Torray Fund Holdings Activity

Torray Fund Portfolio 13F

Torray Fund has disclosed a total of 18 changes to the portfolio in the latest (2022 Q3) SEC report(s): increased the number of shares of 6, bought 3 totally new, decreased the number of shares of 4 and completely sold out 5 position(s).

What stocks is Torray Fund buying now?

In the recent quarter Torray Fund has bought 9 securities out of which top 5 purchases (by % change to portfolio) are (ETN) EATON CORP PLC (new buy), (CB) CHUBB LTD (new buy), (QCOM) QUALCOMM INC (new buy), (TROW) T ROWE PRICE GROUP INC (added shares +60.05%) and (GOOGL) ALPHABET INC-CL A (added shares +63.85%).

What does Torray Fund invest in?

Torray Fund's top 5 holdings (by % of portfolio) are (BRK.B) BERKSHIRE HATHAWAY INC CL-B (5.79%), (TROW) T ROWE PRICE GROUP INC (5.08%), (GD) GENERAL DYNAMICS CORP (5.07%), (MMC) MARSH & MCLENNAN COS (4.96%) and (GOOGL) ALPHABET INC-CL A (4.83%).

In the latest report(s) the following changes have been made to the top investments: (TROW) T ROWE PRICE GROUP INC (added shares +60.05%) and (GOOGL) ALPHABET INC-CL A (added shares +63.85%).

2022 Q3 (18 results)
CB
buy
+52,650
+3.36%
$181.88
37.41% $249.93
3.36%
QCOM
buy
+47,241
+2.86%
$112.98
45.26% $164.11
2.86%
ETN
buy
+90,421
+4.23%
$133.36
133.98% $312.03
4.23%
GOOGL
+63.85%
+56,050
+1.88%
$95.65
71.31% $163.86
4.83%
TROW
+60.05%
+51,710
+1.91%
$105.01
5.04% $110.30
5.08%
SLB
+27.25%
+56,559
+0.71%
$35.90
31.36% $47.16
3.33%
GM
+25.50%
+56,700
+0.91%
$32.09
38.58% $44.47
4.49%
EOG
+23.91%
+11,860
+0.65%
$111.73
16.31% $129.95
3.37%
BAC
+23.54%
+63,324
+0.67%
$30.20
22.35% $36.95
3.52%
JPM
-0.36%
-204
-0.01%
$104.50
83.60% $191.86
3.00%
BMY
-14.33%
-19,232
-0.66%
$71.09
37.81% $44.21
3.93%
GPC
-15.20%
-13,047
-0.68%
$149.32
4.99% $156.77
3.82%
FIGXX
-28.67%
-3,744,681
-1.31%
$1.00
-
3.27%
AMAT
-100.00%
-84,166
-2.69%
$90.98
113.22% $193.99
0.00%
CB
-100.00%
-52,650
-3.63%
$196.58
27.14% $249.93
0.00%
FISV
-100.00%
-143,855
-4.49%
$88.97
28.39% $114.23
0.00%
ETN
-100.00%
-85,899
-4.00%
$125.99
147.66% $312.03
0.00%
RNR
-100.00%
-58,847
-3.23%
$156.37
39.62% $218.32
0.00%
2022 Q2 (18 results)
FIGXX
+81.54%
+3,079,585
+1.93%
$1.00
-
4.31%
GM
+59.05%
+60,144
+1.24%
$31.76
40.02% $44.47
3.33%
DIS
+52.28%
+18,502
+1.07%
$94.40
17.03% $110.48
3.11%
KHC
+21.71%
+47,510
+0.60%
$38.14
4.88% $36.28
3.35%
AMAT
+21.29%
+14,776
+0.44%
$90.98
113.22% $193.99
0.00%
BAC
+20.52%
+25,417
+0.47%
$31.13
18.70% $36.95
2.76%
GOOGL
+19.92%
+14,580
+0.52%
$108.96
50.38% $163.86
3.15%
JPM
+19.09%
+13,113
+0.49%
$112.61
70.38% $191.86
3.05%
BRK.B
+18.10%
+9,470
+0.85%
$273.02
45.99% $398.58
5.56%
TXN
+17.63%
+9,587
+0.49%
$153.65
14.03% $175.20
3.24%
UNH
-13.63%
-4,121
-0.70%
$513.63
5.75% $484.11
4.42%
BMY
-13.72%
-29,231
-0.74%
$77.00
42.58% $44.21
4.67%
JNJ
-15.13%
-13,007
-0.76%
$177.51
14.83% $151.18
4.27%
PSX
-24.23%
-30,590
-0.83%
$81.99
71.01% $140.21
2.59%
SLB
-25.37%
-68,100
-0.83%
$35.76
31.88% $47.16
2.45%
EOG
-28.39%
-27,497
-1.00%
$110.44
17.67% $129.95
2.53%
CMCSA
-100.00%
-185,548
-2.86%
$46.82
18.41% $38.20
0.00%
VMW
-100.00%
-91,109
-3.66%
$113.87
25.13% $142.48
0.00%
36 of 140

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.