V. D. Dodge, E. M. Cox - Dodge & Cox Stock Fund Portfolio Holdings (Jun 30, 2025)


As of Jun 30, 2025, the Dodge & Cox Stock Fund portfolio holdings is valued at approximately $177.97B, featuring 219 publicly traded holdings. This in-depth profile highlights the top investments led by The Charles Schwab Corp. (SCHW), Johnson Controls International PLC (JCI), RTX Corp. (RTX), Fiserv, Inc. (FI), CVS Health Corp. (CVS), and others based on the company's latest SEC filings reported on Aug 13, 2025. Explore insights into portfolio composition, sector allocation, and recent trade activity.


Dodge & Cox Stock Fund’s stock portfolio spans 219 holdings across 12 different sectors, with a total market value of $177.97B. The Healthcare sector represents the largest allocation, while the top holdings account for nearly 17% of the total portfolio value. The Charles Schwab Corp. remains single largest position at 4.3% of all equity investments.

Trends by sector

Investment Adjustments from Previous Filing

Dodge & Cox Stock Fund Holdings

SymbolPortfolio %Total Value
SCHW
The Charles Schwab Corp.
4.32%$7,696,813,467
JCI
Johnson Controls International PLC
3.97%$7,068,382,651
RTX
RTX Corp.
3.43%$6,096,909,443
FI
Fiserv, Inc.
2.88%$5,123,945,202
CVS
CVS Health Corp.
2.84%$5,055,459,079
CHTR
Charter Communications, Inc.
2.56%$4,548,618,742
MET
MetLife, Inc.
2.40%$4,276,886,870
BKNG
Booking Holdings, Inc.
2.38%$4,228,883,511
WFC
Wells Fargo & Co.
2.28%$4,065,758,401
MSFT
Microsoft Corp.
2.28%$4,050,041,547
CMCSA
Comcast Corp.
2.23%$3,971,309,101
AMZN
Amazon.com, Inc.
2.05%$3,640,151,789
SNY
Sanofi SA
1.95%$3,464,711,798
BK
The Bank of New York Mellon Corp.
1.93%$3,427,501,165
GILD
Gilead Sciences, Inc.
1.92%$3,416,827,360
OXY
Occidental Petroleum Corp.
1.89%$3,371,486,168
FDX
FedEx Corp.
1.85%$3,292,015,628
META
Meta Platforms, Inc.
1.73%$3,072,855,407
GSK
GSK PLC
1.70%$3,024,302,170
CI
The Cigna Group
1.66%$2,958,892,667
TEL
TE Connectivity PLC
1.61%$2,874,103,572
FIS
Fidelity National Information Services, Inc.
1.61%$2,871,696,801
NSC
Norfolk Southern Corp.
1.56%$2,779,609,202
HUM
Humana, Inc.
1.56%$2,775,561,882
COF
Capital One Financial Corp.
1.54%$2,735,339,579
UNH
UnitedHealth Group, Inc.
1.53%$2,729,912,203
BUD
Anheuser-Busch InBev SA/NV
1.49%$2,644,176,686
IFF
International Flavors & Fragrances, Inc.
1.45%$2,577,735,314
GOOG
Alphabet, Inc.
1.41%$2,515,287,846
APD
Air Products & Chemicals, Inc.
1.40%$2,488,164,084
GS
The Goldman Sachs Group, Inc.
1.31%$2,340,227,749
GE
GE Aerospace
1.31%$2,333,449,093
SBAC
SBA Communications Corp.
1.14%$2,021,618,731
ZBH
Zimmer Biomet Holdings, Inc.
1.13%$2,015,509,600
REGN
Regeneron Pharmaceuticals, Inc.
1.13%$2,008,798,575
GOOGL
Alphabet, Inc.
1.12%$1,987,031,668
SUI
Sun Communities, Inc.
1.01%$1,796,001,152
GEHC
GE HealthCare Technologies, Inc.
0.98%$1,745,678,057
FTV
Fortive Corp.
0.97%$1,729,340,029
BKR
Baker Hughes Co.
0.96%$1,709,305,050
HLN
Haleon PLC
0.91%$1,612,244,630
AVTR
Avantor, Inc.
0.89%$1,580,654,695
BAX
Baxter International, Inc.
0.89%$1,578,242,654
UBS
UBS Group AG
0.87%$1,544,315,494
CPNG
Coupang, Inc.
0.78%$1,396,571,019
D
Dominion Energy, Inc.
0.73%$1,295,735,017
NVS
Novartis AG
0.72%$1,288,469,585
CTSH
Cognizant Technology Solutions Corp.
0.71%$1,269,337,575
BABA
Alibaba Group Holding, Ltd.
0.70%$1,243,457,861
ELAN
Elanco Animal Health, Inc.
0.67%$1,183,743,913
BAP
Credicorp, Ltd.
0.65%$1,150,542,378
ALNY
Alnylam Pharmaceuticals, Inc.
0.59%$1,042,541,035
SU
Suncor Energy, Inc.
0.58%$1,026,191,942
LPLA
LPL Financial Holdings, Inc.
0.57%$1,013,059,824
COP
ConocoPhillips
0.57%$1,008,269,552
INCY
Incyte Corp.
0.56%$993,931,826
AEP
American Electric Power Co., Inc.
0.56%$993,232,535
LYB
LyondellBasell Industries NV
0.55%$981,884,026
TMUS
T-Mobile U.S., Inc.
0.55%$976,932,475
CARR
Carrier Global Corp.
0.53%$935,079,026
Page 1 of 4219 total holdings