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

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ADV MICRO DEVICE 0 1,606,248 1,606,248 1.02% $326.76M
PHILIP MORRIS INTL INC 0 1,946,200 1,946,200 1.01% $321.78M
CVS HEALTH CORP 0 2,952,600 2,952,600 0.66% $212.06M
ASTRAZENECA PLC 0 1,057,888 1,057,888 0.65% $208.64M
NETFLIX INC 0 2,160,950 2,160,950 0.65% $207.78M
CONSTELLATION ENERGY CORP 0 700,400 700,400 0.61% $195.59M
CENOVUS ENERGY INC 0 6,066,700 6,066,700 0.50% $160.95M
OTIS WORLDWIDE CORP 0 2,051,190 2,051,190 0.50% $158.11M
MARTIN MAR MTLS 0 265,040 265,040 0.49% $156.02M
PACKAGING CORP OF AMERICA 0 721,666 721,666 0.48% $153.15M
INGERSOLL RAND INC 0 1,869,300 1,869,300 0.47% $149.77M
HUNTINGTON BANCSHARES INC 0 6,282,800 6,282,800 0.31% $98.33M
CORTEVA INC 0 799,200 799,200 0.21% $66.90M
FEDERAL NATIONAL MORTGAGE ASSOCIATION 0 3,027,249 3,027,249 0.07% $21.98M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
GENERAL ELECTRIC CO 893,668 0 -893,668 0.00% -$275.28M
TE CONNECTIVITY PLC 936,067 0 -936,067 0.00% -$212.96M
ASTRAZENECA PLC SPONS ADR 2,121,226 0 -2,121,226 0.00% -$195.00M
MICROSOFT CORP 285,369 0 -285,369 0.00% -$138.01M
PINTEREST INC CL A 5,192,656 0 -5,192,656 0.00% -$134.44M
PPG INDUSTRIES INC 1,268,659 0 -1,268,659 0.00% -$129.99M
TOLL BROTHERS INC 922,780 0 -922,780 0.00% -$124.78M
CAPITAL ONE FINANCIAL CORP 470,922 0 -470,922 0.00% -$114.13M
THE CIGNA GROUP 403,107 0 -403,107 0.00% -$110.95M
OWENS CORNING INC 936,995 0 -936,995 0.00% -$104.86M
WALMART INC 926,154 0 -926,154 0.00% -$103.18M
ALCON INC 1,203,776 0 -1,203,776 0.00% -$94.87M
FRANCO-NEVADA CORP 254,205 0 -254,205 0.00% -$52.69M
KEYCORP 2,363,737 0 -2,363,737 0.00% -$48.79M
COREBRIDGE FINANCIAL INC 256,805 0 -256,805 0.00% -$7.75M
PACCAR INC 57,318 0 -57,318 0.00% -$6.28M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
GILEAD SCIENCES INC 3,888,665 4,127,097 238,432 1.80% $97.90M
PROCTER & GAMBLE 3,354,847 3,962,034 607,187 1.79% $91.49M
MONDELEZ INTL INC 7,916,378 9,738,814 1,822,436 1.76% $135.21M
SOUTHERN CO 5,357,033 5,515,954 158,921 1.67% $65.27M
JOHNSON&JOHNSON 1,220,585 2,116,305 895,720 1.62% $264.71M
T Rowe Price Government Reserve Investment Fund 124,139,634 489,440,207 365,300,573 1.53% $365.30M
INTERCONTINENTAL EXCHANGE INC 2,813,973 3,012,033 198,060 1.49% $17.98M
CENCORA INC 1,364,675 1,428,973 64,298 1.41% -$12.02M
ABBOTT LABS 2,180,691 4,295,189 2,114,498 1.38% $167.77M
UNITEDHEALTH GRP 1,316,399 1,625,079 308,680 1.38% $5.17M
CISCO SYSTEMS INC 4,409,208 4,996,901 587,693 1.22% $48.07M
THE BOOKING HOLDINGS INC 45,020 89,265 44,245 1.18% $134.74M
T-MOBILE US INC 1,304,633 1,639,764 335,131 1.08% $79.51M
CSX CORP 6,553,480 7,848,159 1,294,679 1.01% $84.60M
WALT DISNEY CO/T 2,038,577 3,259,515 1,220,938 0.98% $82.22M
REVVITY INC 3,027,497 3,517,315 489,818 0.97% $15.24M
PUBLIC STORAGE 472,182 1,076,790 604,608 0.91% $169.15M
MORGAN STANLEY 1,437,255 1,568,323 131,068 0.81% $2.94M
VISA INC-CLASS A 440,940 807,944 367,004 0.77% $89.55M
LOWES COS INC 813,378 880,360 66,982 0.65% $11.86M
TRACTOR SUPPLY CO. 210,095 4,504,168 4,294,073 0.64% $193.53M
INTL BUS MACH CORP 635,697 828,139 192,442 0.63% $12.43M
MERCK & CO 614,485 1,622,875 1,008,390 0.61% $130.53M
PENTAIR PLC 1,489,652 2,226,326 736,674 0.61% $38.80M
CHUBB LTD 523,565 575,082 51,517 0.59% $24.02M
EQUITY LIFESTYLE PPTYS INC 2,456,173 2,700,171 243,998 0.53% $19.68M
EQUIFAX INC 622,687 864,426 241,739 0.49% $20.55M
METLIFE INC 930,559 1,750,627 820,068 0.39% $50.35M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMORGAN CHASE and CO 3,536,479 3,523,359 -13,120 3.25% -$103.09M
KEYSIGHT TECHNOLOGIES INC 4,001,697 3,570,708 -430,989 3.16% $195.16M
BERKSHIRE HATH-B 1,924,677 1,917,537 -7,140 2.88% -$48.56M
DEERE & CO 1,591,165 1,474,822 -116,343 2.60% $89.97M
CONOCOPHILLIPS 5,955,573 5,698,416 -257,157 2.36% $194.69M
ALPHABET INC CL A 2,353,556 2,344,825 -8,731 2.11% -$62.39M
WESTINGHOUSE AIR BRAKE TECH CORP 2,531,861 2,522,468 -9,393 1.98% $89.96M
CHEVRON CORP 2,768,915 2,758,643 -10,272 1.79% $148.75M
ALPHABET INC CL C 1,940,594 1,933,395 -7,199 1.74% -$54.34M
AMETEK INC NEW 2,854,451 2,489,871 -364,580 1.67% -$52.32M
SCHWAB CHARLES CORP 5,259,632 5,240,119 -19,513 1.54% -$33.02M
LINDE PLC 956,133 952,585 -3,548 1.48% $64.57M
MCDONALDS CORP 1,491,709 1,486,175 -5,534 1.45% $5.98M
BANK OF AMERICA CORPORATION 9,377,415 9,008,226 -369,189 1.38% -$76.61M
CATERPILLAR INC 609,126 584,466 -24,660 1.30% $65.12M
RANGE RESOURCES CORP 9,457,653 8,986,565 -471,088 1.27% $72.54M
SLB LTD 7,759,313 7,730,527 -28,786 1.25% $99.47M
AUTOZONE INC 117,453 117,017 -436 1.24% -$3.08M
TENET HEALTHCARE CORP 2,027,457 2,019,936 -7,521 1.20% -$21.71M
REPUBLIC SVCS 1,715,587 1,709,222 -6,365 1.17% $10.77M
ALLSTATE CORPORATION 2,092,452 1,803,284 -289,168 1.17% -$61.65M
AMERICAN EXPRESS CO 1,220,517 1,215,989 -4,528 1.15% -$83.72M
TECHNIPFMC PLC 5,116,337 5,097,356 -18,981 1.10% $124.40M
WELLTOWER INC 1,707,046 1,700,713 -6,333 1.05% $19.40M
VALERO ENERGY CORP 1,980,323 1,317,698 -662,625 1.02% $3.20M
AMEREN CORP 3,061,044 2,890,580 -170,464 1.00% $12.06M
EXXON MOBIL CORP 1,860,564 1,853,662 -6,902 0.99% $90.59M
ANALOG DEVICES INC 1,283,291 955,625 -327,666 0.95% -$44.01M
TEXAS INSTRUMENTS INC 2,998,385 1,529,426 -1,468,959 0.93% -$223.27M
HOME DEPOT INC 1,068,788 887,336 -181,452 0.91% -$75.93M
FIFTH THIRD BANCORP 6,162,703 6,139,840 -22,863 0.89% -$3.22M
PARKER HANNIFIN CORP 598,176 301,237 -296,939 0.85% -$256.09M
INTL PAPER CO 11,607,515 7,506,006 -4,101,509 0.84% -$189.26M
COLGATE-PALMOLIVE CO 2,917,918 2,907,093 -10,825 0.78% $17.20M
DOLLAR TREE INC 2,626,768 2,182,421 -444,347 0.75% -$84.12M
BALL CORP 4,020,281 3,907,066 -113,215 0.72% $17.99M
OLD DOMINION FRT 1,827,773 1,147,192 -680,581 0.70% -$62.43M
KLA CORP 180,575 133,067 -47,508 0.61% -$23.48M
ARISTA NETWORKS INC 2,777,104 1,579,742 -1,197,362 0.61% -$169.92M
LAM RESEARCH CORP 1,463,180 901,340 -561,840 0.60% -$57.89M
QUEST DIAGNOSTICS INC 926,526 923,088 -3,438 0.57% $20.13M
CITIGROUP INC 2,651,551 1,594,014 -1,057,537 0.57% -$128.63M
NORFOLK SOUTHERN CORP 872,270 593,194 -279,076 0.53% -$81.60M
GOLDMAN SACHS GROUP INC 283,270 198,132 -85,138 0.53% -$81.38M
INTEL CORP 5,588,241 3,667,409 -1,920,832 0.51% -$44.36M
ESSEX PROPERTY TRUST INC 668,278 665,799 -2,479 0.51% -$13.75M
AMAZON.COM INC 1,732,338 767,311 -965,027 0.50% -$240.05M
TRAVELERS COS IN 540,805 538,798 -2,007 0.49% $290.70K
NORTHROP GRUMMAN CORP 221,661 220,838 -823 0.47% $24.27M
WW GRAINGER INC 196,118 135,550 -60,568 0.46% -$50.03M
META PLATFORMS INC CL A 237,439 236,558 -881 0.42% -$21.39M
VICI PROPERTIES 4,582,752 4,565,750 -17,002 0.39% -$4.13M
ELEVANCE HEALTH INC 898,385 393,427 -504,958 0.36% -$199.75M
CME GROUP INC CL A 529,603 371,518 -158,085 0.34% -$34.90M
ANNALY CAPITAL MGMT INC REIT 7,630,281 4,425,577 -3,204,704 0.29% -$77.01M
INTERDIGITAL INC 275,205 274,184 -1,021 0.26% -$4.82M
SALESFORCE INC 550,703 314,460 -236,243 0.18% -$87.19M
TREASURY RESERVE FUND - Collateral 112,077,121 46,402,456 -65,674,666 0.15% -$65.67M
APOLLO GLOBAL MANAGEMENT INC 336,621 314,032 -22,589 0.11% -$13.74M
XCEL ENERGY INC 4,406,990 427,865 -3,979,125 0.11% -$291.51M
PROGRESSIVE CORP OHIO 169,139 168,511 -628 0.10% -$5.11M
DANAHER CORP 464,740 144,839 -319,901 0.09% -$78.93M
ATMOS ENERGY CORP 793,839 96,397 -697,442 0.06% -$115.26M

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.