Global Investing at Ariel
Our approach to global investing is to uncover hidden investment gems wherever they exist. We are biased toward quality businesses with sustainable competitive advantages, and we build portfolios from the bottom up, carefully researching companies to identify those we believe have the potential to be top performers in the future. We seek to generate superior returns through better stock selection and our relentless attention to risk.
Learn more about Rupal Bhansali and Ariel's Global products:
Investments in foreign securities may underperform and may be more volatile than comparable U.S. stocks because of the risks involving foreign economies and markets, foreign political systems, foreign regulatory standards, foreign currencies and taxes. The use of currency derivatives and exchange-traded funds (ETFs) may increase investment losses and expenses and create more volatility. Investments in emerging and developing markets present additional risks, such as difficulties in selling on a timely basis and at an acceptable price. The intrinsic value of the stocks in which the Funds invest may never be recognized by the broader market.
Investors should consider carefully the investment objectives, risks, and charges and expenses before investing. For a current summary prospectus or full prospectus which contains this and other information about the funds offered by Ariel Investment Trust, call us at 800-292-7435 or click here. Please read the summary prospectus or full prospectus carefully before investing. Distributed by Ariel Distributors, LLC, a wholly-owned subsidiary of Ariel Investments, LLC.