Dodge & Cox Stock Fund Holdings Activity

Dodge & Cox Stock Fund Portfolio 13F

Dodge & Cox Stock Fund has disclosed a total of 61 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 14, bought 4 totally new, decreased the number of shares of 41 and completely sold out 2 position(s).

What stocks is Dodge & Cox Stock Fund buying now?

In the recent quarter Dodge & Cox Stock Fund has bought 18 securities out of which top 5 purchases (by % change to portfolio) are (SUNB) SUNBELT RENTALS HOLDINGS INC (new buy), (MSFT) MICROSOFT CORP (added shares +66.74%), (AJG) ARTHUR J GALLAGHER & CO (added shares +981.89%), (ROP) ROPER TECHNOLOGIES INC (new buy) and (CARR) CARRIER GLOBAL CORP (added shares +105.14%).

What does Dodge & Cox Stock Fund invest in?

Dodge & Cox Stock Fund's top 5 holdings (by % of portfolio) are (SCHW) SCHWAB (CHARLES) CORP (4.25%), (RTX) RAYTHEON TECHNOLOGIES CORP (4.1%), (JCI) JOHNSON CONTROLS INTERNATION (3.25%), (OXY) OCCIDENTAL PETROLEUM CORP (2.9%) and (TSMWF) TAIWAN SEMICONDUCTOR MANUFAC (2.52%).

In the latest report(s) the following changes have been made to the top investments: (SCHW) SCHWAB (CHARLES) CORP (reduced shares -1.66%), (RTX) RAYTHEON TECHNOLOGIES CORP (reduced shares -4.3%), (JCI) JOHNSON CONTROLS INTERNATION (reduced shares -5.02%), (OXY) OCCIDENTAL PETROLEUM CORP (reduced shares -7.42%) and (TSMWF) TAIWAN SEMICONDUCTOR MANUFAC (reduced shares -1.54%).

2023 Q1 (31 results)
GEHCV
buy
+9,846,866
+0.92%
$82.03
-
0.92%
D
buy
+9,771,900
+0.62%
$55.91
19.66% $66.90
0.62%
MDT
+64.70%
+1,977,300
+0.18%
$80.62
-
0.46%
GOOGL
+41.24%
+2,850,100
+0.34%
$103.73
255.28% $368.53
1.16%
AMZN
+20.51%
+1,936,700
+0.23%
$103.29
138.19% $246.03
1.34%
HLN
+19.47%
+12,443,236
+0.12%
$8.14
-
0.71%
BAC
+11.73%
+3,033,400
+0.10%
$28.60
88.22% $53.83
0.94%
TFC
+11.04%
+1,414,400
+0.06%
$34.10
44.28% $49.20
0.55%
BKR
+9.71%
+2,015,100
+0.07%
$28.86
116.87% $62.59
0.75%
GSK
+9.10%
+4,138,800
+0.17%
$35.58
-
2.01%
REGN
+8.30%
+118,200
+0.11%
$821.67
22.66% $635.45
1.45%
CHTR
+5.31%
+266,990
+0.11%
$357.61
63.05% $132.12
2.16%
TAP
+4.78%
+869,600
+0.05%
$51.68
24.42% $39.06
1.12%
WFC
+3.15%
+2,494,300
+0.11%
$37.38
119.21% $81.94
3.49%
FIS
+2.84%
+497,600
+0.03%
$54.33
24.63% $40.95
1.12%
SCHW
+1.62%
+835,400
+0.05%
$52.38
69.61% $88.84
3.14%
MET
+0.77%
+287,937
+0.02%
$57.94
45.82% $84.49
2.49%
SNY
-1.36%
-815,700
-0.05%
$54.42
-
3.67%
VMW
-1.37%
-230,400
-0.03%
$124.85
-
2.36%
TMUS
-2.58%
-191,800
-0.03%
$144.84
22.96% $178.10
1.20%
GILD
-2.77%
-697,000
-0.07%
$82.97
55.67% $129.16
2.32%
GS
-4.12%
-172,920
-0.06%
$327.11
217.53% $1,038.68
1.50%
GE
-4.50%
-1,081,316
-0.12%
$95.60
-
2.51%
CARR
-5.36%
-600,300
-0.03%
$45.75
46.80% $67.16
0.55%
ALNY
-18.29%
-541,777
-0.12%
$200.32
51.28% $303.05
0.55%
META
-38.34%
-2,854,400
-0.69%
$211.94
179.80% $593.00
1.11%
PYPL
-100.00%
-5,336,500
-0.43%
$71.22
42.02% $41.29
0.00%
AXP
-100.00%
-2,826,014
-0.48%
$147.75
110.26% $310.66
0.00%
QRTEA
-100.00%
-33,211,534
-0.06%
$1.63
-
0.00%
LVS
-100.00%
-130,958
-0.01%
$48.07
4.54% $50.25
0.00%
MFGP
-100.00%
-22,784,028
-0.16%
$6.31
-
0.00%
31 of 1,394

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.