StockScan > Holders > Dodge & Cox

Dodge & Cox's Portfolio and 13F Filing

Value: $162.52B
Website:
CIK: 0000200217
Phone: (415) 981-1710
Address: 555 California Street, San Francisco, CA (94104)
Latest 13F Filing: 2020-10-01
Dodge & Cox's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Occidental Petroleum Corporatio OXY $66.80 N/A 123,677,174 $8,261,635,223 5.08%
2 FedEx Corporation FDX $267.14 N/A 27,170,321 $7,258,143,700 4.47%
3 Microsoft Corporation MSFT $401.68 N/A 17,842,059 $7,166,798,259 4.41%
4 Charles Schwab Corporation (The SCHW $73.64 N/A 95,762,812 $7,051,973,476 4.34%
5 Capital One Financial Corporati COF $144.92 N/A 47,473,473 $6,879,855,707 4.23%
6 Wells Fargo & Company WFC $60.77 N/A 103,357,551 $6,280,521,587 3.86%
7 Johnson Controls International JCI $64.26 N/A 92,532,992 $5,946,170,066 3.66%
8 HP Inc. HPQ $27.86 N/A 182,894,106 $5,094,515,323 3.13%
9 Booking Holdings Inc. BKNG $3,440.49 N/A 1,474,134 $5,071,735,915 3.12%
10 Bank of America Corporation BAC $37.11 N/A 133,057,906 $4,937,113,602 3.04%
11 Goldman Sachs Group, Inc. (The) GS $405.57 N/A 11,899,230 $4,825,970,711 2.97%
12 MetLife, Inc. MET $71.09 N/A 66,337,971 $4,715,966,358 2.90%
13 TE Connectivity Ltd. New Switze TEL $141.09 N/A 33,004,208 $4,656,563,707 2.87%
14 Schlumberger N.V. SLB $49.61 N/A 89,066,920 $4,418,618,808 2.72%
15 Dell Technologies Inc. DELL $117.06 N/A 36,029,549 $4,217,619,006 2.60%
16 American Express Company AXP $227.60 N/A 16,513,001 $3,758,367,284 2.31%
17 UnitedHealth Group Incorporated UNH $503.43 N/A 6,675,828 $3,360,812,090 2.07%
18 Comcast Corporation CMCSA $39.80 N/A 83,660,688 $3,329,695,382 2.05%
19 Hess Corporation HES $153.93 N/A 20,254,120 $3,117,716,692 1.92%
20 Bank of New York Mellon Corpora BK $56.26 N/A 54,145,024 $3,046,199,050 1.87%