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%).

2021 Q2 (46 results)
TMUS
+482.40%
+5,446,500
+0.90%
$144.83
22.97% $178.10
1.09%
HMC
+274.01%
+19,649,218
+0.72%
$32.18
-
0.99%
INCY
+227.83%
+5,874,647
+0.56%
$84.13
21.69% $102.38
0.81%
GILD
+60.81%
+7,360,000
+0.58%
$68.86
87.57% $129.16
1.53%
FISV
+45.46%
+4,383,800
+0.54%
$106.89
49.08% $54.43
1.71%
CTSH
+42.13%
+5,484,800
+0.43%
$69.26
23.17% $53.21
1.46%
ALNY
+28.84%
+695,985
+0.13%
$169.52
78.77% $303.05
0.60%
BMRN
+26.41%
+1,770,142
+0.17%
$83.44
31.96% $56.77
0.81%
FOX
+23.27%
+1,630,868
+0.07%
$35.20
70.11% $59.88
0.35%
CSCO
+17.27%
+4,422,700
+0.27%
$53.00
129.51% $121.64
1.82%
FOXA
+15.74%
+4,140,400
+0.18%
$37.13
80.15% $66.89
1.29%
NVS
+13.25%
+1,862,593
+0.19%
$91.24
-
1.66%
RHHBY
+12.57%
+2,781,800
+0.15%
$46.99
-
1.34%
META
+12.07%
+264,200
+0.10%
$347.71
70.54% $593.00
0.97%
WMB
+9.52%
+4,307,472
+0.13%
$26.55
171.04% $71.96
1.50%
STT
+6.76%
+911,600
+0.09%
$82.28
96.58% $161.75
1.35%
VMW
+6.20%
+257,300
+0.05%
$159.97
-
0.81%
BK
+2.19%
+839,400
+0.05%
$51.23
181.12% $144.02
2.29%
SNY
+2.04%
+937,850
+0.06%
$52.66
-
2.81%
CHTR
+1.52%
+47,700
+0.04%
$721.45
81.69% $132.12
2.62%
RTX
+1.03%
+248,300
+0.02%
$85.31
112.16% $180.99
2.37%
GSK
+0.88%
+411,078
+0.02%
$49.78
-
2.67%
MCHP
-1.09%
-49,550
-0.02%
$299.48
70.50% $88.34
1.53%
CMCSA
-1.47%
-703,400
-0.05%
$57.02
58.23% $23.82
3.06%
MET
-1.60%
-660,000
-0.05%
$59.85
41.17% $84.49
2.77%
DELL
-1.82%
-410,600
-0.05%
$99.67
295.70% $394.39
2.52%
CI
-2.24%
-202,700
-0.05%
$237.07
22.11% $289.48
2.40%
FDX
-2.24%
-174,900
-0.06%
$298.33
10.95% $331.00
2.60%
JCI
-2.40%
-842,200
-0.07%
$68.63
109.31% $143.65
2.68%
HES
-3.26%
-267,300
-0.03%
$87.32
-
0.79%
HPQ
-3.45%
-2,648,300
-0.09%
$30.19
15.27% $25.58
2.56%
AXP
-3.72%
-322,700
-0.06%
$165.23
88.02% $310.66
1.58%
CE
-3.96%
-185,300
-0.03%
$151.60
66.34% $51.03
0.78%
UNH
-4.13%
-110,300
-0.05%
$400.44
0.24% $399.47
1.17%
BAC
-4.30%
-2,127,700
-0.10%
$41.23
30.56% $53.83
2.23%
NWSA
-5.50%
-485,700
-0.01%
$25.77
5.78% $27.26
0.25%
TEL
-5.86%
-543,500
-0.08%
$135.21
57.27% $212.65
1.35%
GS
-8.58%
-445,839
-0.19%
$379.53
173.68% $1,038.68
2.06%
LNC
-8.63%
-327,300
-0.02%
$62.84
44.72% $34.74
0.25%
COF
-12.92%
-3,268,100
-0.58%
$154.69
16.79% $180.67
3.89%
TFC
-14.19%
-1,476,100
-0.09%
$55.50
11.35% $49.20
0.57%
CARR
-16.07%
-2,481,000
-0.14%
$48.60
38.19% $67.16
0.72%
HPE
-24.37%
-23,579,285
-0.39%
$14.58
237.45% $49.20
1.22%
APA
-45.96%
-13,113,410
-0.32%
$21.63
69.07% $36.57
0.38%
HAL
-49.38%
-6,715,145
-0.18%
$23.12
69.46% $39.18
0.18%
JPM
-100.00%
-617,300
-0.11%
$152.23
105.20% $312.37
0.00%
46 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.