DOSSIER · 13F-HR · Q2 2026

DODGE & COX

$191.0B in tracked AUM across 222 positions as of Q2 2026.

D&
CIK 0000200217 · last filed Jun 30, 2026
Total AUM
$191.0B
as of Q2 2026
Holdings
222
positions
Whale Score
75
75
strong
Activity
no data
changes this Q
AI Analysis · Q2 2026

Dodge & Cox closed Q1 2026 with $182.0B in just 222 holdings — among the most concentrated large books in the 13F universe — down modestly from $185.3B. True to its value discipline, the portfolio is led by Johnson Controls (4.14%), Charles Schwab (3.87%) and a major new $6.8B RTX position, the quarter's standout. Other fresh stakes include Sunbelt Rentals ($3.5B), Suncor ($1.7B) and Carrier ($1.5B), while the firm sold down GE (-$1.6B), Goldman Sachs (-$1.5B) and Alibaba (-$1.5B).

A value-led top. Johnson Controls (4.14%), Charles Schwab (3.87%), RTX (3.76%), Occidental Petroleum (2.65%) and Microsoft (2.43%) anchor the book — an industrial, financial and energy tilt that looks nothing like the megacap-tech monoculture dominating most large filers. Sector exposure confirms it: Healthcare ($29.2B) and Financial Services ($28.0B) lead, with Technology a distant $13.2B.

The headline move. A new $6.8B RTX (Raytheon) position is the quarter's defining action — instantly a top-three holding and one of the largest single new stakes among all filers this period. It is joined by a $3.5B Sunbelt Rentals stake, plus new positions in Suncor ($1.7B), Arthur J. Gallagher ($1.6B) and Carrier ($1.5B).

Analysis generated by 13F Insight from SEC Form 13F filing data · Q2 2026. Methodology

Quarter at a glance — Q2 2026

Position-change comparison pending.

No quarter-over-quarter changes available.

Top 10 holdings

By portfolio weight as of Q2 2026.

#HoldingValueSharesWeight
01
G51502105
Johnson Controls International PLC
$8.1B55.8M4.3%
02
SCHW
The Charles Schwab Corp.
$7.1B77.0M3.7%
03
RTX
RTX Corp.
$6.7B35.1M3.5%
04
CVS
CVS Health Corp.
$5.2B50.0M2.7%
05
MSFT
Microsoft Corp.
$4.8B12.8M2.5%
06
BKNG
Booking Holdings, Inc.
$4.6B25.5M2.4%
07
HUM
Humana, Inc.
$4.3B10.9M2.3%
08
GOOG
Alphabet, Inc.
$4.2B12.0M2.2%
09
MET
MetLife, Inc.
$4.1B48.4M2.1%
10
SUNB
Sunbelt Rentals Holdings, Inc.
$4.1B54.8M2.1%

Filing history

2026Q2Jun 30
$191.0B 5.0%
222 positionsView →
2026Q1Mar 31
$182.0B 1.8%
222 positionsView →
2025Q4Dec 31
$185.3B 0.0%
222 positionsView →
2025Q3Sep 30
$185.3B 4.1%
219 positionsView →
2025Q2Jun 30
$178.0B 1.4%
219 positionsLocked
2025Q1Mar 31
$175.5B 2.1%
214 positionsLocked
2024Q4Dec 31
$171.8B 2.8%
214 positionsLocked
2024Q3Sep 30
$176.8B 6.1%
205 positionsLocked
2024Q2Jun 30
$166.6B 3.3%
202 positionsLocked
2024Q1Mar 31
$172.4B 9.4%
199 positionsLocked
2023Q4Dec 31
$157.6B 6.2%
197 positionsLocked
2023Q3Sep 30
$148.4B 1.0%
192 positionsLocked
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