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Scheda del gestore · ✦ curato

Dodge & Cox

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

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 ⇄
$191.01BValore 13F dichiarato
222Posizioni
27.9%Peso top-10
61.00Partecipazioni effettive
8.8%Turnover est.
+7Nuovo
−6Uscite

Il valore del portafoglio 13F dichiarato comprende solo le posizioni lunghe statunitensi soggette a obbligo di dichiarazione — esclusi liquidità, obbligazioni, posizioni corte e partecipazioni non statunitensi. Non corrisponde agli asset in gestione.

Valore dichiarato per trimestre Q2 2024 → Q2 2026
Esposizione settoriale
Sanità 23.0% (+1.7pp)
Servizi finanziari 20.2% (+1.0pp)
Tecnologia 12.5% (+1.0pp)
Servizi di comunicazione 10.4% (-0.2pp)
Industria 9.1% (-0.6pp)
Materiali di base 8.5% (-0.8pp)
Beni di consumo ciclici 6.4% (-0.1pp)
Energia 4.3% (-1.6pp)
Beni di consumo difensivi 2.3% (+0.1pp)
Immobiliare 2.1% (-0.4pp)
Utility 1.3% (+0.0pp)

Quota del valore comune dichiarato; (±pp) rispetto al trimestre precedente.

Il portafoglio · Q2 2026
#Strumento finanziarioPesoValoreQuoteΔ azioniDetenuto
1 JCI Johnson Controls… 4.3% $8.15B 55.78M -3.0% ▼ Trim 9+
2 SCHW The Charles Schwab… 3.7% $7.10B 76.97M +2.6% ▲ Add 9+
3 RTX RTX Corporation 3.5% $6.66B 35.11M -1.0% ▼ Trim 9+
4 CVS CVS Health Corp. 2.7% $5.17B 50.01M -3.4% ▼ Trim 9+
5 MSFT Microsoft Corporation 2.5% $4.79B 12.84M +7.3% ▲ Add 9+
6 BKNG Booking Holdings Inc. 2.4% $4.55B 25.54M +2.4% ✂ ▲ Add 9+
7 HUM Humana Inc. 2.3% $4.35B 10.94M -3.9% ▼ Trim 9+
8 GOOG Alphabet Inc. 2.2% $4.23B 11.96M -2.2% ▼ Trim 9+
9 MET MetLife, Inc. 2.1% $4.10B 48.43M -5.2% ▼ Trim 9+
10 SUNB Sunbelt Rentals Holdings Inc 2.1% $4.10B 54.76M +3.1% ▲ Add 2
11 AMZN Amazon.com, Inc. 2.1% $3.98B 16.71M +10.6% ▲ Add 9+
12 GOOGL Alphabet Inc. 2.0% $3.81B 10.66M +0.3% ▲ Add 9+
13 UNH UnitedHealth Group… 2.0% $3.77B 9.07M -4.2% ▼ Trim 9+
14 META Meta Platforms, Inc. 1.9% $3.66B 6.49M +29.4% ▲ Add 9+
15 OXY Occidental Petroleum… 1.9% $3.53B 72.76M -1.8% ▼ Trim 9+
16 TEL TE Connectivity plc 1.8% $3.42B 16.97M +15.5% ▲ Add 9+
17 CI Cigna Corporation 1.8% $3.36B 12.17M +5.3% ▲ Add 9+
18 REGN Regeneron Pharmaceuticals… 1.6% $3.04B 4.87M +9.3% ▲ Add 9+
19 GILD Gilead Sciences, Inc. 1.6% $2.99B 23.68M -2.4% ▼ Trim 9+
20 IFF International Flavors &… 1.5% $2.93B 37.01M +1.5% ▲ Add 9+
21 AON Aon plc 1.5% $2.85B 8.59M +5.9% ▲ Add 4
22 CMCSA Comcast Corporation 1.5% $2.85B 115.90M +2.5% ▲ Add 9+
23 APD Air Products and Chemicals… 1.4% $2.75B 9.39M +1.8% ▲ Add 9+
24 FTV Fortive Corporation 1.4% $2.69B 43.98M +1.9% ▲ Add 7
25 BN Brookfield Corporation 1.4% $2.61B 61.21M +3.4% ▲ Add 3
26 WFC Wells Fargo & Company 1.4% $2.59B 31.33M +0.5% ▲ Add 9+
27 GSK GSK plc 1.3% $2.53B 48.20M -17.8% ▼ Trim 9+
28 FI Fiserv, Inc. 1.3% $2.46B 50.19M -0.1% ▼ Trim 9+
29 BUD Anheuser-Busch InBev SA/NV 1.3% $2.43B 29.48M -0.7% ▼ Trim 9+
30 GEHC GE HealthCare Technologies… 1.3% $2.42B 37.86M +20.9% ▲ Add 9+
31 BNY Bank of New York Mellon Corp 1.3% $2.40B 16.61M -29.0% ▼ Trim 9+
32 ROP Roper Technologies, Inc. 1.3% $2.39B 7.06M +111.2% ▲ Add 2
33 FDX FedEx Corporation 1.2% $2.26B 7.23M -41.6% ✂ ▼ Trim 9+
34 SBAC SBA Communications… 1.1% $2.17B 12.32M +2.0% ▲ Add 8
35 AJG Arthur J. Gallagher & Co. 1.1% $2.15B 9.36M +27.3% ▲ Add 3
36 CHTR Charter Communications, Inc. 1.1% $2.14B 15.03M +2.8% ▲ Add 9+
37 WTW Willis Towers Watson Public… 1.1% $2.10B 8.03M +9.4% ▲ Add 5
38 ZBH Zimmer Biomet Holdings, Inc. 1.1% $2.08B 24.12M +2.5% ▲ Add 9+
39 CARR Carrier Global Corporation 1.1% $2.02B 27.48M +3.2% ▲ Add 9+
40 BKR Baker Hughes Company 1.0% $1.93B 34.85M -2.8% ▼ Trim 9+
41 FIS Fidelity National… 1.0% $1.91B 49.07M 0.0% ▼ Trim 9+
42 V Visa Inc. 1.0% $1.86B 5.42M +630554.9% ▲ Add 9+
43 COF Capital One Financial… 1.0% $1.83B 9.12M +3.9% ▲ Add 9+
44 TRU TransUnion 0.9% $1.75B 24.20M +49.5% ▲ Add 3
45 UBS UBS Group AG 0.9% $1.67B 33.63M 0.0% ▼ Trim 9+
46 ELAN Elanco Animal Health… 0.9% $1.66B 67.40M -2.2% ▼ Trim 9+
47 TMO Thermo Fisher Scientific… 0.8% $1.53B 3.05M +11767.4% ▲ Add 9+
48 HLN Haleon plc 0.7% $1.40B 149.93M +2.3% ▲ Add 9+
49 SU Suncor Energy Inc. 0.7% $1.36B 25.37M -3.4% ▼ Trim 9+
50 INCY Incyte Corporation 0.7% $1.36B 11.96M -2.4% ▼ Trim 9+
51 LPLA LPL Financial Holdings Inc. 0.7% $1.29B 4.58M +10.4% ▲ Add 8
52 CPNG Coupang, Inc. 0.7% $1.25B 72.19M +0.3% ▲ Add 9+
53 D Dominion Energy, Inc. 0.7% $1.25B 18.30M -6.0% ▼ Trim 9+
54 BAX Baxter International Inc. 0.7% $1.24B 58.39M +2.0% ▲ Add 9+
55 SNY Sanofi 0.6% $1.20B 28.09M -4.8% ▼ Trim 9+
56 AVTR Avantor, Inc. 0.6% $1.19B 120.02M +0.3% ▲ Add 9+
57 AEP American Electric Power… 0.6% $1.19B 8.67M -0.8% ▼ Trim 9+
58 SUI Sun Communities, Inc. 0.6% $1.14B 9.50M -33.4% ▼ Trim 9+
59 FDXF FedEx Freight Holding… 0.6% $1.08B 7.18M Nuovo New 1
60 ADM Archer-Daniels-Midland… 0.6% $1.08B 14.18M -10.0% ▼ Trim 5
61 TDY Teledyne Technologies… 0.6% $1.08B 1.61M +0.5% ▲ Add 5
62 TMUS T-Mobile US, Inc. 0.6% $1.06B 6.34M +2.9% ▲ Add 9+
63 RAL Ralliant Corp 0.5% $1.03B 14.01M +1.9% ▲ Add 5
64 BAP Credicorp Ltd. 0.5% $1.02B 2.61M -23.3% ▼ Trim 9+
65 NVO Novo Nordisk A/S 0.5% $977.84M 20.40M +5.5% ▲ Add 2
66 COP ConocoPhillips 0.5% $963.32M 9.27M -3.9% ▼ Trim 9+
67 CX CEMEX, S.A.B. de C.V. 0.5% $962.25M 80.19M -5.9% ▼ Trim 9+
68 BABA Alibaba Group Holding… 0.5% $955.77M 9.96M +0.4% ▲ Add 9+
69 NBIX Neurocrine Biosciences, Inc. 0.5% $941.22M 5.58M +2.3% ▲ Add 9+
70 HPQ HP Inc. 0.5% $935.25M 42.63M +2.5% ▲ Add 9+
71 BMRN BioMarin Pharmaceutical Inc. 0.4% $849.43M 14.84M +1.9% ▲ Add 9+
72 FCNCA First Citizens BancShares… 0.4% $841.09M 404.21K +2.8% ▲ Add 3
73 NSC Norfolk Southern Corporation 0.4% $789.03M 2.51M -59.9% ▼ Trim 9+
74 TIGO Millicom International… 0.4% $745.91M 8.22M +0.7% ▲ Add 6
75 TAP Molson Coors Beverage… 0.4% $742.79M 19.07M +2.9% ▲ Add 9+
76 KKR KKR & Co. Inc. 0.4% $739.79M 8.06M Nuovo New 1
77 CE Celanese Corporation 0.4% $702.98M 15.28M -0.4% ▼ Trim 9+
78 LIN Linde plc 0.4% $688.42M 1.33M 0.0% Held 9+
79 TSM Taiwan Semiconductor… 0.4% $688.07M 1.44M +1236.5% ▲ Add 9+
80 ADBE Adobe Inc. 0.3% $638.62M 3.11M +24.8% ▲ Add 9+
81 MDT Medtronic plc 0.3% $616.13M 7.88M +2.4% ▲ Add 9+
82 GLPI Gaming and Leisure… 0.3% $613.32M 13.77M +2.3% ▲ Add 9+
83 ALNY Alnylam Pharmaceuticals… 0.3% $588.63M 1.96M +1.4% ▲ Add 9+
84 FOXA Fox Corporation 0.3% $585.40M 11.22M +3.0% ▲ Add 9+
85 CTSH Cognizant Technology… 0.3% $563.23M 14.54M +1.9% ▲ Add 9+
86 XP XP Inc. 0.3% $529.50M 32.56M -0.5% ▼ Trim 9+
87 MCHP Microchip Technology… 0.3% $504.64M 5.53M -9.7% ▼ Trim 9+
88 AEG Aegon Ltd. 0.2% $376.72M 44.64M -11.7% ▼ Trim 9+
89 VFC V.F. Corporation 0.2% $373.73M 22.41M -32.1% ▼ Trim 9+
90 PDD PDD Holdings Inc. 0.2% $347.07M 4.55M +0.3% ▲ Add 3
91 BNTX BioNTech SE 0.2% $342.20M 3.68M 0.0% ▲ Add 5
92 YUMC Yum China Holdings, Inc. 0.2% $341.90M 8.37M +0.2% ▲ Add 9+
93 FOX Fox Corporation 0.2% $340.34M 7.27M +1.2% ▲ Add 9+
94 TRP TC Energy Corporation 0.2% $333.76M 5.03M -43.4% ▼ Trim 9+
95 NWSA News Corporation 0.2% $311.32M 12.54M +2.3% ▲ Add 9+
96 JD JD.com, Inc. 0.2% $310.72M 12.19M 0.0% Held 9+
97 NTES NetEase, Inc. 0.1% $277.10M 2.16M +0.2% ▲ Add 9+
98 GE GE Aerospace 0.1% $223.51M 598.05K -19.0% ▼ Trim 9+
99 COHR Coherent, Inc. 0.1% $214.65M 544.16K -2.6% ▼ Trim 9+
100 HDB HDFC Bank Limited 0.1% $172.51M 6.68M +17.4% ▲ Add 9+
101 VSNT Versant Media Group, Inc.… 0.1% $161.05M 4.47M -0.9% ▼ Trim 2
102 ITUB Itaú Unibanco Holding S.A. 0.1% $148.57M 18.19M -5.1% ▼ Trim 9+
103 GEV GE Vernova Inc. 0.1% $144.36M 122.87K -4.9% ▼ Trim 9+
104 GS The Goldman Sachs Group… 0.1% $135.66M 134.13K -90.3% ▼ Trim 9+
105 NVS Novartis AG 0.1% $119.01M 759.37K -89.1% ▼ Trim 9+
106 BAC Bank of America Corporation 0.1% $99.26M 1.74M -4.3% ▼ Trim 9+
107 AXP American Express Company 0.0% $91.76M 271.28K -2.2% ▼ Trim 9+
108 FMS Fresenius Medical Care AG &… 0.0% $86.53M 3.83M 0.0% Held 9+
109 CDNS Cadence Design Systems, Inc. 0.0% $85.58M 228.01K -1.2% ▼ Trim 9+
110 UNP Union Pacific Corporation 0.0% $70.97M 260.90K 0.0% ▼ Trim 9+
111 WMB The Williams Companies, Inc. 0.0% $70.21M 944.45K -2.3% ▼ Trim 9+
112 FLTR.L Flutter Entertainment plc 0.0% $64.25M 628.88K 0.0% Held 9+
113 LLY Eli Lilly and Company 0.0% $49.49M 41.26K -1.8% ▼ Trim 9+
114 DHR Danaher Corporation 0.0% $48.96M 257.04K +1462.5% ▲ Add 9+
115 NESR National Energy Services… 0.0% $47.77M 1.60M -0.2% ▼ Trim 7
116 CAT Caterpillar Inc. 0.0% $41.96M 39.40K -1.5% ▼ Trim 9+
117 JPM JPMorgan Chase & Co. 0.0% $38.34M 117.13K -1.1% ▼ Trim 9+
118 CVX Chevron Corporation 0.0% $33.57M 202.50K -1.3% ▼ Trim 9+
119 TRV The Travelers Companies… 0.0% $29.75M 90.12K -2.9% ▼ Trim 9+
120 LBTYA Liberty Global plc 0.0% $26.89M 2.44M -66.9% ▼ Trim 9+
121 DIS The Walt Disney Company 0.0% $25.12M 261.01K -2.2% ▼ Trim 9+
122 KSPI Joint Stock Company Kaspi.kz 0.0% $21.90M 252.83K +20.3% ▲ Add 9+
123 WMT Walmart Inc. 0.0% $19.53M 172.44K -1.1% ▼ Trim 9+
124 MRK Merck & Co., Inc. 0.0% $17.44M 135.75K -0.2% ▼ Trim 9+
125 ACMR ACM Research, Inc. 0.0% $14.77M 116.39K -2.9% ▼ Trim 8
126 PG The Procter & Gamble Company 0.0% $13.30M 90.71K -0.1% ▼ Trim 9+
127 IBM International Business… 0.0% $12.93M 45.99K -1.3% ▼ Trim 9+
128 TGT Target Corporation 0.0% $12.49M 95.64K -1.1% ▼ Trim 9+
129 AZN AstraZeneca PLC 0.0% $10.61M 55.95K -2.6% ▼ Trim 9+
130 CSCO Cisco Systems, Inc. 0.0% $10.38M 88.41K -15.9% ▼ Trim 9+
131 XONA.DE Exxon Mobil Corporation 0.0% $10.10M 73.86K 0.0% Held 9+
132 AAPL Apple Inc. 0.0% $9.08M 31.38K -0.7% ▼ Trim 9+
133 GLW Corning Inc 0.0% $8.85M 34.66K -4.6% ▼ Trim 9+
134 DE Deere & Company 0.0% $8.01M 12.63K 0.0% Held 9+
135 HD The Home Depot, Inc. 0.0% $7.89M 22.38K -0.3% ▼ Trim 9+
136 ADI Analog Devices, Inc. 0.0% $7.63M 19.21K -4.0% ▼ Trim 9+
137 DELL Dell Technologies Inc. 0.0% $7.44M 17.25K -8.7% ▼ Trim 9+
138 AVGO Broadcom Inc. 0.0% $7.29M 19.29K 0.0% Held 9+
139 VMC Vulcan Materials Company 0.0% $7.08M 24.00K 0.0% Held 9+
140 BRK-B Berkshire Hathaway Inc. 0.0% $5.72M 11.44K 0.0% Held 9+
141 STT State Street Corporation 0.0% $5.65M 33.33K -99.0% ▼ Trim 9+
142 JNJ Johnson & Johnson 0.0% $5.32M 20.95K 0.0% Held 9+
143 AMGN Amgen Inc. 0.0% $4.64M 12.82K -4.1% ▼ Trim 9+
144 SLB Slb N.V. 0.0% $4.58M 98.42K -10.4% ▼ Trim 9+
145 MSI Motorola Solutions, Inc. 0.0% $4.51M 10.87K -3.5% ▼ Trim 9+
146 SNPS Synopsys, Inc. 0.0% $4.51M 10.10K -1.0% ▼ Trim 9+
147 SHEL Shell plc 0.0% $4.21M 54.27K -1.3% ▼ Trim 9+
148 TBBB BBB Foods Inc. 0.0% $3.78M 90.70K 0.0% Held 2
149 BSX Boston Scientific… 0.0% $3.73M 87.48K -1.6% ▼ Trim 9+
150 KARO Karooooo, Ltd. 0.0% $3.44M 69.73K +65.1% ▲ Add 3
151 PNC The PNC Financial Services… 0.0% $3.44M 13.96K -0.3% ▼ Trim 9+
152 MELI MercadoLibre, Inc. 0.0% $3.37M 1.99K 0.0% Held 4
153 BRK-A Berkshire Hathaway Inc. 0.0% $3.00M 4 0.0% Held 9+
154 PM Philip Morris International… 0.0% $2.99M 16.50K 0.0% Held 9+
155 BIDU Baidu, Inc. 0.0% $2.97M 26.01K -5.5% ▼ Trim 9+
156 HPE Hewlett Packard Enterprise… 0.0% $2.86M 63.45K -17.3% ▼ Trim 9+
157 JOYY JOYY, Inc. Sponsored ADR… 0.0% $2.71M 41.01K -2.4% ▼ Trim 9+
158 ABBV AbbVie Inc. 0.0% $2.62M 10.39K 0.0% Held 9+
159 VIPS Vipshop Holdings Limited 0.0% $2.53M 190.80K 0.0% Held 9+
160 PH Parker-Hannifin Corporation 0.0% $2.45M 2.50K 0.0% Held 9+
161 BMY Bristol-Myers Squibb Company 0.0% $2.44M 42.36K -99.1% ▼ Trim 9+
162 SE Sea Limited 0.0% $2.20M 22.95K Nuovo New 1
163 SPGI S&P Global Inc. 0.0% $2.12M 5.20K -3.7% ▼ Trim 9+
164 PFE Pfizer Inc. 0.0% $2.11M 87.81K -0.8% ▼ Trim 9+
165 NEE NextEra Energy, Inc. 0.0% $2.02M 23.00K -2.5% ▼ Trim 9+
166 TCOM Trip.com Group Limited 0.0% $1.96M 49.25K 0.0% Held 9+
167 KO The Coca-Cola Company 0.0% $1.95M 24.00K 0.0% Held 9+
168 MCD McDonald's Corporation 0.0% $1.74M 6.42K 0.0% Held 9+
169 CTVA Corteva, Inc. 0.0% $1.71M 20.20K -0.7% ▼ Trim 9+
170 ABT Abbott Laboratories 0.0% $1.57M 17.32K 0.0% Held 9+
171 ZH Zhihu, Inc. 0.0% $1.57M 501.09K +4.2% ▲ Add 4
172 MO Altria Group, Inc. 0.0% $1.47M 20.50K 0.0% Held 9+
173 ATAT Atour Lifestyle Holdings… 0.0% $1.45M 45.65K +62.2% ▲ Add 3
174 NUE Nucor Corporation 0.0% $1.38M 6.20K 0.0% Held 9+
175 LVS Las Vegas Sands Corp. 0.0% $1.30M 28.19K 0.0% Held 9+
176 CL Colgate-Palmolive Company 0.0% $1.28M 14.00K 0.0% Held 9+
177 PAX Patria Investments Ltd 0.0% $1.27M 115.70K +120.0% ▲ Add 6
178 MMM 3M Company 0.0% $1.22M 7.56K -1.5% ▼ Trim 9+
179 CPA Copa Holdings, S.A. 0.0% $1.13M 7.25K +20.8% ▲ Add 9+
180 Q Qnity Electronics, Inc. 0.0% $1.04M 6.37K -5.3% ▼ Trim 3
181 IFS Intercorp Financial… 0.0% $990,591 17.39K 0.0% Held 9+
182 LAUR Laureate Education, Inc. 0.0% $987,904 27.20K +25.4% ▲ Add 5
183 TFC Truist Financial Corporation 0.0% $954,103 19.15K 0.0% Held 9+
184 ARCO Arcos Dorados Holdings Inc. 0.0% $910,506 112.97K 0.0% Held 7
185 HON Honeywell International Inc. 0.0% $897,727 4.01K +4.9% ✂ ▲ Add 9+
186 DEO Diageo plc 0.0% $890,369 11.08K 0.0% Held 9+
187 HONA Honeywell Aerospace Inc 0.0% $886,310 4.01K Nuovo New 1
188 GPRK Geopark, Ltd. 0.0% $846,710 93.05K 0.0% Held 9+
189 ASR Grupo Aeroportuario del… 0.0% $806,621 2.63K +110.4% ▲ Add 7
190 DLO Dlocal Limited 0.0% $799,193 61.50K +37.6% ▲ Add 9+
191 JBS Jbs N.V. 0.0% $796,913 67.25K +50.3% ▲ Add 5
192 ABEV Ambev S.A. 0.0% $793,478 252.70K -17.5% ▼ Trim 7
193 AFYA Afya, Ltd. 0.0% $761,099 51.29K 0.0% Held 9+
194 AMP Ameriprise Financial, Inc. 0.0% $688,140 1.50K 0.0% Held 9+
195 MDLZ Mondelez International, Inc. 0.0% $684,826 11.84K 0.0% Held 9+
196 BLK BlackRock, Inc. 0.0% $683,669 711 0.0% Held 9+
197 NVDA NVIDIA Corporation 0.0% $680,306 3.40K 0.0% Held 4
198 DD DuPont de Nemours, Inc. 0.0% $638,141 4.71K -3.8% ✂ ▼ Trim 9+
199 APA APA Corporation 0.0% $635,115 19.50K -9.3% ▼ Trim 9+
200 ALL The Allstate Corporation 0.0% $617,454 2.60K 0.0% Held 9+
201 MCO Moody's Corporation 0.0% $549,392 1.21K 0.0% Held 9+
202 GPC Genuine Parts Company 0.0% $525,011 4.45K -4.3% ▼ Trim 9+
203 ELV Elevance Health Inc. 0.0% $502,749 1.30K 0.0% Held 9+
204 PBR Petróleo Brasileiro S.A. -… 0.0% $484,800 30.00K -3.9% ▼ Trim 9+
205 PSX Phillips 66 0.0% $439,530 2.60K 0.0% Held 9+
206 PEP PepsiCo, Inc. 0.0% $416,355 3.08K 0.0% Held 9+
207 LMT Lockheed Martin Corporation 0.0% $394,832 775 0.0% Held 9+
208 FUTU Futu Holdings Limited 0.0% $393,708 4.20K Nuovo New 1
209 GIS General Mills, Inc. 0.0% $389,760 11.20K 0.0% Held 9+
210 OTIS Otis Worldwide Corporation 0.0% $373,036 5.21K -13.3% ▼ Trim 9+
211 UL Unilever PLC 0.0% $315,209 5.24K 0.0% Held 9+
212 CTAS Cintas Corporation 0.0% $306,144 1.80K 0.0% Held 9+
213 MGM MGM Resorts International 0.0% $286,860 6.00K -7.7% ▼ Trim 7
214 RIO Rio Tinto Group 0.0% $284,790 3.00K 0.0% Held 3
215 LYV Live Nation Entertainment… 0.0% $274,665 1.50K 0.0% Held 7
216 PPG PPG Industries, Inc. 0.0% $266,838 2.20K 0.0% Held 9+
217 DOW Dow Inc. 0.0% $249,359 9.11K -6.2% ▼ Trim 9+
218 CB Chubb Limited 0.0% $246,014 722 0.0% Held 6
219 VZ Verizon Communications Inc. 0.0% $232,870 5.50K 0.0% Held 9+
220 VOO Vanguard S&P 500 ETF 0.0% $206,168 300 Nuovo New 1
221 AMG Affiliated Managers Group… 0.0% $203,040 600 Nuovo New 1
222 CIG Cia Energetica de Minas… 0.0% $31,500 15.00K 0.0% Held 7

Solo posizioni in azioni ordinarie (SH); le righe di opzioni si trovano nella scheda Opzioni e non vengono mai compensate. ✂ = variazione calcolata rispetto alle azioni precedenti rettificate per split. "Held N+" = detenuto ogni trimestre nella nostra finestra temporale, possibilmente anche oltre.

Età della posizione
70–1 trimestri
182–4 trimestri
215–8 trimestri
1769+ trimestri

Trimestri consecutivi in cui ciascuna posizione corrente è stata segnalata, nella nostra finestra di dati.

Gestori simili
GestorePosizioni comuniSovrapposizione di nomiSimilarità ponderata
Massachusetts Financial Services Co /Ma/ 152 14.3% 0.3017 Confronta ⇄
Capital Research Global Investors 104 19.4% 0.2872 Confronta ⇄
Clearbridge Investments, LLC 136 17.4% 0.2681 Confronta ⇄
Aberdeen Group plc 177 18.2% 0.2642 Confronta ⇄
Ninety One UK Ltd 78 18.8% 0.252 Confronta ⇄
Harris Associates (Oakmark) 61 19.0% 0.247 Confronta ⇄
National Pension Service 157 25.4% 0.2403 Confronta ⇄
Chevy Chase Trust Holdings, LLC 155 21.6% 0.2399 Confronta ⇄

Similarità basata esclusivamente sulle posizioni lunghe dichiarate — le coperture e gli asset non soggetti a 13F non sono visibili. Metodologia

Registro dei depositi
Aug 13 2026 13F-HR · periodo Q2 2026

$191.01B · 222 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

May 14 2026 13F-HR · periodo Q1 2026

$181.98B · 222 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Feb 13 2026 13F-HR · periodo Q4 2025

$185.26B · 222 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Nov 13 2025 13F-HR · periodo Q3 2025

$185.33B · 219 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Aug 13 2025 13F-HR · periodo Q2 2025

$177.97B · 219 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

May 14 2025 13F-HR · periodo Q1 2025

$175.45B · 214 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Feb 13 2025 13F-HR · periodo Q4 2024

$171.84B · 214 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Nov 13 2024 13F-HR · periodo Q3 2024

$176.83B · 205 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Aug 13 2024 13F-HR · periodo Q2 2024

$166.62B · 202 posizioni elencate · Visualizza la dichiarazione SEC originale ↗

Provenienza: Tutte le posizioni analizzate dalle tabelle informative 13F di questo gestore su SEC EDGAR; valori come riportati, USD interi. Le variazioni confrontano l'ultima versione accettata di ciascun trimestre (emendamenti incorporati) sui conteggi di azioni rettificati per i frazionamenti. Periodo di rendicontazione: Q2 2026 · ultimo filing Aug 13, 2026 · Metodologia di calcolo