DODGE & COX - Q3 2020 holdings

$109 Billion is the total value of DODGE & COX's 183 reported holdings in Q3 2020. The portfolio turnover from Q2 2020 to Q3 2020 was 10.5% .

 Value Shares↓ Weighting
FDX SellFedEx Corp$4,417,879,000
+16.0%
17,564,724
-35.4%
4.04%
+15.4%
CMCSA SellComcast Corpcl a$3,864,734,000
+18.5%
83,543,744
-0.1%
3.54%
+17.9%
GOOG SellAlphabet Inccap stk cl c$3,764,962,000
+1.5%
2,561,896
-2.4%
3.44%
+1.0%
JCI SellJohnson Controls International$3,618,533,000
+14.5%
88,580,977
-4.3%
3.31%
+14.0%
SCHW SellCharles Schwab Corp/The$3,465,851,000
+7.3%
95,662,469
-0.1%
3.17%
+6.7%
CHTR SellCharter Communications Inccl a$3,240,027,000
+20.4%
5,189,523
-1.6%
2.96%
+19.8%
MSFT SellMicrosoft Corp$3,220,349,000
-11.3%
15,310,935
-14.2%
2.95%
-11.7%
HPQ SellHP Inc$3,177,467,000
-0.3%
167,323,195
-8.5%
2.91%
-0.8%
BAC SellBank of America Corp$3,108,088,000
-1.6%
129,019,837
-3.0%
2.84%
-2.1%
TEL SellTE Connectivity Ltd$2,989,231,000
+11.1%
30,583,492
-7.3%
2.74%
+10.5%
DELL SellDell Technologies Inccl c$2,351,334,000
+18.8%
34,736,806
-3.6%
2.15%
+18.2%
MCHP SellMicrochip Technology Inc$2,132,467,000
-19.0%
20,751,913
-17.0%
1.95%
-19.4%
BKNG SellBooking Holdings Inc$2,121,960,000
-9.6%
1,240,419
-15.9%
1.94%
-10.1%
UNH SellUnitedHealth Group Inc$2,042,862,000
+3.7%
6,552,465
-1.8%
1.87%
+3.2%
SNY SellSanofisponsored adr$1,975,340,000
-2.4%
39,372,933
-0.7%
1.81%
-2.8%
GS SellGoldman Sachs Group Inc/The$1,920,959,000
-18.3%
9,558,435
-19.7%
1.76%
-18.7%
BMY SellBristol-Myers Squibb Co$1,639,887,000
-2.3%
27,199,986
-4.7%
1.50%
-2.8%
AXP SellAmerican Express Co$1,639,353,000
+4.3%
16,352,645
-1.0%
1.50%
+3.7%
CTSH SellCognizant Technology Solutionscl a$1,628,068,000
+20.8%
23,452,431
-1.1%
1.49%
+20.3%
SLB SellSchlumberger NV$1,274,757,000
-22.2%
81,925,245
-8.0%
1.17%
-22.5%
JPM SellJPMorgan Chase & Co$1,216,391,000
+2.0%
12,635,202
-0.3%
1.11%
+1.5%
OXY SellOCCIDENTAL PETROLEUM CORP$1,214,303,000
-46.3%
121,309,016
-1.9%
1.11%
-46.6%
UBS SellUBS Group AG$1,181,564,000
-20.0%
105,658,242
-17.8%
1.08%
-20.4%
CE SellCelanese Corp$1,149,935,000
+22.0%
10,702,048
-2.0%
1.05%
+21.3%
BKR SellBaker Hughes Cocl a$1,091,854,000
-21.5%
82,156,031
-9.0%
1.00%
-21.8%
CARR SellCarrier Global Corp$1,082,282,000
+34.4%
35,438,170
-2.2%
0.99%
+33.6%
FB SellFacebook Inccl a$1,077,206,000
+4.1%
4,113,045
-9.7%
0.99%
+3.7%
JNPR SellJuniper Networks Inc$1,028,944,000
-6.5%
47,857,869
-0.6%
0.94%
-6.9%
CVS SellCVS Health Corp$927,558,000
-10.8%
15,882,844
-0.7%
0.85%
-11.2%
DISH SellDISH Network Corpcl a$856,715,000
-21.0%
29,511,377
-6.1%
0.78%
-21.4%
AZN SellAstraZeneca PLCsponsored adr$812,210,000
-18.2%
14,821,346
-21.1%
0.74%
-18.6%
HES SellHess Corp$749,464,000
-28.6%
18,310,880
-9.6%
0.69%
-28.9%
ALNY SellAlnylam Pharmaceuticals Inc$681,060,000
-2.2%
4,677,613
-0.6%
0.62%
-2.8%
BIDU SellBaidu Incspon adr rep a$598,634,000
-26.6%
4,728,921
-30.5%
0.55%
-26.9%
MDT SellMedtronic PLC$596,027,000
+11.5%
5,735,437
-1.6%
0.54%
+11.0%
OTIS SellOtis Worldwide Corp$550,431,000
+1.6%
8,818,184
-7.4%
0.50%
+1.2%
JD SellJD.com Incspon adr cl a$517,207,000
-4.4%
6,664,177
-25.8%
0.47%
-4.8%
APA SellApache Corp$495,340,000
-32.4%
52,306,246
-3.6%
0.45%
-32.8%
GPS SellGap Inc/The$455,239,000
+26.5%
26,731,582
-6.3%
0.42%
+26.0%
QRTEA SellQURATE RETAIL INC$440,221,000
-25.8%
61,312,174
-1.8%
0.40%
-26.2%
TV SellGrupo Televisa SABspon adr rep ord$417,506,000
+17.4%
67,557,620
-0.5%
0.38%
+16.8%
LBTYK SellLiberty Global PLC$402,253,000
-33.6%
19,588,661
-30.4%
0.37%
-33.9%
HAL SellHalliburton Co$378,034,000
-40.4%
31,372,145
-35.8%
0.35%
-40.7%
LIN SellLinde PLC$358,246,000
-41.0%
1,513,390
-47.6%
0.33%
-41.3%
CX SellCemex SAB de CVspon adr new$338,898,000
+11.3%
89,183,590
-15.6%
0.31%
+10.7%
TMUS SellT-Mobile US Inc$329,132,000
-14.0%
2,878,033
-21.7%
0.30%
-14.5%
OVV SellOvintiv Inc$295,900,000
-18.0%
36,262,297
-4.0%
0.27%
-18.4%
INCY SellIncyte Corp$295,149,000
-22.7%
3,288,931
-10.5%
0.27%
-23.1%
BHF SellBrighthouse Financial Inc$268,910,000
-3.4%
9,992,922
-0.1%
0.25%
-3.9%
NOV SellNational Oilwell Varco Inc$209,595,000
-31.2%
23,134,115
-7.0%
0.19%
-31.4%
GOOGL SellAlphabet Inccap stk cl a$196,896,000
-8.5%
134,345
-11.4%
0.18%
-9.1%
LBTYA SellLiberty Global PLC$184,740,000
-4.2%
8,792,951
-0.3%
0.17%
-4.5%
MAT SellMattel Inc$147,841,000
-34.5%
12,636,021
-45.9%
0.14%
-35.1%
TECK SellTeck Resources Ltdcl b$126,259,000
+22.6%
9,070,340
-8.2%
0.12%
+22.1%
DIS SellWalt Disney Co/The$69,921,000
+5.4%
563,516
-5.3%
0.06%
+4.9%
UNP SellUnion Pacific Corp$67,942,000
+13.1%
345,109
-2.9%
0.06%
+12.7%
CDNS SellCadence Design Systems Inc$38,713,000
+6.1%
363,058
-4.5%
0.04%
+2.9%
TGT SellTarget Corp$27,626,000
+25.9%
175,494
-4.1%
0.02%
+25.0%
MRK SellMerck & Co Inc$25,526,000
-4.6%
307,729
-11.1%
0.02%
-8.0%
CVX SellChevron Corp$21,682,000
-20.9%
301,144
-2.0%
0.02%
-20.0%
LLY SellEli Lilly and Co$18,561,000
-33.7%
125,393
-26.5%
0.02%
-34.6%
WMT SellWalmart Inc$16,911,000
+14.3%
120,870
-2.2%
0.02%
+7.1%
ADBE SellAdobe Inc$16,623,000
+7.9%
33,894
-4.3%
0.02%
+7.1%
PG SellProcter & Gamble Co/The$16,662,000
+15.1%
119,882
-1.0%
0.02%
+15.4%
TRV SellTravelers Cos Inc/The$14,778,000
-7.5%
136,591
-2.5%
0.01%
-6.7%
TMO SellThermo Fisher Scientific Inc$15,511,000
+19.0%
35,130
-2.3%
0.01%
+16.7%
HD SellHome Depot Inc/The$11,042,000
-2.8%
39,762
-12.3%
0.01%0.0%
PFE SellPfizer Inc$7,885,000
-0.2%
214,844
-11.1%
0.01%0.0%
PYPL SellPayPal Holdings Inc$7,615,000
+9.1%
38,650
-3.5%
0.01%
+16.7%
MXIM SellMaxim Integrated Products Inc$6,737,000
+2.0%
99,650
-8.6%
0.01%0.0%
IBM SellIBM$6,659,000
-4.2%
54,731
-4.9%
0.01%0.0%
CAT SellCaterpillar Inc$6,182,000
+17.6%
41,451
-0.3%
0.01%
+20.0%
BSX SellBoston Scientific Corp$5,273,000
+5.0%
137,990
-3.6%
0.01%0.0%
GLW SellCorning Inc$5,887,000
+15.5%
181,652
-7.7%
0.01%0.0%
VMC SellVulcan Materials Co$5,313,000
+16.4%
39,200
-0.5%
0.01%
+25.0%
AMGN SellAmgen Inc$4,818,000
+1.4%
18,957
-5.9%
0.00%0.0%
DHR SellDanaher Corp$4,725,000
+14.9%
21,942
-5.7%
0.00%0.0%
XOM SellExxon Mobil Corp$3,948,000
-25.6%
115,001
-3.0%
0.00%
-20.0%
JNJ SellJohnson & Johnson$3,915,000
+5.5%
26,295
-0.3%
0.00%
+33.3%
T SellAT&T Inc$3,212,000
-11.7%
112,646
-6.4%
0.00%0.0%
DE SellDeere & Co$3,663,000
+39.2%
16,529
-1.3%
0.00%
+50.0%
MCD SellMcDonald's Corp$3,013,000
+18.6%
13,725
-0.3%
0.00%
+50.0%
SNPS SellSynopsys Inc$3,280,000
+9.0%
15,330
-0.6%
0.00%0.0%
USB SellUS Bancorp$3,237,000
-2.9%
90,300
-0.2%
0.00%0.0%
ERIC SellEricssonadr b sek 10$2,569,000
+1.6%
235,950
-13.2%
0.00%0.0%
CS SellCredit Suisse Group AGsponsored adr$2,232,000
-14.3%
223,868
-11.4%
0.00%0.0%
EBAY SelleBay Inc$2,536,000
-2.8%
48,681
-2.1%
0.00%0.0%
DOW SellDow Inc$1,793,000
+7.5%
38,117
-6.9%
0.00%0.0%
RDSA SellRoyal Dutch Shell PLCspons adr a$2,510,000
-35.1%
99,714
-15.8%
0.00%
-50.0%
DD SellDuPont de Nemours Inc$2,663,000
-3.6%
47,998
-7.7%
0.00%
-33.3%
ABT SellAbbott Laboratories$2,515,000
+13.4%
23,114
-4.7%
0.00%0.0%
AMZN SellAmazon.com Inc$2,371,000
+6.1%
753
-7.0%
0.00%0.0%
GE SellGeneral Electric Co$2,302,000
-10.7%
369,483
-2.1%
0.00%0.0%
NEE SellNextEra Energy Inc$1,899,000
+14.5%
6,842
-0.9%
0.00%0.0%
NTAP SellNetApp Inc$1,771,000
-10.9%
40,400
-9.8%
0.00%0.0%
V SellVisa Inc$1,100,000
-7.2%
5,500
-10.4%
0.00%0.0%
GPC SellGenuine Parts Co$1,357,000
+1.0%
14,262
-7.7%
0.00%0.0%
PEP SellPepsiCo Inc$1,017,000
+3.5%
7,335
-1.3%
0.00%0.0%
CTVA SellCorteva Inc$1,032,000
-1.3%
35,806
-8.3%
0.00%0.0%
COP SellConocoPhillips$796,000
-29.1%
24,245
-9.3%
0.00%0.0%
KO SellCoca-Cola Co/The$1,404,000
+8.9%
28,440
-1.5%
0.00%0.0%
APD SellAir Products and Chemicals Inc$975,000
+18.6%
3,275
-3.8%
0.00%0.0%
ABBV SellAbbVie Inc$1,349,000
-12.9%
15,402
-2.3%
0.00%0.0%
MSI SellMotorola Solutions Inc$1,408,000
+10.2%
8,982
-1.5%
0.00%0.0%
FIS ExitFidelity National Information$0-2,225
-100.0%
0.00%
C ExitCitigroup Inc$0-6,055
-100.0%
0.00%
UL SellUnilever PLCspon adr new$278,000
+7.8%
4,500
-4.3%
0.00%
KMX SellCarMax Inc$372,000
-5.6%
4,050
-8.0%
0.00%
BLK SellBlackRock Inc$423,000
-23.4%
750
-26.1%
0.00%
-100.0%
VZ SellVerizon Communications Inc$327,000
-5.2%
5,500
-12.1%
0.00%
CRM Exitsalesforce.com Inc$0-1,225
-100.0%
0.00%
CCOI ExitCogent Communications Holdings$0-2,990
-100.0%
0.00%
CB ExitChubb Ltd$0-1,697
-100.0%
0.00%
ANTM SellAnthem Inc$295,000
-10.9%
1,100
-12.7%
0.00%
TXN ExitTexas Instruments Inc$0-2,945
-100.0%
0.00%
LMT SellLockheed Martin Corp$335,000
-2.3%
875
-6.9%
0.00%
IQV ExitIQVIA Holdings Inc$0-1,775
-100.0%
0.00%
NKE ExitNIKE INCcl b$0-2,680
-100.0%
0.00%
INTC ExitIntel Corp$0-4,625
-100.0%
0.00%
DXC SellDXC Technology Co$224,000
-53.6%
12,552
-57.1%
0.00%
BX ExitBlackstone Group Inc/The$0-4,420
-100.0%
0.00%
KMB ExitKimberly-Clark Corp$0-3,863
-100.0%
-0.00%
TMUSR ExitT-Mobile US, Inc., Rightsright 07/27/2020$0-3,254,282
-100.0%
-0.00%
LQD ExitiShares iBoxx $ Investment Graiboxx inv cp etf$0-1,446,276
-100.0%
-0.18%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2020-11-13
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
WELLS FARGO & COMPANY42Q3 20234.2%
CAPITAL ONE FINANCIAL CORP42Q3 20233.9%
The Charles Schwab Corp.42Q3 20234.4%
COMCAST CORP-CLASS A42Q3 20234.2%
MICROSOFT CORP42Q3 20233.7%
NOVARTIS AG-ADR42Q3 20234.6%
BANK OF AMERICA CORP42Q3 20233.7%
FEDEX CORP42Q3 20234.0%
SANOFI-ADR42Q3 20233.1%
Schlumberger NV42Q3 20234.5%

View DODGE & COX's complete holdings history.

Latest significant ownerships (13-D/G)
DODGE & COX Q3 2020 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
AEGON NVFebruary 14, 202373,113,0889.4%
AKZO NOBEL NVFebruary 14, 202314,621,7608.4%
Baker Hughes CoFebruary 14, 202331,006,8373.1%
Cigna GroupFebruary 14, 202311,548,5573.8%
COGNIZANT TECHNOLOGY SOLUTIONS CORPFebruary 14, 202320,343,7574.0%
Fox CorpFebruary 14, 202311,787,3944.9%
Hewlett Packard Enterprise CoFebruary 14, 202360,642,6684.7%
Itau Unibanco Holding S.A.February 14, 2023204,644,0444.5%
MICROCHIP TECHNOLOGY INCFebruary 14, 202323,368,6664.2%
MICRO FOCUS INTERNATIONAL PLCFebruary 14, 202324,094,41417.0%

View DODGE & COX's complete significant-ownership history.

Latest filings
TypeFiled
SC 13G/A2024-03-08
13F-HR/A2024-02-22
13F-HR2024-02-15
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13

View DODGE & COX's complete filings history.

Compare quarters

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