Dodge & Cox Stock Fund's Portfolio

Dodge & Cox Stock Fund 13F holdings

What is Dodge & Cox Stock Fund's portfolio?

Dodge & Cox Stock Fund has disclosed a total of 73 security holdings in their (2022 Q1) SEC 13F filing(s) with portfolio value of $95,877,469,045.

What stocks does Dodge & Cox Stock Fund own?

In Dodge & Cox Stock Fund's portfolio as of 31 Mar 2022, the top 5 holdings are (SCHW) SCHWAB (CHARLES) CORP (4.26%), (WFC) WELLS FARGO & CO (4.05%), (GOOG) ALPHABET INC-CL C (3.68%), (OXY) OCCIDENTAL PETROLEUM CORP (3.61%) and (SNY) SANOFI-ADR (3.48%).

To see the historical data of Dodge & Cox Stock Fund's portfolio holdings please click on the "2022 Q1" dropdown menu and select the date.

To see Dodge & Cox Stock Fund's original 13F reports (2022 Q1), please click on the "important" button.

Portfolio value: $95B+
Period: 2022 Q1
Number of stock: 73
Update: 26 May 2022
GLPI
0.01%
125,200
$46.93
7.95% $43.20
$5,875,636
buy
+0.01%
GE
0.54%
5,624,144
$91.50
79.36% $164.11
$514,609,176
buy
+0.54%
ZBH
0.19%
1,451,589
$127.90
4.88% $121.66
$185,658,233
buy
+0.19%
UBS
0.57%
27,783,700
$19.54
39.05% $27.17
$542,893,498
buy
+0.57%
REGN
0.98%
1,341,485
$698.42
37.02% $957.00
$936,919,953
+1,135.15% (+1,232,876)
+0.90%
IIVI
0.33%
2,431,766
$72.49
213.26% $227.08
$176,278,768
+143.27% (+1,432,158)
+0.20%
META
1.56%
4,898,957
$222.36
103.26% $451.96
$1,089,332,078
+51.58% (+1,667,028)
+0.53%
GPS
0.39%
18,601,730
$14.08
53.34% $21.59
$261,912,358
+51.14% (+6,293,910)
+0.13%
SLB
0.72%
16,737,545
$41.31
15.37% $47.66
$691,427,983
-45.35% (-13,889,900)
-0.60%
BKR
0.65%
16,991,550
$36.41
12.33% $31.92
$618,662,335
-44.77% (-13,775,400)
-0.52%
BAC
1.10%
25,570,900
$41.22
9.63% $37.25
$1,054,032,498
-43.66% (-19,816,000)
-0.85%
BUD
0.93%
12,411,886
$60.06
0.58% $59.71
$745,457,916
+39.85% (+3,536,798)
+0.27%
DELL
0.71%
10,174,009
$50.19
149.25% $125.10
$510,633,514
-31.88% (-4,760,944)
-0.33%
CHTR
2.27%
3,994,586
$545.52
51.25% $265.93
$2,179,126,554
+28.44% (+884,500)
+0.50%
HPQ
2.01%
53,166,337
$36.30
22.37% $28.18
$1,929,938,033
-23.38% (-16,223,900)
-0.61%
ELAN
0.49%
18,183,700
$26.09
48.14% $13.53
$474,412,733
+18.48% (+2,836,100)
+0.08%
AEG
0.52%
94,614,842
$5.29
19.66% $6.33
$500,512,514
+12.03% (+10,163,100)
+0.06%
OXY
3.61%
37,219,287
$56.74
13.48% $64.39
$2,111,822,393
-10.77% (-4,491,613)
-0.44%
INCY
0.89%
10,743,000
$79.42
32.31% $53.76
$853,209,060
+9.28% (+912,700)
+0.08%
MCHP
1.62%
20,650,366
$75.14
21.59% $91.36
$1,551,668,501
+8.44% (+1,607,900)
+0.13%
20 of 73

Completely sold out

HAL
6,548,867
-0.16%
HES
3,492,044
-0.51%

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.