V. D. Dodge, E. M. Cox - Dodge & Cox Stock Fund Portfolio (Jun 30, 2025)
As of Jun 30, 2025, the Dodge & Cox Stock Fund oversees a portfolio valued at approximately $177.97B, featuring 219 publicly traded holdings. This in-depth profile highlights the top investments led by Microsoft (MSFT), Berkshire Hathaway (BRK-B), Waste Management (WM), and others—drawing on its latest SEC filings as of Aug 13, 2025. Explore insights into portfolio composition, allocation strategies, and recent trade activity.
Dodge & Cox Stock Fund Strategy Analysis
Investment Strategy Metrics
Key metrics revealing investment style, risk management, and performance characteristics
Metric | Value | Category | Description |
---|---|---|---|
Holding Period | 6.9 years | Style | Average duration positions are maintained |
Position Count | 201 | Style | Number of active positions in portfolio |
Position Size | 1.2% | Risk | Typical allocation per position |
Win Rate | 55.6% | Performance | Percentage of profitable positions |
Average Return | 2298.5% | Performance | Mean return across positions |
Sharpe Ratio | 0.15 | Performance | Return per unit of risk taken |
Investment Case Study: Charles Schwab Corp (SCHW)
3/31/2015 - 9/18/2025
Performance Metrics
Total Return: 2.46%
Holding Period: 3824 days
Max Position Size: $2,881,814.00
Position Weight: 2.66%
Key Events
Investment Thesis
Entry Context: Initial position established based on fundamental analysis
Sector Conditions: Favorable market conditions in the sector
- Market volatility
- Sector-specific risks
Key Learnings
- Position sizing is critical for portfolio management
- Important to monitor sector exposure