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John A. Gunn - Dodge & Cox Fund Portfolio Q3/2011

|Includes:AEG, AMGN, AOL, AXP, BAC, BK, BSX, CAT, CB, CE, CM, COP, COST, CS, CSC, CX, DIS, DVN, EQIX, ETN, GILD, GNW, GOOG, GS, GSK, HMC, HPQ, HSBC, IBM, JEC, LBTYA, LNC, MCD, MCO, MDT, MOLX, MOLXA, MRK, Microsoft Corporation (MSFT), NOK, PBR.A, PG, PHG, RDS.A, RDS.B, REGN, SCHW, SNY, SPGI, SYMC, TGT, TLK, TMO, TV, UGP, UL, UNP, VMC, WFC, WMT, XOM

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:
John A. Gunn - Dodge & Cox Fund Portfolio Q3/2011...

 
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