Chris Davis

Chris Davis

13F
Davis Selected Advisers
Last update 2024-11-13 102 Stocks (3 new)
Value $17.83 Bil Turnover 5 %
Countries:
Portfolio Report

Chris Davis Profile

Davis Advisors manages more than $60 billion across several different asset classes. Chris Davis is the portfolio manager of Davis Financial Fund.

Chris Davis Investing Philosophy

Davis purchases durable, well-managed businesses that can be purchased at value prices and held for the long term (average holding period of a stock in the Davis New York Venture Fund is four to seven years). Davis focuses primarily on financial services companies. He looks to buy companies when they are out of favor.

Chris Davis's Portfolio

Chris Davis Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
RNR
RenaissanceRe Holdings Ltd
141,214
38466.69
New Holding
0.22
+0.22%
0.27
-9.35%
+0.16%
12929.414
Insurance
EGP
EastGroup Properties Inc
39,660
7409.28
New Holding
0.04
+0.04%
0.08
-10.59%
+0.20%
7956.541
REITs
TCOM
Trip.com Group Ltd
3,746,822
222673.63
New Holding
1.25
+1.25%
0.58
-1.15%
-3.66%
42986.283
Travel & Leisure
COP
ConocoPhillips
1,407,562
148188.13
+270.44%
0.83
+0.61%
0.12
-8.36%
+1.27%
130274.639
Oil & Gas
MGM
MGM Resorts International
19,038,296
744206.99
+59.83%
4.17
+1.56%
6.39
-11.87%
+0.77%
10194.636
Travel & Leisure
AGCO
AGCO Corp
2,041,981
199828.26
+50.41%
1.12
+0.38%
2.74
-3.73%
+0.74%
6942.012
Farm & Heavy Construction Machinery
MAA
Mid-America Apartment Communities Inc
35,660
5666.37
+48.09%
0.03
+0.01%
0.03
-0.93%
-0.36%
17970.93
REITs
WCC
WESCO International Inc
256,020
43006.24
+32.21%
0.24
+0.06%
0.52
+8.80%
+0.48%
8866.85
Industrial Distribution
EQIX
Equinix Inc
19,328
17156.11
+11.99%
0.1
+0.01%
0.02
+7.25%
+0.37%
91588.515
REITs
STT
State Street Corp
60,809
5379.77
+10.73%
0.03
0%
0.02
+15.90%
+1.54%
28960.339
Asset Management
VTRS
Viatris Inc
62,647,266
727334.76
+8.88%
4.08
+0.33%
5.25
+10.42%
+0.80%
14896.04
Drug Manufacturers
JCI
Johnson Controls International PLC
463,669
35985.35
+5.47%
0.2
+0.01%
0.07
+4.88%
+1.28%
52829.148
Construction
PLD
Prologis Inc
246,846
31171.71
+4.20%
0.17
+0.01%
0.03
-14.09%
+0.06%
97970.793
REITs
SOLV
Solventum Corp
5,271,513
367529.89
+2.08%
2.06
+0.04%
3.05
-1.38%
+0.97%
11384.705
Healthcare Providers & Services
TFC
Truist Financial Corp
137,238
5869.67
+1.72%
0.03
0%
0.01
+6.68%
+1.57%
57800.25
Banks
USB
U.S. Bancorp
14,392,993
658191.57
+1.16%
3.69
+0.04%
0.92
+10.25%
+0.94%
74444.713
Banks
MKL
Markel Group Inc
289,600
454260.77
+0.88%
2.55
+0.02%
2.25
+10.95%
+0.42%
22303.398
Insurance
CVS
CVS Health Corp
367,512
23109.16
+0.75%
0.13
0%
0.03
-26.96%
+0.16%
55999.141
Healthcare Plans
MTB
M&T Bank Corp
48,565
8650.4
+0.66%
0.05
0%
0.03
+10.89%
+1.54%
31374.031
Banks
SAP
SAP SE
99,355
22762.23
+0.55%
0.13
0%
0.01
+9.21%
-0.36%
285185.921
Software
100/Page
Total 105

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