DOXFX
Dodge & Cox International Stock Fund
Dodge & Cox Funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
92
Top-10 weight
29.32%
Effective holdings ?
59
Crowding ?
391.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 41,154,200 $2.32B 3.80%
2 JOHNSON CONTROLS 16,345,201 $2.14B 3.50%
3 GSK plc ORD GBP0.3125 GSK 74,716,020 $2.05B 3.35%
4 BNP PARIBAS 20,740,092 $1.98B 3.23%
5 TOTALENERGIES SE 18,698,370 $1.73B 2.83%
6 Novartis AG (Registered) NVSEF 10,818,770 $1.64B 2.69%
7 BANCO SANTANDER SA 142,808,516 $1.62B 2.65%
8 ITAU UNIBAN-PREF 188,445,087 $1.58B 2.59%
9 BARCLAYS PLC 270,051,508 $1.42B 2.33%
10 SUNCOR ENERGY INC 21,087,754 $1.39B 2.28%
11 UBS GROUP AG 32,415,142 $1.26B 2.06%
12 ROCHE HOLDING AG 3,019,500 $1.19B 1.95%
13 GLENCORE PLC 145,241,761 $1.11B 1.81%
14 THE BOOKING HOLDINGS INC 253,787 $1.07B 1.75%
15 Bayer Aktiengesellschaft BAYN 21,789,910 $990.59M 1.62%
16 INFINEON TECH 22,091,300 $970.65M 1.59%
17 Prudential Public Limited Company PRU 69,388,158 $967.64M 1.58%
18 COUPANG INC A 50,079,300 $945.50M 1.55%
19 ANHEUSER-BUSCH INBEV SA/NV 13,101,200 $909.10M 1.49%
20 Credicorp Ltd 2,620,780 $888.92M 1.46%
21 SUNBELT RENTALS 13,623,800 $886.77M 1.45%
22 ALIBABA GROUP HOLDING LTD SPON ADR 7,067,500 $886.69M 1.45%
23 DEUTSCHE TELEKOM 23,803,900 $877.75M 1.44%
24 IMPERIAL BRANDS 21,473,497 $873.96M 1.43%
25 AIA 76,895,300 $863.83M 1.41%
26 AXIS BK LTD AXSB 66,840,650 $853.92M 1.40%
27 TE CONNECTIVITY 4,056,985 $847.99M 1.39%
28 COMMON STOCK CLNX SQ 25,525,500 $828.75M 1.36%
29 CEMEX SAB-SP ADR 70,890,135 $810.98M 1.33%
30 MITSUBISHI ELECTRIC CORP COMMON STOCK MIELF 24,087,800 $786.65M 1.29%
31 AKZO NOBEL 13,435,060 $770.97M 1.26%
32 HALEON PLC 154,811,204 $766.30M 1.25%
33 HDFC Bank Ltd. INR1 HDFCBANK 92,493,800 $738.92M 1.21%
34 AVIVA PLC 91,642,652 $729.98M 1.19%
35 AON PLC-CLASS A 2,249,200 $726.00M 1.19%
36 SK HYNIX INC 1,225,100 $666.32M 1.09%
37 DHL GROUP 12,353,000 $637.06M 1.04%
38 LINDE PLC 1,277,735 $633.45M 1.04%
39 FRESENIUS MEDICAL CARE AG COMMON STOCK FME 14,034,734 $624.42M 1.02%
40 BROOKFIELD CORP CL A 14,611,079 $591.31M 0.97%
41 WILLIS TOWERS WA 1,967,400 $571.92M 0.94%
42 MILLICOM INTL CELLULAR S.A. COMMON STOCK USD1.5 TIGO US 7,551,010 $565.87M 0.93%
43 DANONE SA 7,036,200 $565.09M 0.93%
44 SMITHS GROUP PLC COMMON STOCK GBP.375 SMIN 18,483,816 $562.98M 0.92%
45 INTL FLVR & FRAG 7,740,800 $561.60M 0.92%
46 TENCENT HOLDINGS LTD 8,746,800 $552.20M 0.90%
47 LONDON STOCK EXCHANGE GRP LSEG LN 4,578,679 $541.14M 0.89%
48 TC ENERGY CORP 8,567,000 $536.29M 0.88%
49 SCHNEIDER ELECTRIC SE COMMON STOCK EUR4.0 SU FP 1,890,646 $519.30M 0.85%
50 SAMSUNG ELE-PREF 6,479,600 $515.92M 0.84%
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