John Rogers’s PGR Holdings & Trades

First Buy
Q3 2015
Duration Held
41 Quarters
Largest Add
Q3 2015
+1.12 M shares
Current Position
1,100 shares
$271,645 value

John Rogers's PGR Position Overview

John Rogers (via Ariel Investments, LLC) currently holds 1.1K shares of The Progressive Corporation (PGR) worth $271,645, representing 0.00% of the portfolio. First purchased in 2015-Q3, this long-term strategic position has been held for 41 quarters.

Based on 13F filings since 2013, John Rogers has maintained a long-term strategic position in PGR, representing a significant commitment to this investment thesis. Largest addition occurred in Q4 2015, adding 289.8K shares. Largest reduction occurred in Q1 2022, reducing 465.4K shares.

Analysis based on 13F filings available since 2013 Q2

John Rogers's The Progressive Corporation (PGR) Holding Value Over Time

Track share changes against reported price movement

Quarterly The Progressive Corporation (PGR) Trades by John Rogers

Period Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q3 2015 +1.12 M New Buy 1.12 M $30.64
Q4 2015 +289,800 Add 25.97% 1.41 M $31.80
Q1 2016 +108,590 Add 7.73% 1.51 M $35.14
Q2 2016 +255,998 Add 16.91% 1.77 M $33.50
Q3 2016 -68,804 Reduce 3.89% 1.7 M $31.50
Q4 2016 -5,137 Reduce 0.30% 1.7 M $35.50
Q1 2017 -175,299 Reduce 10.33% 1.52 M $39.18
Q2 2017 -258,185 Reduce 16.98% 1.26 M $44.09
Q3 2017 -134,597 Reduce 10.66% 1.13 M $48.42
Q4 2017 -181,303 Reduce 16.07% 946,873 $56.32
Q1 2018 -9,821 Reduce 1.04% 937,052 $60.93
Q2 2018 -16,780 Reduce 1.79% 920,272 $59.15
Q3 2018 -3,363 Reduce 0.37% 916,909 $71.04
Q4 2018 -73,026 Reduce 7.96% 843,883 $60.33
Q1 2019 +78,618 Add 9.32% 922,501 $72.09
Q2 2019 -5,799 Reduce 0.63% 916,702 $79.93
Q3 2019 +48,038 Add 5.24% 964,740 $77.25
Q4 2019 -8,567 Reduce 0.89% 956,173 $72.39
Q1 2020 -54,541 Reduce 5.70% 901,632 $73.84
Q2 2020 -60,450 Reduce 6.70% 841,182 $80.11
Q3 2020 -100,027 Reduce 11.89% 741,155 $94.67
Q4 2020 -117,801 Reduce 15.89% 623,354 $98.88
Q1 2021 +178,093 Add 28.57% 801,447 $95.61
Q2 2021 +38,754 Add 4.84% 840,201 $98.21
Q3 2021 +35,219 Add 4.19% 875,420 $90.39
Q4 2021 -58,450 Reduce 6.68% 816,970 $102.65
Q1 2022 -465,408 Reduce 56.97% 351,562 $113.99
Q2 2022 -186,553 Reduce 53.06% 165,009 $116.27
Q3 2022 -54,442 Reduce 32.99% 110,567 $116.21
Q4 2022 -39,682 Reduce 35.89% 70,885 $129.71
Q1 2023 -69,507 Reduce 98.06% 1,378 $143.06
Q2 2023 -111 Reduce 8.06% 1,267 $132.37
Q3 2023 +149 Add 11.76% 1,416 $139.30
Q4 2023 +97 Add 6.85% 1,513 $159.28
Q1 2024 -120 Reduce 7.93% 1,393 $206.82
Q2 2024 -347 Reduce 24.91% 1,046 $207.71
Q3 2024 -177 Reduce 16.92% 869 $253.76
Q4 2024 -869 Sold Out 869 $0.00
Q1 2025 +828 New Buy 828 $283.01
Q2 2025 -43 Reduce 5.19% 785 $266.86
Q3 2025 +315 Add 40.13% 1,100 $246.95

John Rogers's The Progressive Corporation Investment FAQs

John Rogers first purchased The Progressive Corporation (PGR) in Q3 2015, acquiring 1,115,810 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

John Rogers has held The Progressive Corporation (PGR) for 41 quarters since Q3 2015. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

John Rogers's largest addition to The Progressive Corporation (PGR) was in Q3 2015, adding 1,115,810 shares worth $34.19 M. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

According to the latest 13F filing for Q3 2025, John Rogers's firm, Ariel Investments, LLC, owns 1,100 shares of The Progressive Corporation (PGR), valued at approximately $271,645. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

As of the Q3 2025 filing, The Progressive Corporation (PGR) represents approximately 0.00% of John Rogers's publicly disclosed stock portfolio, making it one of their key holdings. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

John Rogers's peak holding in The Progressive Corporation (PGR) was 1,770,198 shares, as reported at the end of Q2 2016. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.