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Dodge & Cox

Q1 2026 ⇄ Q2 2026

+7Aggiunto
−6Rimossa
165Ridimensionato
50Invariato

Aggiunto (Q2 2026)

Strumento finanziarioValoreQuote
FDXF Fedex Freight Holding… $1.08B7.18M
KKR KKR & Co., Inc. $739.79M8.06M
SE Sea, Ltd. $2.20M22.95K
HONA Honeywell Aerospace… $886,3104.01K
FUTU Futu Holdings, Ltd. $393,7084.20K
VOO Vanguard S&P 500 ETF $206,168300
AMG Affiliated Managers… $203,040600

Rimossa (era detenuto in Q1 2026)

Strumento finanziarioValore precedenteQuote precedenti
LYB LyondellBasell… $1.36B16.84M
EBAY eBay, Inc. $1.07M11.75K
PSMT PriceSmart, Inc. $926,4786.16K
LOMA Loma Negra Cia… $800,49872.18K
ISRG Intuitive Surgical… $230,495500
HAL Halliburton Co. $214,4455.50K

Posizioni ridimensionate

Strumento finanziarioQ1 2026 azioniQ2 2026 azioniVariazione
V Visa, Inc. 859 5.42M +630554.9%
TMO Thermo Fisher… 25.74K 3.05M +11767.4%
BKNG Booking Holdings, Inc. 997.50K 25.54M +2460.1%
DHR Danaher Corp. 16.45K 257.04K +1462.5%
TSM Taiwan Semiconductor… 107.80K 1.44M +1236.5%
PAX Patria Investments, Ltd. 52.60K 115.70K +120.0%
ROP Roper Technologies, Inc. 3.34M 7.06M +111.2%
ASR Grupo Aeroportuario del… 1.25K 2.63K +110.4%
BMY Bristol-Myers Squibb Co. 4.62M 42.36K -99.1%
STT State Street Corp. 3.50M 33.33K -99.0%
GS The Goldman Sachs… 1.38M 134.13K -90.3%
NVS Novartis AG 6.97M 759.37K -89.1%
DD DuPont de Nemours, Inc. 14.68K 4.71K -67.9%
KARO Karooooo, Ltd. 42.23K 69.73K +65.1%
ATAT Atour Lifestyle… 28.15K 45.65K +62.2%
NSC Norfolk Southern Corp. 6.26M 2.51M -59.9%
JBS JBS NV 44.75K 67.25K +50.3%
HON Honeywell… 8.02K 4.01K -50.0%
TRU TransUnion 16.19M 24.20M +49.5%
TRP TC Energy Corp. 8.89M 5.03M -43.4%
DLO Dlocal, Ltd. 44.70K 61.50K +37.6%
SUI Sun Communities, Inc. 14.27M 9.50M -33.4%
VFC VF Corp. 33.02M 22.41M -32.2%
META Meta Platforms, Inc. 5.01M 6.49M +29.4%
BNY The Bank of New York… 23.40M 16.61M -29.0%
FDX FedEx Corp. 9.98M 7.23M -27.5%
AJG Arthur J Gallagher & Co. 7.35M 9.36M +27.3%
LAUR Laureate Education, Inc. 21.70K 27.20K +25.3%
ADBE Adobe, Inc. 2.50M 3.11M +24.8%
BAP Credicorp, Ltd. 3.41M 2.61M -23.3%
GEHC GE HealthCare… 31.31M 37.86M +20.9%
CPA Copa Holdings SA 6.00K 7.25K +20.8%
KSPI Kaspi.KZ JSC 210.23K 252.83K +20.3%
GE GE Aerospace 738.00K 598.05K -19.0%
GSK GSK PLC 58.66M 48.20M -17.8%
ABEV Ambev SA 306.30K 252.70K -17.5%
HDB HDFC Bank, Ltd. 5.69M 6.68M +17.4%
HPE Hewlett Packard… 76.75K 63.45K -17.3%
CSCO Cisco Systems, Inc. 105.12K 88.41K -15.9%
TEL TE Connectivity PLC 14.69M 16.97M +15.5%
LBTYA Liberty Global, Ltd. 2.14M 2.44M +14.2%
OTIS Otis Worldwide Corp. 6.01K 5.21K -13.3%
AEG Aegon, Ltd. 50.56M 44.64M -11.7%
AMZN Amazon.com, Inc. 15.11M 16.71M +10.6%
LPLA LPL Financial Holdings… 4.15M 4.58M +10.4%
SLB SLB, Ltd. 109.82K 98.42K -10.4%
ADM Archer-Daniels-Midland… 15.76M 14.18M -10.0%
MCHP Microchip Technology… 6.13M 5.53M -9.7%
WTW Willis Towers Watson PLC 7.33M 8.03M +9.5%
APA APA Corp. 21.50K 19.50K -9.3%
REGN Regeneron… 4.46M 4.87M +9.3%
DELL Dell Technologies, Inc. 18.90K 17.25K -8.7%
MGM MGM Resorts… 6.50K 6.00K -7.7%
MSFT Microsoft Corp. 11.96M 12.84M +7.3%
DOW Dow, Inc. 9.71K 9.11K -6.2%
D Dominion Energy, Inc. 19.48M 18.30M -6.0%
CX Cemex SAB de CV 85.24M 80.19M -5.9%
AON Aon PLC 8.12M 8.59M +5.9%
NVO Novo Nordisk A/S 19.33M 20.40M +5.5%
BIDU Baidu, Inc. 27.51K 26.01K -5.5%
CI The Cigna Group 11.56M 12.17M +5.3%
Q Qnity Electronics, Inc. 6.73K 6.37K -5.3%
MET MetLife, Inc. 51.11M 48.43M -5.3%
ITUB Itau Unibanco Holding SA 19.17M 18.19M -5.1%
GEV GE Vernova, Inc. 129.18K 122.87K -4.9%
SNY Sanofi SA 29.50M 28.09M -4.8%
GLW Corning, Inc. 36.33K 34.66K -4.6%
GPC Genuine Parts Co. 4.65K 4.45K -4.3%
BAC Bank of America Corp. 1.82M 1.74M -4.3%
UNH UnitedHealth Group, Inc. 9.47M 9.07M -4.2%
ZH Zhihu, Inc. 481.09K 501.09K +4.2%
AMGN Amgen, Inc. 13.37K 12.82K -4.1%
ADI Analog Devices, Inc. 20.02K 19.21K -4.1%
COP ConocoPhillips 9.65M 9.27M -3.9%
COF Capital One Financial… 8.77M 9.12M +3.9%
HUM Humana, Inc. 11.38M 10.94M -3.9%
PBR Petroleo Brasileiro SA… 31.20K 30.00K -3.8%
SPGI S&P Global, Inc. 5.40K 5.20K -3.7%
MSI Motorola Solutions, Inc. 11.26K 10.87K -3.5%
BN Brookfield Corp. 59.19M 61.21M +3.4%
CVS CVS Health Corp. 51.78M 50.01M -3.4%
SU Suncor Energy, Inc. 26.26M 25.37M -3.4%
CARR Carrier Global Corp. 26.62M 27.48M +3.2%
SUNB Sunbelt Rentals… 53.10M 54.76M +3.1%
JCI Johnson Controls… 57.51M 55.78M -3.0%
FOXA Fox Corp. 10.90M 11.22M +3.0%
TAP Molson Coors Beverage… 18.52M 19.07M +2.9%
ACMR ACM Research, Inc. 119.89K 116.39K -2.9%
TMUS T-Mobile U.S., Inc. 6.16M 6.34M +2.9%
TRV The Travelers Co., Inc. 92.78K 90.12K -2.9%
BKR Baker Hughes Co. 35.87M 34.85M -2.8%
FCNCA First Citizens… 393.09K 404.21K +2.8%
CHTR Charter Communications… 14.63M 15.03M +2.8%
AZN AstraZeneca PLC 57.47K 55.95K -2.7%
COHR Coherent Corp. 558.92K 544.16K -2.6%
SCHW The Charles Schwab Corp. 75.00M 76.97M +2.6%
NEE NextEra Energy, Inc. 23.60K 23.00K -2.5%
HPQ HP, Inc. 41.59M 42.63M +2.5%
ZBH Zimmer Biomet Holdings… 23.54M 24.12M +2.5%
CMCSA Comcast Corp. 113.11M 115.90M +2.5%
INCY Incyte Corp. 12.25M 11.96M -2.4%
JOYY JOYY, Inc. 42.01K 41.01K -2.4%
GILD Gilead Sciences, Inc. 24.25M 23.68M -2.4%
MDT Medtronic PLC 7.69M 7.88M +2.4%
GLPI Gaming & Leisure… 13.46M 13.77M +2.3%
HLN Haleon PLC 146.54M 149.93M +2.3%
NWSA News Corp. 12.26M 12.54M +2.3%
WMB The Williams Co., Inc. 966.35K 944.45K -2.3%
NBIX Neurocrine Biosciences… 5.46M 5.58M +2.3%
ELAN Elanco Animal Health… 68.94M 67.40M -2.2%
AXP American Express Co. 277.49K 271.28K -2.2%
DIS The Walt Disney Co. 266.87K 261.01K -2.2%
GOOG Alphabet, Inc. 12.23M 11.96M -2.2%
SBAC SBA Communications Corp. 12.08M 12.32M +2.0%
BAX Baxter International… 57.25M 58.39M +2.0%
BMRN BioMarin… 14.56M 14.84M +1.9%
FTV Fortive Corp. 43.16M 43.98M +1.9%
CTSH Cognizant Technology… 14.27M 14.54M +1.9%
RAL Ralliant Corp. 13.75M 14.01M +1.9%
LLY Eli Lilly & Co. 42.01K 41.26K -1.8%

Confronto grezzo del numero di azioni tra i due trimestri selezionati (come dichiarato; gli split tra trimestri distanti non sono rettificati qui — le schede delle variazioni trimestrali nella pagina del manager sono rettificate per split). Solo posizioni in azioni ordinarie con ticker associati.

Provenienza: Entrambe le istantanee provengono dalle tabelle informative 13F analizzate del gestore (ultime versioni accettate). ← Torna alla scheda del gestore