this website is subject to our Terms & Conditions of use. Each of the investment products, mutual funds or services referred to in this site may be offered only to persons in the United States. This web site should not be considered a solicitation or offering of any investment products, funds or services to investors outside the United States. Original illustrations © Omar Rayyan 2007.