Torray Fund Holdings Activity

Torray Fund Portfolio 13F

Torray Fund has disclosed a total of 8 changes to the portfolio in the latest (2024 Q2) SEC report(s): increased the number of shares of 2, decreased the number of shares of 5 and completely sold out 1 position(s).

What stocks is Torray Fund buying now?

In the recent quarter Torray Fund has purchased 2 securities: (FIGXX) FIDELITY INV MMKT GOVT-I (added shares +29.77%) and (KEYS) KEYSIGHT TECHNOLOGIES IN (added shares +19.94%).

What does Torray Fund invest in?

Torray Fund's top 5 holdings (by % of portfolio) are (BRK.B) BERKSHIRE HATHAWAY INC CL-B (7.48%), (MMC) MARSH & MCLENNAN COS (5.15%), (GOOGL) ALPHABET INC-CL A (5.07%), (GD) GENERAL DYNAMICS CORP (4.84%) and (AXP) AMERICAN EXPRESS CO (4.43%).

In the latest report(s) the following change has been made to the top investments: (AXP) AMERICAN EXPRESS CO (reduced shares -12.66%).

2024 Q2 (8 results)
KHC
-100.00%
-89,070
-0.92%
$35.28
0.96% $34.94
0.00%
QCOM
-39.70%
-32,935
-1.96%
$204.05
14.02% $175.45
2.98%
ETN
-26.39%
-14,565
-1.42%
$332.85
1.38% $328.25
3.95%
AXP
-12.66%
-9,145
-0.64%
$240.00
12.02% $268.85
4.43%
JPM
-11.86%
-9,715
-0.58%
$202.63
4.40% $211.54
4.28%
LEN.B
-11.76%
-12,770
-0.55%
$146.26
20.16% $175.75
4.10%
KEYS
+19.94%
+11,825
+0.48%
$138.48
12.51% $155.80
2.88%
FIGXX
+29.77%
+2,756,439
+0.81%
$1.00
-
3.51%
2024 Q1 (11 results)
MO
-100.00%
-255,850
-3.12%
$42.04
19.53% $50.25
0.00%
KHC
-66.56%
-177,274
-1.82%
$35.28
0.96% $34.94
0.00%
AMAT
-22.31%
-16,795
-0.98%
$201.62
1.99% $197.60
3.42%
ETN
-20.24%
-14,010
-1.18%
$289.00
13.58% $328.25
4.63%
PSX
-17.69%
-19,655
-0.81%
$142.51
6.69% $132.97
3.78%
JNJ
+14.05%
+10,250
+0.48%
$161.38
2.45% $165.33
3.90%
SLB
+24.43%
+48,155
+0.68%
$48.33
11.52% $42.76
3.44%
EOG
+26.75%
+23,626
+0.79%
$114.46
9.81% $125.69
3.72%
RPRX
+40.10%
+108,615
+0.96%
$30.34
7.58% $28.04
3.34%
FIGXX
+43.08%
+2,787,996
+0.81%
$1.00
-
2.69%
KEYS
buy
+59,300
+2.66%
$154.30
0.97% $155.80
2.66%
2023 Q4 (2 results)
GM
-100.00%
-259,708
-2.76%
$33.51
46.46% $49.08
0.00%
FIGXX
-22.14%
-1,840,410
-0.58%
$1.00
-
2.06%
2023 Q3 (1 result)
FIGXX
-19.71%
-2,040,647
-0.64%
$1.00
-
2.61%
2023 Q2 (12 results)
BAC
-100.00%
-332,340
-3.02%
$28.60
42.83% $40.85
0.00%
BMY
-100.00%
-157,493
-3.47%
$69.31
28.68% $49.43
0.00%
DIS
-100.00%
-117,020
-3.73%
$100.13
6.28% $93.84
0.00%
AAP
-100.00%
-56,890
-2.20%
$121.61
65.15% $42.38
0.00%
QCOM
+15.04%
+10,845
+0.41%
$119.04
47.39% $175.45
3.14%
HD
+15.14%
+4,750
+0.47%
$310.64
25.67% $390.39
3.57%
PSX
+16.11%
+15,415
+0.47%
$95.38
39.41% $132.97
3.37%
EOG
+17.80%
+13,342
+0.49%
$114.44
9.83% $125.69
3.21%
TROW
+19.07%
+15,264
+0.54%
$112.02
1.16% $110.72
3.40%
FIGXX
+62.72%
+3,990,584
+1.27%
$1.00
-
3.29%
WRB
buy
+160,635
+3.04%
$59.56
3.16% $57.68
3.04%
RPRX
buy
+270,835
+2.65%
$30.74
8.78% $28.04
2.65%
2023 Q1 (4 results)
DD
-100.00%
-113,528
-2.52%
$68.63
21.65% $83.49
0.00%
FIGXX
-21.28%
-1,719,995
-0.56%
$1.00
-
2.06%
ETN
-14.30%
-11,545
-0.64%
$171.34
91.58% $328.25
3.83%
MO
-11.22%
-32,346
-0.47%
$44.62
12.62% $50.25
3.69%
38 of 193

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.