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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

DODGE & COX INSTITUTION : DODGE & COX (DODGE & COX )
DODGE & COX Buys/Sells In Portfolio (reported on 2020-05-14)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Lincoln National Corp    (COM)LNC1,132,8320
New Buy
New Buy
Cogent Communications Holdings    (CCOI2,9900
New Buy
New Buy
iShares iBoxx $ Investment Gra    (LQD2,431,4800
New Buy
New Buy
Micro Focus International PLC    (S35,502,9193,846
Added35,499,073
923012.81%
VMware Inc    (CL A COM)VMW451,69415,500
Added436,194
2814.15%
State Street Corp    (COM)STT16,985,0601,212,795
Added15,772,265
1300.48%
Ovintiv Inc    (COM)38,017,7978,072,408
Added29,945,389
370.95%
Concho Resources Inc    (COM)CXO17,243,98810,562,515
Added6,681,473
63.25%
Dell Technologies Inc    (CL C)38,157,81924,139,365
Added14,018,454
58.07%
Schlumberger Ltd    (COM)SLB90,915,76057,985,098
Added32,930,662
56.79%
Cisco Systems Inc    (COM)CSCO31,807,87220,401,184
Added11,406,688
55.91%
Hess Corp    (COM)HES21,774,02014,755,034
Added7,018,986
47.57%
Cognizant Technology Solutions    (CTSH23,678,56517,113,758
Added6,564,807
38.35%
Occidental Petroleum Corp    (COM)OXY117,862,55688,236,727
Added29,625,829
33.57%
Suncor Energy Inc    (COM)SU50,513,85438,023,000
Added12,490,854
32.85%
Petroleo Brasileiro SA    (SP ADR NPBR.A2,265,9071,722,707
Added543,200
31.53%
HP Inc    (COM)HPQ154,328,296118,723,571
Added35,604,725
29.98%
Molson Coors Beverage Co    (CL B)TAP22,072,73317,119,668
Added4,953,065
28.93%
MetLife Inc    (COM)MET59,061,57546,452,543
Added12,609,032
27.14%
Baker Hughes Co    (CL A)93,727,91576,314,466
Added17,413,449
22.81%
Booking Holdings Inc    (COM)1,710,0691,425,005
Added285,064
20.00%
Bank of America Corp    (COM)BAC135,599,162113,787,247
Added21,811,915
19.16%
National Oilwell Varco Inc    (COM)NOV26,003,34222,776,867
Added3,226,475
14.16%
Microchip Technology Inc    (COM)MCHP28,351,39725,036,146
Added3,315,251
13.24%
United Technologies Corp    (COM)UTX19,038,17016,954,503
Added2,083,667
12.28%
Goldman Sachs Group Inc/The    (COMGS12,687,08811,476,881
Added1,210,207
10.54%
TE Connectivity Ltd    (REG SHS)TEL32,028,90429,033,403
Added2,995,501
10.31%
Alphabet Inc    (CAP STK CL A)GOOGL154,980142,205
Added12,775
8.98%
Itau Unibanco Holding SA    (SPON AITU10,145,0059,313,505
Added831,500
8.92%
Capital One Financial Corp    (COM)COF44,067,49640,491,327
Added3,576,169
8.83%
Halliburton Co    (COM)HAL48,884,92945,291,595
Added3,593,334
7.93%
DISH Network Corp    (CL A)DISH31,423,52829,281,228
Added2,142,300
7.31%
Wells Fargo & Co    (COM)WFC90,719,35284,622,418
Added6,096,934
7.20%
Alibaba Group Holding Ltd    (SPONSBABA3,126,1002,921,500
Added204,600
7.00%
Hewlett Packard Enterprise Co    (CHPE135,043,948126,581,925
Added8,462,023
6.68%
Incyte Corp    (COM)INCY3,992,6003,758,750
Added233,850
6.22%
Truist Financial Corp    (COM)27,705,27826,102,026
Added1,603,252
6.14%
Johnson Controls International    (90,408,91786,117,229
Added4,291,688
4.98%
Charles Schwab Corp/The    (COM)SCHW101,154,10396,385,839
Added4,768,264
4.94%
FedEx Corp    (COM)FDX26,924,01225,991,484
Added932,528
3.58%
Fox Corp    (CL B COM)6,187,5175,980,998
Added206,519
3.45%
Bank of New York Mellon Corp/T    (BK47,893,30446,398,022
Added1,495,282
3.22%
Juniper Networks Inc    (COM)JNPR50,280,32149,167,696
Added1,112,625
2.26%
UnitedHealth Group Inc    (COM)UNH8,442,3148,281,222
Added161,092
1.94%
Grupo Televisa SAB    (SPON ADR REPTV68,146,52066,852,520
Added1,294,000
1.93%
News Corp    (CL A)NWSA13,976,86213,714,762
Added262,100
1.91%
CVS Health Corp    (COM)CVS20,863,95620,495,571
Added368,385
1.79%
Fox Corp    (CL A COM)29,837,09829,349,604
Added487,494
1.66%
Medtronic PLC    (SHS)MDT5,593,3715,549,939
Added43,432
0.78%
Gap Inc/The    (COM)GPS28,659,92628,449,226
Added210,700
0.74%
Harley-Davidson Inc    (COM)HOG10,068,83110,012,436
Added56,395
0.56%
Brighthouse Financial Inc    (COM)BHF10,014,0139,994,135
Added19,878
0.19%
Aegon NV    (NY REGISTRY SHS)AEG114,406,917114,191,707
Added215,210
0.18%
Qurate Retail Inc    (COM SER A)62,730,38462,685,284
Added45,100
0.07%
UBS Group AG    (SHS)UBS145,287,527145,259,827
Added27,700
0.01%
Thermo Fisher Scientific Inc    (COTMO36,29036,355
Reduced65
0.17%
Caterpillar Inc    (COM)CAT43,10743,207
Reduced100
0.23%
Liberty Global PLC    (SHS CL C)LBTYK33,033,36833,144,168
Reduced110,800
0.33%
PayPal Holdings Inc    (COM)PYPL43,67143,921
Reduced250
0.56%
Apache Corp    (COM)APA54,741,65755,089,363
Reduced347,706
0.63%
NextEra Energy Inc    (COM)NEE7,0927,142
Reduced50
0.70%
Johnson & Johnson    (COM)JNJ26,74026,940
Reduced200
0.74%
Air Products & Chemicals Inc    (COAPD3,2753,300
Reduced25
0.75%
ConocoPhillips    (COM)COP22,24522,445
Reduced200
0.89%
Philip Morris International In    (PM18,71318,913
Reduced200
1.05%
Berkshire Hathaway Inc    (CL B NEWBRK/B12,82012,970
Reduced150
1.15%
Travelers Cos Inc/The    (COM)TRV143,431146,081
Reduced2,650
1.81%
Exxon Mobil Corp    (COM)XOM120,059122,349
Reduced2,290
1.87%
Comcast Corp    (CL A)CMCSA82,760,64184,596,475
Reduced1,835,834
2.17%
Kimberly-Clark Corp    (COM)KMB3,7683,860
Reduced92
2.38%
Amgen Inc    (COM)AMGN20,79721,372
Reduced575
2.69%
eBay Inc    (COM)EBAY51,73153,231
Reduced1,500
2.81%
Alnylam Pharmaceuticals Inc    (COMALNY5,093,3465,251,321
Reduced157,975
3.00%
US Bancorp    (COM NEW)USB91,22194,421
Reduced3,200
3.38%
Maxim Integrated Products Inc    (CMXIM8,530,5428,838,593
Reduced308,051
3.48%
AbbVie Inc    (COM)ABBV16,40217,002
Reduced600
3.52%
Target Corp    (COM)TGT186,207193,207
Reduced7,000
3.62%
JPMorgan Chase & Co    (COM)JPM13,515,62514,065,693
Reduced550,068
3.91%
Celanese Corp    (COM)CE10,095,39410,510,285
Reduced414,891
3.94%
Diageo PLC    (SPON ADR NEW)DEO16,81117,511
Reduced700
3.99%
Abbott Laboratories    (COM)ABT24,14625,222
Reduced1,076
4.26%
Alphabet Inc    (CAP STK CL C)GOOG2,945,7043,081,243
Reduced135,539
4.39%
Union Pacific Corp    (COM)UNP360,412378,768
Reduced18,356
4.84%
3M Co    (COM)MMM15,57116,371
Reduced800
4.88%
American Express Co    (COM)AXP13,448,06314,143,501
Reduced695,438
4.91%
Royal Dutch Shell PLC    (SPONS ADRRDS.A122,758129,268
Reduced6,510
5.03%
GlaxoSmithKline PLC    (SPONSORED AGSK44,035,69046,388,219
Reduced2,352,529
5.07%
Walmart Inc    (COM)WMT126,012133,252
Reduced7,240
5.43%
Citrix Systems Inc    (COM)CTXS5,2005,500
Reduced300
5.45%
Boston Scientific Corp    (COM)BSX164,840174,440
Reduced9,600
5.50%
Cadence Design Systems Inc    (COM)CDNS399,541423,506
Reduced23,965
5.65%
Vulcan Materials Co    (COM)VMC41,80044,500
Reduced2,700
6.06%
Procter & Gamble Co/The    (COM)PG121,904130,254
Reduced8,350
6.41%
Genuine Parts Co    (COM)GPC17,06218,262
Reduced1,200
6.57%
Chevron Corp    (COM)CVX313,467336,560
Reduced23,093
6.86%
Adobe Inc    (COM)ADBE37,87040,695
Reduced2,825
6.94%
DuPont de Nemours Inc    (COM)56,19460,611
Reduced4,417
7.28%
Walt Disney Co/The    (COM DISNEY)DIS635,291689,388
Reduced54,097
7.84%
Ameriprise Financial Inc    (COM)AMP2,7022,942
Reduced240
8.15%
Liberty Global PLC    (SHS CL A)LBTYA15,939,77317,460,903
Reduced1,521,130
8.71%
Novartis AG    (SPONSORED ADR)NVS22,941,44025,205,581
Reduced2,264,141
8.98%
Synopsys Inc    (COM)SNPS15,25016,850
Reduced1,600
9.49%
BioMarin Pharmaceutical Inc    (COMBMRN3,942,5084,389,515
Reduced447,007
10.18%
Sprint Corp    (COM)89,227,648100,113,384
Reduced10,885,736
10.87%
Motorola Solutions Inc    (COM NEW)MSI9,08210,282
Reduced1,200
11.67%
Cigna Corp    (COM)15,025,10717,203,620
Reduced2,178,513
12.66%
Home Depot Inc/The    (COM)HD45,67252,373
Reduced6,701
12.79%
Gilead Sciences Inc    (COM)GILD15,110,96117,452,273
Reduced2,341,312
13.41%
Cemex SAB de CV    (SPON ADR NEW)CX105,997,890122,592,090
Reduced16,594,200
13.53%
IBM    (COM)IBM58,70267,895
Reduced9,193
13.54%
Phillips 66    (COM)PSX4,2005,105
Reduced905
17.72%
Credit Suisse Group AG    (SPONSORECS261,771318,761
Reduced56,990
17.87%
Sanofi    (SPONSORED ADR)SNY48,263,19259,054,293
Reduced10,791,101
18.27%
Linde PLC    (SHS)3,558,2594,374,194
Reduced815,935
18.65%
Pfizer Inc    (COM)PFE308,270388,502
Reduced80,232
20.65%
Corteva Inc    (COM)39,90950,343
Reduced10,434
20.72%
Microsoft Corp    (COM)MSFT20,027,14025,589,923
Reduced5,562,783
21.73%
AstraZeneca PLC    (SPONSORED ADR)AZN29,883,03838,474,930
Reduced8,591,892
22.33%
Merck & Co Inc    (COM)MRK516,958689,396
Reduced172,438
25.01%
AT&T Inc    (COM)T177,366239,397
Reduced62,031
25.91%
Dow Inc    (COM)45,28462,353
Reduced17,069
27.37%
NetApp Inc    (COM)NTAP64,95089,600
Reduced24,650
27.51%
Bristol-Myers Squibb Co    (COM)BMY36,277,07450,268,777
Reduced13,991,703
27.83%
CarMax Inc    (COM)KMX9,50013,400
Reduced3,900
29.10%
Ericsson    (ADR B SEK 10)ERIC343,917492,517
Reduced148,600
30.17%
Charter Communications Inc    (CL ACHTR5,816,3638,490,342
Reduced2,673,979
31.49%
Chubb Ltd    (COM)CB2,5403,722
Reduced1,182
31.75%
Corning Inc    (COM)GLW230,302351,200
Reduced120,898
34.42%
Baidu Inc    (SPON ADR REP A)BIDU6,530,52110,051,987
Reduced3,521,466
35.03%
General Electric Co    (COM)GE437,383689,894
Reduced252,511
36.60%
JD.com Inc    (SPON ADR CL A)JD12,916,87720,885,477
Reduced7,968,600
38.15%
Mattel Inc    (COM)MAT23,472,36538,932,308
Reduced15,459,943
39.70%
DXC Technology Co    (COM)36,56160,672
Reduced24,111
39.73%
Ball Corp    (COM)BLL6,37012,570
Reduced6,200
49.32%
America Movil SAB de CV    (SPON ADAMX128,200255,400
Reduced127,200
49.80%
Nucor Corp    (COM)NUE18,09938,100
Reduced20,001
52.49%
Nutrien Ltd    (COM)9,856,35934,674,948
Reduced24,818,589
71.57%
Alcon Inc    (ORD SHS)4,85733,545
Reduced28,688
85.52%
Eli Lilly & Co    (COM)LLY291,5078,088,058
Reduced7,796,551
96.39%
iShares Core MSCI Emerging Mar    (IEMG018,900
Sold Out
Sold Out
Koninklijke Philips NV    (NY REG SPHG021,700
Sold Out
Sold Out
Lowe's Cos Inc    (COM)LOW01,800
Sold Out
Sold Out
Boeing Co/The    (COM)BA0974
Sold Out
Sold Out
Encana Corp    (COM)ECA0142,186,287
Sold Out
Sold Out
PPG Industries Inc    (COM)PPG08,000
Sold Out
Sold Out
American Tower Corp    (COM)AMT01,825
Sold Out
Sold Out
Zayo Group Holdings Inc    (COM)ZAYO0300,225
Sold Out
Sold Out
Stryker Corp    (COM)SYK0960
Sold Out
Sold Out
Morgan Stanley    (COM NEW)MS04,000
Sold Out
Sold Out
* Portfolios do not reflect changes after reporting
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