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  At&t Corp (9489)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2002   Q4 0 0.00 Sell 100.00% 4.81 SEC
2002   Q3 114,308,534 4.81 Buy 4.81 $12.01 $1,372,845,000 SEC
2001   Q2 0 0.00 Sell 100.00% 1.58 SEC
2001   Q1 9,282,197 1.58 Add 51,764.54% 1.58 $21.30 $197,711,000 SEC
2000   Q4 17,897 <0.01 Reduce 79.46% 0.02 $17.27 $309,000 SEC
2000   Q3 87,147 0.02 Add 296.18% 0.02 $29.38 $2,560,000 SEC
2000   Q2 21,997 0.01 Reduce 9.74% <0.01 $31.60 $695,000 SEC
2000   Q1 24,372 0.01 Add 4.65% <0.01 $56.29 $1,372,000 SEC
1999   Q4 23,290 0.01 Add 5.76% <0.01 $50.79 $1,183,000 SEC
1999   Q3 22,022 0.01 Reduce 5.37% <0.01 $43.46 $957,000 SEC
1999   Q2 23,271 0.01 Add 47.93% <0.01 $55.78 $1,298,000 SEC
1999   Q1 15,731 0.01 $79.84 $1,256,000 SEC