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Manager record · ✦ curated · archived quarter

Dodge & Cox

Value mutual-fund manager · San Francisco, CA · CIK 200217 · EDGAR filings ↗

Long-only value funds; positions turn over slowly.

Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Diff ⇄
$176.83BReported 13F value
205Positions
28.1%Top-10 weight
59.50Effective holdings
4.2%Est. turnover
+4New
−1Exits

Reported 13F portfolio value covers U.S. reportable long positions only — not cash, bonds, shorts or non-U.S. holdings. It is not assets under management.

Reported value by quarter Q2 2024 → Q2 2026
Sector exposure
Healthcare 22.3% (+1.1pp)
Financial Services 19.1% (-1.8pp)
Technology 12.2% (-0.5pp)
Communication Services 11.6% (-0.7pp)
Industrials 8.9% (+0.4pp)
Basic Materials 8.9% (+1.3pp)
Consumer Cyclical 7.2% (+0.5pp)
Energy 5.8% (-0.9pp)
Consumer Defensive 1.7% (+0.1pp)
Utilities 1.4% (+0.1pp)
Real Estate 0.9% (+0.3pp)

Share of reported common-equity value; (±pp) vs prior quarter.

The portfolio · Q3 2024
#SecurityWeightValueSharesΔ sharesHeld
1 JCI Johnson Controls… 3.7% $6.63B 85.37M +0.1% ▲ Add 2
2 FI Fiserv, Inc. 3.3% $5.88B 32.72M -4.8% ▼ Trim 2
3 SCHW The Charles Schwab… 3.3% $5.81B 89.59M +4.4% ▲ Add 2
4 RTX RTX Corporation 3.0% $5.38B 44.40M +0.3% ▲ Add 2
5 WFC Wells Fargo & Company 2.8% $4.91B 86.95M -5.8% ▼ Trim 2
6 MET MetLife, Inc. 2.5% $4.51B 54.66M -3.0% ▼ Trim 2
7 SNY Sanofi 2.5% $4.40B 76.30M -1.1% ▼ Trim 2
8 GOOG Alphabet Inc. 2.4% $4.16B 24.89M -15.4% ▼ Trim 2
9 OXY Occidental Petroleum… 2.3% $4.02B 78.01M -0.5% ▼ Trim 2
10 CVS CVS Health Corp. 2.2% $3.96B 63.03M +2.2% ▲ Add 2
11 MSFT Microsoft Corporation 2.2% $3.92B 9.10M -3.3% ▼ Trim 2
12 CHTR Charter Communications, Inc. 2.1% $3.77B 11.64M -0.4% ▼ Trim 2
13 FDX FedEx Corporation 2.0% $3.60B 13.16M -1.8% ▼ Trim 2
14 BNY Bank of New York Mellon Corp 2.0% $3.49B 48.52M -11.4% ▼ Trim 2
15 FIS Fidelity National… 1.9% $3.44B 41.07M -0.9% ▼ Trim 2
16 BKNG Booking Holdings Inc. 1.9% $3.32B 789.16K -0.1% ▼ Trim 2
17 AMZN Amazon.com, Inc. 1.8% $3.22B 17.28M -0.3% ▼ Trim 2
18 CMCSA Comcast Corporation 1.7% $3.09B 74.06M +1.8% ▲ Add 2
19 CI Cigna Corporation 1.7% $3.05B 8.79M -0.7% ▼ Trim 2
20 IFF International Flavors &… 1.7% $2.95B 28.08M -0.4% ▼ Trim 2
21 COF Capital One Financial… 1.6% $2.79B 18.66M -6.4% ▼ Trim 2
22 GSK GSK plc 1.6% $2.78B 68.09M -0.4% ▼ Trim 2
23 GILD Gilead Sciences, Inc. 1.6% $2.77B 33.05M -0.2% ▼ Trim 2
24 NSC Norfolk Southern Corporation 1.5% $2.70B 10.86M +0.6% ▲ Add 2
25 GE GE Aerospace 1.5% $2.67B 14.18M -0.9% ▼ Trim 2
26 GS The Goldman Sachs Group… 1.5% $2.66B 5.38M -0.8% ▼ Trim 2
27 REGN Regeneron Pharmaceuticals… 1.4% $2.43B 2.31M -0.2% ▼ Trim 2
28 TEL TE Connectivity plc 1.4% $2.41B 15.99M +1.4% ▲ Add 2
29 UNH UnitedHealth Group… 1.3% $2.28B 3.90M -0.5% ▼ Trim 2
30 UBS UBS Group AG 1.3% $2.26B 73.37M -0.1% ▼ Trim 2
31 META Meta Platforms, Inc. 1.2% $2.18B 3.81M -0.4% ▼ Trim 2
32 BAC Bank of America Corporation 1.2% $2.11B 53.21M -12.2% ▼ Trim 2
33 BUD Anheuser-Busch InBev SA/NV 1.2% $2.08B 31.33M -0.5% ▼ Trim 2
34 GOOGL Alphabet Inc. 1.1% $1.99B 11.99M -1.8% ▼ Trim 2
35 TMUS T-Mobile US, Inc. 1.1% $1.98B 9.57M -2.6% ▼ Trim 2
36 APD Air Products and Chemicals… 1.1% $1.96B 6.60M +227423.9% ▲ Add 2
37 BABA Alibaba Group Holding… 1.1% $1.92B 18.09M +0.3% ▲ Add 2
38 HLN Haleon plc 1.1% $1.90B 179.17M -0.6% ▼ Trim 2
39 ZBH Zimmer Biomet Holdings, Inc. 1.0% $1.84B 17.07M +2.0% ▲ Add 2
40 AVTR Avantor, Inc. 1.0% $1.77B 68.42M +4.7% ▲ Add 2
41 WMB The Williams Companies, Inc. 1.0% $1.70B 37.27M -0.7% ▼ Trim 2
42 BAX Baxter International Inc. 1.0% $1.69B 44.60M +62.0% ▲ Add 2
43 BKR Baker Hughes Company 0.9% $1.66B 45.83M -0.5% ▼ Trim 2
44 GEHC GE HealthCare Technologies… 0.9% $1.56B 16.66M -0.3% ▼ Trim 2
45 HUM Humana Inc. 0.9% $1.56B 4.93M +14.5% ▲ Add 2
46 LYB LyondellBasell Industries… 0.9% $1.55B 16.11M -0.3% ▼ Trim 2
47 CTSH Cognizant Technology… 0.8% $1.42B 18.35M -0.6% ▼ Trim 2
48 NVS Novartis AG 0.8% $1.41B 12.22M -0.1% ▼ Trim 2
49 D Dominion Energy, Inc. 0.7% $1.31B 22.69M -0.6% ▼ Trim 2
50 CSCO Cisco Systems, Inc. 0.7% $1.27B 23.82M -0.4% ▼ Trim 2
51 ELAN Elanco Animal Health… 0.7% $1.22B 83.32M -0.3% ▼ Trim 2
52 HPQ HP Inc. 0.7% $1.21B 33.82M -3.6% ▼ Trim 2
53 FOXA Fox Corporation 0.7% $1.20B 28.46M -0.5% ▼ Trim 2
54 COP ConocoPhillips 0.7% $1.20B 11.43M -0.4% ▼ Trim 2
55 AEP American Electric Power… 0.7% $1.19B 11.58M -2.1% ▼ Trim 2
56 CARR Carrier Global Corporation 0.7% $1.15B 14.35M -0.1% ▼ Trim 2
57 TFC Truist Financial Corporation 0.6% $1.10B 25.75M -50.2% ▼ Trim 2
58 SU Suncor Energy Inc. 0.6% $1.09B 29.41M -2.8% ▼ Trim 2
59 INCY Incyte Corporation 0.6% $1.01B 15.28M 0.0% ▼ Trim 2
60 ALNY Alnylam Pharmaceuticals… 0.6% $996.31M 3.62M -4.2% ▼ Trim 2
61 BAP Credicorp Ltd. 0.6% $979.21M 5.41M -1.2% ▼ Trim 2
62 BMRN BioMarin Pharmaceutical Inc. 0.6% $976.91M 13.90M -0.2% ▼ Trim 2
63 COHR Coherent, Inc. 0.5% $945.95M 10.64M -24.1% ▼ Trim 2
64 CE Celanese Corporation 0.5% $924.40M 6.80M -0.1% ▼ Trim 2
65 JD JD.com, Inc. 0.5% $899.30M 22.48M 0.0% ▲ Add 2
66 VFC V.F. Corporation 0.5% $848.13M 42.51M -0.1% ▼ Trim 2
67 TAP Molson Coors Beverage… 0.5% $840.91M 14.62M +0.3% ▲ Add 2
68 STT State Street Corporation 0.5% $836.56M 9.46M -26.8% ▼ Trim 2
69 BMY Bristol-Myers Squibb Company 0.5% $808.58M 15.63M -0.9% ▼ Trim 2
70 SUI Sun Communities, Inc. 0.5% $805.65M 5.96M +6.9% ▲ Add 2
71 AEG Aegon Ltd. 0.4% $752.64M 117.78M -0.3% ▼ Trim 2
72 HMC Honda Motor Co., Ltd. 0.4% $700.48M 22.08M -0.3% ▼ Trim 2
73 GAP The Gap, Inc. 0.4% $636.66M 28.87M -0.3% ▼ Trim 2
74 LIN Linde plc 0.4% $632.79M 1.33M 0.0% Held 2
75 XP XP Inc. 0.4% $625.42M 34.86M +1.5% ▲ Add 2
76 BIDU Baidu, Inc. 0.4% $620.60M 5.89M +0.2% ▲ Add 2
77 MDT Medtronic plc 0.3% $608.92M 6.76M -0.4% ▼ Trim 2
78 NTR Nutrien Ltd. 0.3% $599.91M 12.48M +2.3% ▲ Add 2
79 JNPR Juniper Networks, Inc. 0.3% $526.59M 13.51M -60.5% ▼ Trim 2
80 TRP TC Energy Corporation 0.3% $520.67M 10.95M -7.7% ▼ Trim 2
81 CPNG Coupang, Inc. 0.3% $493.59M 20.11M +66.0% ▲ Add 2
82 TECK Teck Resources Limited 0.3% $485.04M 9.28M -12.0% ▼ Trim 2
83 YUMC Yum China Holdings, Inc. 0.3% $481.03M 10.68M 0.0% ▲ Add 2
84 FOX Fox Corporation 0.2% $439.64M 11.33M -0.3% ▼ Trim 2
85 OXY-WT Occidental Petroleum Corp. 0.2% $423.64M 14.25M -0.1% ▼ Trim 2
86 GLPI Gaming and Leisure… 0.2% $396.23M 7.70M +18.0% ▲ Add 2
87 SBAC SBA Communications… 0.2% $390.78M 1.62M New New 1
88 ECHO EchoStar Corporation 0.2% $334.26M 13.47M -0.7% ▼ Trim 2
89 BHF Brighthouse Financial, Inc. 0.2% $300.33M 6.67M -0.3% ▼ Trim 2
90 NWSA News Corporation 0.2% $277.42M 10.42M -0.4% ▼ Trim 2
91 NTES NetEase, Inc. 0.1% $246.30M 2.63M +143.7% ▲ Add 2
92 HDB HDFC Bank Limited 0.1% $182.38M 2.92M +23.3% ▲ Add 2
93 TV Grupo Televisa, S.A.B. 0.1% $164.38M 64.21M 0.0% Held 2
94 NBIX Neurocrine Biosciences, Inc. 0.1% $148.38M 1.29M +0.6% ▲ Add 2
95 FLTR.L Flutter Entertainment plc 0.1% $148.18M 624.48K 0.0% Held 2
96 LBTYA Liberty Global plc 0.1% $144.40M 6.68M -15.5% ▼ Trim 2
97 AXP American Express Company 0.1% $111.37M 410.67K -1.4% ▼ Trim 2
98 ITUB Itaú Unibanco Holding S.A. 0.1% $103.49M 15.56M +2.2% ▲ Add 2
99 LBTYA Liberty Global plc 0.1% $100.64M 4.77M -15.5% ▼ Trim 2
100 FMS Fresenius Medical Care AG &… 0.1% $88.90M 4.17M -1.2% ▼ Trim 2
101 CDNS Cadence Design Systems, Inc. 0.0% $69.87M 257.78K -1.3% ▼ Trim 2
102 UNP Union Pacific Corporation 0.0% $69.56M 282.23K -0.1% ▼ Trim 2
103 JPM JPMorgan Chase & Co. 0.0% $64.01M 303.57K -1.4% ▼ Trim 2
104 MCHP Microchip Technology… 0.0% $49.61M 617.93K -0.7% ▼ Trim 2
105 GEV GE Vernova Inc. 0.0% $46.49M 182.34K -0.3% ▼ Trim 2
106 LLY Eli Lilly and Company 0.0% $39.95M 45.09K -1.9% ▼ Trim 2
107 DIS The Walt Disney Company 0.0% $29.26M 304.18K -0.6% ▼ Trim 2
108 CVX Chevron Corporation 0.0% $27.08M 183.88K -0.3% ▼ Trim 2
109 SLB Slb N.V. 0.0% $27.08M 645.52K -3.7% ▼ Trim 2
110 TRV The Travelers Companies… 0.0% $26.35M 112.57K -0.3% ▼ Trim 2
111 TSM Taiwan Semiconductor… 0.0% $18.67M 107.50K +24.3% ▲ Add 2
112 MRK Merck & Co., Inc. 0.0% $17.97M 158.25K -0.4% ▼ Trim 2
113 TGT Target Corporation 0.0% $17.89M 114.77K -1.3% ▼ Trim 2
114 TMO Thermo Fisher Scientific… 0.0% $16.56M 26.77K -0.1% ▼ Trim 2
115 CAT Caterpillar Inc. 0.0% $16.53M 42.28K 0.0% Held 2
116 PG The Procter & Gamble Company 0.0% $16.41M 94.73K -0.2% ▼ Trim 2
117 WMT Walmart Inc. 0.0% $15.92M 197.11K -2.3% ▼ Trim 2
118 AZN AstraZeneca PLC 0.0% $11.61M 149.03K -0.5% ▼ Trim 2
119 ADBE Adobe Inc. 0.0% $10.99M 21.22K -1.8% ▼ Trim 2
120 HD The Home Depot, Inc. 0.0% $9.90M 24.43K -0.2% ▼ Trim 2
121 XONA.DE Exxon Mobil Corporation 0.0% $9.34M 79.69K -0.2% ▼ Trim 2
122 BSX Boston Scientific… 0.0% $7.99M 95.30K -1.9% ▼ Trim 2
123 IBM International Business… 0.0% $7.58M 34.27K 0.0% Held 2
124 ADI Analog Devices, Inc. 0.0% $7.32M 31.82K 0.0% Held 2
125 HESAF Hermes International SCA 0.0% $6.32M 46.55K 0.0% Held 2
126 VMC Vulcan Materials Company 0.0% $6.19M 24.70K 0.0% Held 2
127 AVGO Broadcom Inc. 0.0% $6.10M 35.34K +828.0% ▲ Add 2
128 BRK-B Berkshire Hathaway Inc. 0.0% $5.85M 12.70K 0.0% Held 2
129 SNPS Synopsys, Inc. 0.0% $5.75M 11.35K -0.9% ▼ Trim 2
130 AAPL Apple Inc. 0.0% $5.56M 23.87K -1.9% ▼ Trim 2
131 DE Deere & Company 0.0% $5.44M 13.04K 0.0% Held 2
132 AMGN Amgen Inc. 0.0% $4.60M 14.28K -0.7% ▼ Trim 2
133 DHR Danaher Corporation 0.0% $4.59M 16.52K 0.0% Held 2
134 CX CEMEX, S.A.B. de C.V. 0.0% $4.15M 679.70K +5.4% ▲ Add 2
135 HPE Hewlett Packard Enterprise… 0.0% $3.92M 191.78K -74.3% ▼ Trim 2
136 MSI Motorola Solutions, Inc. 0.0% $3.88M 8.63K 0.0% Held 2
137 DELL Dell Technologies Inc. 0.0% $3.86M 32.56K -15.2% ▼ Trim 2
138 SHEL Shell plc 0.0% $3.80M 57.61K -0.2% ▼ Trim 2
139 LPLA LPL Financial Holdings Inc. 0.0% $3.62M 15.56K New New 1
140 JNJ Johnson & Johnson 0.0% $3.42M 21.10K 0.0% Held 2
141 PFE Pfizer Inc. 0.0% $3.26M 112.78K -2.7% ▼ Trim 2
142 SPGI S&P Global Inc. 0.0% $2.79M 5.40K 0.0% Held 2
143 BRK-A Berkshire Hathaway Inc. 0.0% $2.76M 4 0.0% Held 2
144 PNC The PNC Financial Services… 0.0% $2.64M 14.28K 0.0% Held 2
145 HAL Halliburton Company 0.0% $2.36M 81.16K -6.9% ▼ Trim 2
146 OTIS Otis Worldwide Corporation 0.0% $2.27M 21.81K 0.0% Held 2
147 ABBV AbbVie Inc. 0.0% $2.17M 11.01K 0.0% Held 2
148 PM Philip Morris International… 0.0% $2.06M 17.00K 0.0% Held 2
149 ABT Abbott Laboratories 0.0% $2.04M 17.86K 0.0% Held 2
150 NEE NextEra Energy, Inc. 0.0% $1.99M 23.60K 0.0% Held 2
151 MCD McDonald's Corporation 0.0% $1.99M 6.55K 0.0% Held 2
152 GLW Corning Inc 0.0% $1.92M 42.45K -11.8% ▼ Trim 2
153 DEO Diageo plc 0.0% $1.90M 13.51K 0.0% Held 2
154 PH Parker-Hannifin Corporation 0.0% $1.80M 2.85K 0.0% Held 2
155 KO The Coca-Cola Company 0.0% $1.77M 24.64K 0.0% Held 2
156 HON Honeywell International Inc. 0.0% $1.66M 8.02K 0.0% Held 2
157 VIPS Vipshop Holdings Limited 0.0% $1.60M 102.00K 0.0% Held 2
158 DD DuPont de Nemours, Inc. 0.0% $1.57M 17.58K 0.0% Held 2
159 UL Unilever PLC 0.0% $1.55M 23.90K 0.0% Held 2
160 CL Colgate-Palmolive Company 0.0% $1.45M 14.00K 0.0% Held 2
161 LVS Las Vegas Sands Corp. 0.0% $1.43M 28.40K 0.0% Held 2
162 CTVA Corteva, Inc. 0.0% $1.39M 23.65K -7.8% ▼ Trim 2
163 JOYY JOYY, Inc. Sponsored ADR… 0.0% $1.27M 34.97K 0.0% Held 2
164 MMM 3M Company 0.0% $1.26M 9.22K 0.0% Held 2
165 APA APA Corporation 0.0% $1.14M 46.70K -35.9% ▼ Trim 2
166 TCOM Trip.com Group Limited 0.0% $1.08M 18.10K -40.5% ▼ Trim 2
167 MO Altria Group, Inc. 0.0% $1.07M 21.00K 0.0% Held 2
168 EBAY eBay Inc. 0.0% $990,323 15.21K -3.2% ▼ Trim 2
169 NUE Nucor Corporation 0.0% $932,108 6.20K 0.0% Held 2
170 DOW Dow Inc. 0.0% $897,134 16.42K -5.2% ▼ Trim 2
171 PYPL PayPal Holdings, Inc. 0.0% $889,542 11.40K -19.1% ▼ Trim 2
172 ACMR ACM Research, Inc. 0.0% $872,900 43.00K New New 1
173 MDLZ Mondelez International, Inc. 0.0% $872,253 11.84K 0.0% Held 2
174 AMP Ameriprise Financial, Inc. 0.0% $858,343 1.83K 0.0% Held 2
175 GIS General Mills, Inc. 0.0% $827,120 11.20K 0.0% Held 2
176 MCO Moody's Corporation 0.0% $743,208 1.57K 0.0% Held 2
177 BLK BlackRock, Inc. 0.0% $712,133 750 0.0% Held 2
178 CPA Copa Holdings, S.A. 0.0% $689,724 7.35K -21.4% ▼ Trim 2
179 IFS Intercorp Financial… 0.0% $675,957 25.87K -4.2% ▼ Trim 2
180 GPC Genuine Parts Company 0.0% $653,004 4.67K 0.0% Held 2
181 GPRK Geopark, Ltd. 0.0% $604,526 76.81K 0.0% Held 2
182 KSPI Joint Stock Company Kaspi.kz 0.0% $585,701 5.53K 0.0% Held 2
183 ELV Elevance Health Inc. 0.0% $572,000 1.10K 0.0% Held 2
184 PEP PepsiCo, Inc. 0.0% $522,904 3.08K 0.0% Held 2
185 AFYA Afya, Ltd. 0.0% $498,154 29.18K 0.0% Held 2
186 ALL The Allstate Corporation 0.0% $496,504 2.62K 0.0% Held 2
187 USB U.S. Bancorp 0.0% $493,884 10.80K -56.8% ▼ Trim 2
188 LMT Lockheed Martin Corporation 0.0% $453,034 775 0.0% Held 2
189 CTAS Cintas Corporation 0.0% $411,760 2.00K +300.0% ▲ Add 2
190 BEKE KE Holdings Inc. 0.0% $367,140 18.44K -52.0% ▼ Trim 2
191 DLO Dlocal Limited 0.0% $359,200 44.90K 0.0% Held 2
192 Bancolombia SA (unmapped) $345,180 11.00K
193 PSX Phillips 66 0.0% $341,770 2.60K 0.0% Held 2
194 ZTS Zoetis Inc. 0.0% $332,146 1.70K 0.0% Held 2
195 NOAH Noah Holdings, Ltd. 0.0% $330,937 26.84K 0.0% Held 2
196 PPG PPG Industries, Inc. 0.0% $291,412 2.20K 0.0% Held 2
197 RIO Rio Tinto Group 0.0% $284,680 4.00K 0.0% Held 2
198 LOMA Loma Negra Cia Industrial… 0.0% $248,248 30.80K 0.0% Held 2
199 V Visa Inc. 0.0% $247,455 900 -10.0% ▼ Trim 2
200 VZ Verizon Communications Inc. 0.0% $247,005 5.50K 0.0% Held 2
201 ISRG Intuitive Surgical, Inc. 0.0% $245,635 500 0.0% Held 2
202 PBR Petróleo Brasileiro S.A. -… 0.0% $237,765 16.50K 0.0% Held 2
203 BDX Becton, Dickinson and… 0.0% $236,278 980 0.0% Held 2
204 CB Chubb Limited 0.0% $208,218 722 New New 1
205 Qurate Retail, Inc. (unmapped) $13,422 22.00K

Common-stock (SH) positions only; option lines are in the Options tab and are never netted. ✂ = change computed against split-adjusted prior shares. “Held N+” = held every quarter in our window, possibly longer.

Position age
40–1 quarters
1982–4 quarters

Consecutive quarters each current position has been reported, within our data window.

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Similarity of reported longs only — hedges and non-13F assets are invisible. Methodology

Filing record
Aug 13 2026 13F-HR · period Q2 2026

$191.01B · 222 positions · View original SEC filing ↗

May 14 2026 13F-HR · period Q1 2026

$181.98B · 222 positions · View original SEC filing ↗

Feb 13 2026 13F-HR · period Q4 2025

$185.26B · 222 positions · View original SEC filing ↗

Nov 13 2025 13F-HR · period Q3 2025

$185.33B · 219 positions · View original SEC filing ↗

Aug 13 2025 13F-HR · period Q2 2025

$177.97B · 219 positions · View original SEC filing ↗

May 14 2025 13F-HR · period Q1 2025

$175.45B · 214 positions · View original SEC filing ↗

Feb 13 2025 13F-HR · period Q4 2024

$171.84B · 214 positions · View original SEC filing ↗

Nov 13 2024 13F-HR · period Q3 2024

$176.83B · 205 positions · View original SEC filing ↗

Aug 13 2024 13F-HR · period Q2 2024

$166.62B · 202 positions · View original SEC filing ↗

Provenance: All holdings parsed from this manager's 13F information tables on SEC EDGAR; values as reported, whole USD. Changes compare the latest accepted version of each quarter (amendments incorporated) on split-adjusted share counts. Reporting period: Q3 2024 · latest filing Aug 13, 2026 · Change methodology