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  JOYY Inc. (JOYY)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2026   Q1 42,006 <0.01 Reduce 15.32% <0.01 $58.39 $2,452,730 SEC
2025   Q4 49,606 <0.01 $64.76 $3,212,485 SEC
2025   Q3 49,606 <0.01 $58.61 $2,907,408 SEC
2025   Q2 49,606 <0.01 Reduce 5.45% <0.01 $50.91 $2,525,441 SEC
2025   Q1 52,466 <0.01 Add 50.05% <0.01 $41.98 $2,202,523 SEC
2024   Q4 34,966 <0.01 $41.85 $1,463,327 SEC
2024   Q3 34,966 <0.01 $36.24 $1,267,168 SEC
2024   Q2 34,966 <0.01 Add 3.73% $30.09 $1,052,127 SEC
2024   Q1 33,710 <0.01 Add 6.31% $30.75 $1,036,583 SEC
2023   Q4 31,710 <0.01 Add 28.33% <0.01 $39.70 $1,258,887 SEC
2023   Q3 24,710 <0.01 Add 36.46% <0.01 $38.11 $941,698 SEC
2023   Q2 18,108 <0.01 Add 13.12% $30.71 $556,097 SEC
2023   Q1 16,008 <0.01 Buy <0.01 $31.18 $499,129 SEC
2022   Q1 0 0.00 Sell 100.00% <0.01 SEC
2021   Q4 8,828 <0.01 Add 76.00% <0.01 $45.42 $401,000 SEC
2021   Q3 5,016 <0.01 Add 43.31% <0.01 $54.82 $275,000 SEC
2021   Q2 3,500 <0.01 Buy <0.01 $66.00 $231,000 SEC