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 77 security holdings in their (2023 Q4) SEC 13F filing(s) with portfolio value of $97,209,531,239.

What stocks does Dodge & Cox Stock Fund own?

In Dodge & Cox Stock Fund's portfolio as of 31 Dec 2023, the top 5 holdings are (WFC) WELLS FARGO & CO (4.12%), (SCHW) SCHWAB (CHARLES) CORP (4.10%), (OXY) OCCIDENTAL PETROLEUM CORP (3.33%), (FISV) FISERV INC (3.18%) and (SNY) SANOFI-ADR (2.98%).

To see the historical data of Dodge & Cox Stock Fund's portfolio holdings please click on the "2023 Q4" dropdown menu and select the date.

To see Dodge & Cox Stock Fund's original 13F reports (2023 Q4), please click on the "important" button.

Portfolio value: $97B+
Period: 2023 Q4
Number of stock: 77
Update: 27 Feb 2024
META
1.07%
1,857,492
$353.96
36.04% $481.54
$657,477,868
COHR
0.47%
6,870,533
$43.53
31.13% $57.08
$299,074,345
FIS
1.51%
24,500,400
$60.07
28.98% $77.48
$1,471,739,028
+8.88% (+1,997,300)
+0.12%
GE
1.60%
7,118,397
$127.63
28.08% $163.47
$908,521,009
-22.88% (-2,111,616)
-0.47%
WFC
4.12%
74,882,241
$49.22
26.66% $62.34
$3,685,703,937
RTX
2.50%
28,320,138
$84.14
25.21% $105.35
$2,382,856,411
+26.16% (+5,872,454)
+0.52%
GOOGL
1.37%
9,567,200
$139.69
23.49% $172.51
$1,336,442,168
-1.20% (-116,300)
-0.02%
GOOG
2.64%
13,910,652
$140.93
23.38% $173.88
$1,960,428,312
-12.73% (-2,029,927)
-0.38%
GSK
1.91%
50,047,977
$37.06
23.31% $45.70
$1,854,778,027
AMZN
1.79%
11,480,600
$151.94
22.41% $185.99
$1,744,362,364
GS
1.58%
2,276,010
$385.77
20.82% $466.09
$878,016,377
IFF
0.44%
2,879,659
$80.97
19.19% $96.51
$233,166,038
buy
+0.44%
JCI
1.87%
28,561,815
$57.64
18.29% $68.18
$1,646,303,037
AEG
0.59%
99,029,539
$5.76
17.36% $6.76
$570,410,144
buy
+0.59%
JNPR
0.81%
26,720,265
$29.48
17.30% $34.58
$787,713,412
WMB
0.96%
26,837,757
$34.83
16.19% $40.47
$934,759,076
BAC
1.63%
34,625,262
$33.67
15.56% $38.91
$1,165,832,571
CI
2.84%
9,222,172
$299.45
14.64% $343.28
$2,761,579,405
CARR
0.63%
10,694,779
$57.45
14.53% $65.80
$614,415,053
ELAN
0.85%
55,396,500
$14.90
14.36% $17.04
$825,407,850
20 of 77

Completely sold out

AEG
99,029,539
-0.49%
VMW
7,331,819
-2.15%
DELL
8,726,648
-0.62%
LNC
1,920,218
-0.07%

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.