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John A. Gunn - Dodge & Cox Fund Portfolio Q4/2011

|Includes: AEG, AMGN, BAC, BBT, BHGE, BK, BMC, BSX, CHTR, CMCSA, COF, CVX, DISH, DWDP, EBAY, EL, FDX, GE, GS, GSK, HD, HP Inc. (HPQ), HSBC, JCI, MDT, MRK, MSFT, MXIM, NOK, NVS, NWSA, OXY, PFE, QRTEA, S, SCHW, SLB, SNE, SNPS, SNY, SPGI, SYMC, TWX, UL, VOD, WFC, WMT, XRX

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 (December 31, 2011). In total, he held 75 stocks with a total portfolio worth of USD 36,373,592,000.

John A. Gunn's fund positions as of Q4/2011 with latest stock movements:
John A. Gunn - Dodge & Cox Fund Portfolio Q4/2011...

Related Stock Ticker:

HPQ, WFC, CMCSA, MRK, COF, SNY, GE, TWX, AMGN, GSK, PFE, NVS, NWSA, SLB, FDX, OXY, MSFT, WMT, RHHVF, EBAY, BK, GS, HD, VOD, TWC, SYMC, SCHW, DOW, CVX, BHI, XRX, MXIM, BAC, BBT, EL, SNPS, BSX, S, VMX, LINTA, SNE, TYC, BMC, NOK, AEG, UL, MDT, DISH, MHP, HBC, CSC, CDNS, CE, STI, ADBE, MOLXA, NTAP, PC, PHG, GNW, CPWR, KMX, AOL, CX, LOW, CS, EQIX, PBI, GLW, NVR, MOLX, UFS, LM, LBTK