TRZAX
T. Rowe Price Value Fund, Inc.
T. ROWE PRICE VALUE FUND, INC.

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
105
Top-10 weight
23.73%
Effective holdings ?
72
Crowding ?
1286.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 JPMORGAN CHASE and CO 3,523,359 $1.04B 3.25%
2 KEYSIGHT TECHNOLOGIES INC 3,570,708 $1.01B 3.16%
3 BERKSHIRE HATH-B 1,917,537 $918.88M 2.88%
4 DEERE & CO 1,474,822 $830.77M 2.61%
5 CONOCOPHILLIPS 5,698,416 $752.19M 2.36%
6 ALPHABET INC CL A 2,344,825 $674.28M 2.12%
7 WESTINGHOUSE AIR BRAKE TECH CORP 2,522,468 $630.39M 1.98%
8 GILEAD SCIENCES INC 4,127,097 $575.19M 1.80%
9 PROCTER & GAMBLE 3,962,034 $572.28M 1.80%
10 CHEVRON CORP 2,758,643 $570.76M 1.79%
11 MONDELEZ INTL INC 9,738,814 $561.35M 1.76%
12 ALPHABET INC CL C 1,933,395 $554.61M 1.74%
13 AMETEK INC NEW 2,489,871 $533.73M 1.67%
14 SOUTHERN CO 5,515,954 $532.40M 1.67%
15 JOHNSON&JOHNSON 2,116,305 $517.31M 1.62%
16 SCHWAB CHARLES CORP 5,240,119 $492.47M 1.54%
17 T Rowe Price Government Reserve Investment Fund TRPGRIA 489,440,207 $489.44M 1.54%
18 INTERCONTINENTAL EXCHANGE INC 3,012,033 $473.73M 1.49%
19 LINDE PLC 952,585 $472.25M 1.48%
20 MCDONALDS CORP 1,486,175 $461.89M 1.45%
21 CENCORA INC 1,428,973 $448.90M 1.41%
22 ABBOTT LABS 4,295,189 $440.99M 1.38%
23 UNITEDHEALTH GRP 1,625,079 $439.73M 1.38%
24 BANK OF AMERICA CORPORATION 9,008,226 $439.15M 1.38%
25 CATERPILLAR INC 584,466 $414.07M 1.30%
26 RANGE RESOURCES CORP 8,986,565 $406.01M 1.27%
27 SLB LTD 7,730,527 $397.27M 1.25%
28 AUTOZONE INC 117,017 $395.26M 1.24%
29 CISCO SYSTEMS INC 4,996,901 $387.71M 1.22%
30 TENET HEALTHCARE CORP 2,019,936 $381.18M 1.20%
31 THE BOOKING HOLDINGS INC 89,265 $375.83M 1.18%
32 REPUBLIC SVCS 1,709,222 $374.35M 1.17%
33 ALLSTATE CORPORATION 1,803,284 $373.89M 1.17%
34 AMERICAN EXPRESS CO 1,215,989 $367.81M 1.15%
35 TECHNIPFMC PLC 5,097,356 $352.38M 1.11%
36 T-MOBILE US INC 1,639,764 $344.40M 1.08%
37 WELLTOWER INC 1,700,713 $336.25M 1.05%
38 ADV MICRO DEVICE 1,606,248 $326.76M 1.02%
39 VALERO ENERGY CORP 1,317,698 $325.58M 1.02%
40 CSX CORP 7,848,159 $322.17M 1.01%
41 PHILIP MORRIS INTL INC 1,946,200 $321.78M 1.01%
42 AMEREN CORP 2,890,580 $317.73M 1.00%
43 EXXON MOBIL CORP 1,853,662 $314.49M 0.99%
44 WALT DISNEY CO/T 3,259,515 $314.15M 0.99%
45 REVVITY INC 3,517,315 $308.15M 0.97%
46 ANALOG DEVICES INC 955,625 $304.02M 0.95%
47 TEXAS INSTRUMENTS INC 1,529,426 $296.92M 0.93%
48 HOME DEPOT INC 887,336 $291.84M 0.92%
49 PUBLIC STORAGE 1,076,790 $291.68M 0.91%
50 FIFTH THIRD BANCORP 6,139,840 $285.26M 0.89%
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