John A. Gunn - Dodge & Cox Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of John A. Gunn’s - Dodge & Cox - fund portfolio movements as of Q3/2011 (September 30, 2011). In total, he held 77 stocks with a total portfolio worth of USD 33,980,749,000.
John A. Gunn’s fund positions as of Q3/2011 with latest stock movements:
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MSFT, HPQ, UL, WMT, CE, SCHW, GS, MRK, SNY, NOK, CSC, BAC, MHP, CX, WFC, TLK, VMC, GSK, BK, RDS.A, TV, MMI, MDT, CS, EQIX, DVN, JEC, LNC, COST, MCO, AMGN, SYMC, BSX, AEG, HBC, UGP, PBR.A, MOLXA, AOL, HMC, LBTYA, GILD, GNW, RDS.B, MOLX, IBM, UNP, REGN, XOM, PG, AXP, CB, TGT, CAT, MCD, TMO, ETN, DIS, PHG, COP, CMCSK, MMM, UN, DE, GPC, JPM, NUE, RIO, JNJ, CI, DD, DUK, BMY, BRK.B, ABT, PNC, BDX, SIAL, PM, CTXS, LLY, KO, APC, APD, NEE, HON, CL, AAPL, PPG, T, DTV, NSC, STT, ADBE, MO, FLR, PEP, TDC, BRK.A, WLP, HES, VFC, PH, HAL, D, KFT, GIS, AA, NTRS, JW.A, BAX, KMB, PGN, ISRG, AGN, AET, AEP, PCG, AMP, AON, VZ, ALL, EXPD, RRD, EQR, WHR, PBR, NKE, LSTZA, ADSK, CAH, CVE, S, MXIM, DEO, BBT, STI, LBTYK, DNB, NVS, FDX, ERTS, SNPS, TRV, BMC, IPG, VOD, HD, DISH, USB, BHI, SLM, TWX, TWC, SNE, LINTA, CDNS, KMX, SLB, TEL, XRX, PBI, OXY, ERIC, M, CVX, CPWR, UFS, COF, EBAY, TYC, PC, LM, GE, DOW, CMCSA, NWSA, PFE, MIICF, CFN, MSI, WAG, COV,