Dodge & Cox

History Stock Activity Share change % change to portfolio
Q4  2021
RTX - RTX Corp. Add 1.43% 349,800 0.03
TEL - TE Connectivity Reduce 1.88% 166,100 0.03
STT - State Street Corp. Reduce 2.01% 318,600 0.03
CARR - Carrier Global Corp. Reduce 4.20% 544,600 0.03
OTIS - Otis Worldwide Corp. Reduce 6.48% 279,300 0.03
GPS - Gap Inc. Add 8.21% 1,334,200 0.02
AEG - Aegon Ltd Add 5.52% 4,414,900 0.02
ALNY - Alnylam Pharmaceuticals Add 4.50% 140,000 0.02
GSK - GSK plc Add 0.72% 421,900 0.02
SNY - Sanofi Aventis Reduce 0.53% 346,700 0.02
CTSH - Cognizant Technology Solutions Reduce 1.04% 200,200 0.02
DISH-OLD - Dish Network Corp. Add 1.43% 355,073 0.01
FOXA - Fox Corporation Reduce 0.73% 222,000 0.01
JNPR - Juniper Networks Reduce 0.74% 214,400 0.01
FOX - Fox Corporation CL B Reduce 1.76% 152,200 0.01
NWSA - News Corp. Reduce 3.51% 279,300 0.01
Q3  2021
SNY - Sanofi Aventis Add 39.12% 18,380,450 0.98
CI - Cigna Group Add 27.64% 2,448,500 0.54
GILD - Gilead Sciences Add 29.16% 5,675,600 0.44
NVS - Novartis AG Add 25.40% 4,054,144 0.37
FI - Fiserv Inc. Add 14.49% 2,031,900 0.24
MCHP - Microchip Technology Add 13.87% 2,488,600 0.21
FDX - FedEx Corp. Add 11.36% 866,400 0.21
TMUS - T-Mobile US Inc. Add 17.29% 1,136,600 0.16
STT - State Street Corp. Add 10.29% 1,482,500 0.14
VMW-OLD - VMware Inc. Add 18.10% 798,100 0.13
APA - APA Corp. Reduce 36.34% 5,602,300 0.13
INCY - Incyte Corp. Add 16.29% 1,377,100 0.11
DISH-OLD - Dish Network Corp. Add 9.98% 2,246,827 0.11
HMC - Honda Motor Co. Ltd. Add 10.06% 2,698,300 0.09
ELAN - Elanco Animal Health Inc. Buy 2,426,827 0.09
SCHW - Charles Schwab Corp. Add 1.70% 810,900 0.07
HPE - Hewlett Packard Enterprise Add 5.15% 3,771,700 0.06
CSCO - Cisco Systems Add 3.47% 1,042,600 0.06
TFC - Truist Financial Corp. Add 7.84% 700,000 0.05
CTSH - Cognizant Technology Solutions Add 3.54% 655,600 0.05
LYB - LyondellBasell Industries Add 37.87% 380,000 0.04
BMRN - BioMarin Pharmaceutical Inc. Add 6.08% 515,300 0.04
WMB - Williams Cos. Add 2.86% 1,417,500 0.04
COF - Capital One Financial Add 0.92% 202,200 0.04
HPQ - HP Inc. Reduce 1.62% 1,204,300 0.04
CMCSA - Comcast Corp. Add 1.00% 469,400 0.03
GOOG - Alphabet Inc. CL C Add 0.92% 234,000 0.03
MET - MetLife Inc. Add 0.92% 372,500 0.03
JCI - Johnson Controls Intl. plc Reduce 1.16% 397,400 0.03
BAC - Bank of America Corp. Reduce 1.57% 740,600 0.03
AEG - Aegon Ltd Add 3.65% 2,818,907 0.02
CE - Celanese Corp. Add 2.48% 111,300 0.02
GS - Goldman Sachs Group Add 0.92% 43,600 0.02
OXY - Occidental Petroleum Add 0.92% 640,900 0.02
RTX - RTX Corp. Add 0.92% 222,900 0.02
WFC - Wells Fargo Add 0.38% 327,800 0.02
BKR - Baker Hughes Co. Add 0.92% 301,000 0.01
BMY - Bristol-Myers Squibb Add 0.92% 165,600 0.01
COP - ConocoPhillips Add 0.92% 136,600 0.01
META - Meta Platforms Inc. Add 0.92% 22,500 0.01
RHHBY - Roche Holding AG ADR Add 0.92% 228,700 0.01
SLB - Schlumberger Ltd. Add 0.92% 300,800 0.01
TEL - TE Connectivity Add 0.92% 80,200 0.01
UNH - United Health Group Inc. Add 0.92% 23,500 0.01
CHTR - Charter Communications Add 0.38% 12,100 0.01
NWSA - News Corp. Reduce 4.63% 386,400 0.01
HAL - Halliburton Co. Reduce 4.88% 335,700 0.01
GSK - GSK plc Add 0.11% 65,400 0.00
Q2  2021
TMUS - T-Mobile US Inc. Add 482.40% 5,446,500 0.90
HMC - Honda Motor Co. Ltd. Add 267.36% 19,519,418 0.72
GILD - Gilead Sciences Add 60.81% 7,360,000 0.58
COF - Capital One Financial Reduce 12.92% 3,268,100 0.58
INCY - Incyte Corp. Add 226.97% 5,867,847 0.56
FI - Fiserv Inc. Add 45.46% 4,383,800 0.53
CTSH - Cognizant Technology Solutions Add 42.13% 5,484,800 0.43
HPE - Hewlett Packard Enterprise Reduce 23.49% 22,474,785 0.37
APA - APA Corp. Reduce 45.96% 13,113,410 0.32
CSCO - Cisco Systems Add 17.27% 4,422,700 0.27
NVS - Novartis AG Add 12.72% 1,801,356 0.19
GS - Goldman Sachs Group Reduce 8.58% 445,839 0.19
FOXA - Fox Corporation Add 15.74% 4,140,400 0.18
HAL - Halliburton Co. Reduce 49.38% 6,715,145 0.18
BMRN - BioMarin Pharmaceutical Inc. Add 25.51% 1,721,565 0.16
CARR - Carrier Global Corp. Reduce 16.07% 2,481,000 0.14
ALNY - Alnylam Pharmaceuticals Add 28.40% 687,685 0.13
RHHBY - Roche Holding AG ADR Add 10.88% 2,443,300 0.13
WMB - Williams Cos. Add 8.85% 4,027,972 0.12
META - Meta Platforms Inc. Add 12.07% 264,200 0.10
BAC - Bank of America Corp. Reduce 4.30% 2,127,700 0.10
STT - State Street Corp. Add 6.76% 911,600 0.09
HPQ - HP Inc. Reduce 3.45% 2,648,300 0.09
TFC - Truist Financial Corp. Reduce 14.19% 1,476,100 0.09
TEL - TE Connectivity Reduce 5.86% 543,500 0.08
SNY - Sanofi Aventis Add 2.45% 1,122,550 0.07
JCI - Johnson Controls Intl. plc Reduce 2.40% 842,200 0.07
FDX - FedEx Corp. Reduce 2.24% 174,900 0.06
AXP - American Express Reduce 3.72% 322,700 0.06
FOX - Fox Corporation CL B Add 17.20% 1,267,968 0.05
VMW-OLD - VMware Inc. Add 6.20% 257,300 0.05
BK - Bank of New York Mellon Corp. Add 2.19% 839,400 0.05
CMCSA - Comcast Corp. Reduce 1.47% 703,400 0.05
MET - MetLife Inc. Reduce 1.60% 660,000 0.05
DELL - Dell Technologies Inc. Reduce 1.82% 410,600 0.05
CI - Cigna Group Reduce 2.24% 202,700 0.05