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 75 security holdings in their (2022 Q2) SEC 13F filing(s) with portfolio value of $83,704,105,276.

What stocks does Dodge & Cox Stock Fund own?

In Dodge & Cox Stock Fund's portfolio as of 30 Jun 2022, the top 5 holdings are (OXY) OCCIDENTAL PETROLEUM CORP (4.29%), (SCHW) SCHWAB (CHARLES) CORP (3.86%), (WFC) WELLS FARGO & CO (3.75%), (GOOG) ALPHABET INC-CL C (3.40%) and (CI) CIGNA CORP (3.36%).

To see the historical data of Dodge & Cox Stock Fund's portfolio holdings please click on the "2022 Q2" dropdown menu and select the date.

To see Dodge & Cox Stock Fund's original 13F reports (2022 Q2), please click on the "important" button.

Portfolio value: $83B+
Period: 2022 Q2
Number of stock: 75
Update: 26 Aug 2022
GE
1.41%
18,550,800
$63.67
157.75% $164.11
$1,181,129,436
+229.84% (+12,926,656)
+0.98%
SNY
3.23%
53,985,528
$50.03
2.04% $49.01
$2,700,895,965
-16.97% (-11,033,600)
-0.66%
BMY
1.08%
7,427,913
$77.00
42.87% $43.99
$571,949,344
-32.69% (-3,608,010)
-0.53%
HPQ
1.56%
39,722,456
$32.78
14.03% $28.18
$1,302,102,107
-25.29% (-13,443,881)
-0.53%
RHHBY
0.68%
12,344,651
$41.71
28.48% $29.83
$514,895,417
-43.83% (-9,631,462)
-0.53%
PYPL
0.44%
5,326,000
$69.84
5.93% $65.70
$371,967,840
buy
+0.44%
FIS
0.41%
3,708,542
$91.67
22.85% $70.72
$339,962,045
buy
+0.41%
GSK
2.67%
20,961,478
$54.41
20.06% $43.50
$1,140,566,431
-13.26% (-3,203,860)
-0.41%
ELAN
0.82%
34,998,000
$19.63
31.07% $13.53
$687,010,740
+92.47% (+16,814,300)
+0.39%
NVS
1.59%
15,696,200
$84.53
15.07% $97.27
$1,326,799,786
-18.91% (-3,660,900)
-0.37%
GOOGL
0.51%
2,623,050
$108.96
53.48% $167.24
$285,815,397
+206.95% (+1,768,500)
+0.34%
ZBH
0.48%
3,204,155
$105.06
15.80% $121.66
$336,628,576
+161.22% (+1,977,562)
+0.29%
AXP
0.71%
4,275,154
$138.62
66.48% $230.77
$592,621,847
-25.98% (-1,500,546)
-0.25%
GLPI
0.24%
4,413,586
$45.86
5.80% $43.20
$202,407,053
+3,425.23% (+4,288,386)
+0.23%
WMB
1.60%
42,940,309
$31.21
23.90% $38.67
$1,340,167,043
-12.36% (-6,058,591)
-0.23%
COF
2.89%
14,298,081
$104.19
36.68% $142.41
$1,489,717,110
+7.33% (+976,435)
+0.20%
SCHW
3.86%
45,482,204
$63.18
20.35% $76.04
$2,873,565,648
+5.59% (+2,406,827)
+0.20%
IIVI
0.47%
7,676,800
$50.95
345.69% $227.08
$391,132,960
+73.63% (+3,255,406)
+0.20%
META
1.43%
7,430,500
$161.25
180.29% $451.96
$1,198,168,125
+10.72% (+719,600)
+0.14%
INCY
1.11%
12,195,000
$75.97
29.24% $53.76
$926,454,150
+13.52% (+1,452,000)
+0.13%
20 of 75

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.