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 78 security holdings in their (2022 Q3) SEC 13F filing(s) with portfolio value of $77,835,513,068.

What stocks does Dodge & Cox Stock Fund own?

In Dodge & Cox Stock Fund's portfolio as of 30 Sep 2022, the top 5 holdings are (SCHW) SCHWAB (CHARLES) CORP (4.91%), (OXY) OCCIDENTAL PETROLEUM CORP (4.78%), (WFC) WELLS FARGO & CO (4.14%), (GOOG) ALPHABET INC-CL C (3.23%) and (MET) METLIFE INC (3.00%).

To see the historical data of Dodge & Cox Stock Fund's portfolio holdings please click on the "2022 Q3" dropdown menu and select the date.

To see Dodge & Cox Stock Fund's original 13F reports (2022 Q3), please click on the "important" button.

Portfolio value: $77B+
Period: 2022 Q3
Number of stock: 78
Update: 22 Nov 2022
ZBH
0.51%
3,799,400
$104.55
14.14% $119.33
$397,227,270
+0.20% (+7,500)
+0.00%
WMB
1.25%
34,062,674
$28.63
42.23% $40.72
$975,214,356
-20.67% (-8,877,635)
-0.33%
WFC
4.14%
43,221,136
$40.22
51.49% $60.93
$1,738,354,095
-0.15% (-65,394)
-0.01%
VMW
2.30%
16,817,283
$106.46
33.83% $142.48
$1,790,367,948
-2.09% (-359,700)
-0.05%
UNH
1.57%
2,412,860
$505.04
3.23% $521.35
$1,218,590,814
-2.97% (-73,900)
-0.05%
UBS
0.67%
35,680,800
$14.51
107.10% $30.05
$517,728,408
+4.84% (+1,648,300)
+0.03%
TMUS
1.75%
10,160,737
$134.17
23.35% $165.50
$1,363,266,083
-1.23% (-126,900)
-0.02%
TFC
0.74%
7,348,113
$43.54
10.68% $38.89
$319,936,857
+1.82% (+131,090)
+0.01%
TEL
1.21%
4,361,354
$110.36
37.42% $151.66
$481,319,055
-1.11% (-48,960)
-0.01%
TAP
1.12%
11,463,117
$47.99
13.52% $54.48
$550,115,020
+0.17% (+19,341)
+0.00%
STT
1.22%
15,597,100
$60.81
25.79% $76.49
$948,459,651
+0.20% (+30,500)
+0.00%
SNY
2.61%
53,417,728
$38.02
32.46% $50.36
$2,030,942,018
-1.05% (-567,800)
-0.03%
SLB
0.77%
16,769,545
$35.90
29.47% $46.48
$602,026,665
+0.19% (+32,000)
+0.00%
SCHW
4.91%
30,313,227
$71.87
4.73% $75.27
$2,178,611,624
+4.07% (+1,184,175)
+0.19%
RTX
2.46%
23,390,600
$81.86
29.87% $106.31
$1,914,754,516
-1.33% (-314,200)
-0.03%
RHHBY
0.63%
7,040,123
$40.62
22.03% $31.67
$285,969,812
-11.77% (-939,568)
-0.08%
REGN
1.26%
1,424,285
$688.87
42.81% $983.80
$981,147,207
+6.17% (+82,800)
+0.07%
QRTEA
0.09%
19,947,308
$2.01
66.67% $0.67
$40,094,089
+0.17% (+33,000)
+0.00%
PYPL
0.59%
5,336,500
$86.07
27.74% $62.19
$459,312,555
+0.20% (+10,500)
+0.00%
OXY
4.78%
37,240,541
$61.45
1.97% $62.66
$2,288,431,274
-0.76% (-283,822)
-0.04%
20 of 78

Completely sold out

GSK
20,961,478
-2.87%
IIVI
7,676,800
-0.50%

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.