John Gunn - Dodge & Cox
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    222
Portfolio value:    $181,976,456,224
Holdings Activity Buys Sells    History
Holding/activity history for  Sbc Communications Inc (SBC)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2005   Q4 0 0.00 Sell 100.00% <0.01 SEC
2005   Q3 101,440 <0.01 Reduce 5.85% <0.01 $23.97 $2,432,000 SEC
2005   Q2 107,744 <0.01 Reduce 14.91% <0.01 $23.75 $2,559,000 SEC
2005   Q1 126,627 <0.01 Reduce 1.76% <0.01 $23.69 $3,000,000 SEC
2004   Q4 128,901 <0.01 Reduce 1.30% <0.01 $25.77 $3,322,000 SEC
2004   Q3 130,603 <0.01 Reduce 2.97% <0.01 $25.95 $3,389,000 SEC
2004   Q2 134,607 <0.01 Add 0.41% $24.25 $3,264,000 SEC
2004   Q1 134,051 0.05 Reduce 1.91% <0.01 $24.54 $3,290,000 SEC
2003   Q4 136,659 0.06 Reduce 4.38% <0.01 $26.07 $3,563,000 SEC
2003   Q3 142,920 0.06 Reduce 3.66% <0.01 $22.25 $3,180,000 SEC
2003   Q2 148,347 0.07 Reduce 5.69% <0.01 $25.55 $3,790,000 SEC
2003   Q1 157,297 0.05 Reduce 4.39% <0.01 $20.06 $3,155,000 SEC
2002   Q4 164,514 0.06 Reduce 8.75% <0.01 $27.11 $4,460,000 SEC
2002   Q3 180,285 0.01 Reduce 0.27% <0.01 $20.10 $3,624,000 SEC
2002   Q2 180,779 0.05 Reduce 21.81% 0.02 $30.50 $5,514,000 SEC
2002   Q1 231,197 0.07 Add 15.32% <0.01 $37.44 $8,656,000 SEC
2001   Q4 200,482 0.06 Add 0.30% <0.01 $39.17 $7,853,000 SEC
2001   Q3 199,876 0.08 Reduce 4.58% <0.01 $47.12 $9,418,000 SEC
2001   Q2 209,461 0.07 Reduce 0.29% <0.01 $40.06 $8,391,000 SEC
2001   Q1 210,061 0.08 Reduce 2.46% <0.01 $44.63 $9,375,000 SEC
2000   Q4 215,354 0.08 Reduce 20.09% 0.02 $47.75 $10,283,000 SEC
2000   Q3 269,512 0.11 Add 12.34% 0.01 $50.00 $13,476,000 SEC
2000   Q2 239,912 0.09 Add 7.26% <0.01 $43.25 $10,376,000 SEC
2000   Q1 223,664 0.08 Add 1.52% <0.01 $42.12 $9,421,000 SEC
1999   Q4 220,322 0.07 Add 554.73% 0.06 $48.75 $10,740,000 SEC
1999   Q3 33,651 0.01 Add 0.44% $51.05 $1,718,000 SEC
1999   Q2 33,502 0.01 Reduce 42.36% <0.01 $58.00 $1,943,000 SEC
1999   Q1 58,119 0.02 $47.18 $2,742,000 SEC