Dodge & Cox International Stock Fund

 (MUTF:DODFX)   Watch this mutual fund  
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Performance

Trailing returns

1 day   +0.41%
   
1 week   +1.90%
   
4 week   +9.07%
   
3 month   +8.44%
   
YTD   +12.79%
   
1 year   +39.08%
   
3 years*   +13.51%
   
5 years*   +0.82%
   
*annualized
Best 3 month return+49.51%  
Worst 3 month return-40.40%  

Morningstar statistics

Morningstar category: Foreign Large Blend
  Return Risk Rating
3 years Average Above Average
5 years Above Average High
10 years High High
Overall Above Average High
Morningstar style  Learn more
      Large
      Mid
      Small
Value Blend Growth  

Key statistics

Total assets44.30B 
Front load-  
Deferred load-  
Expense ratio0.64%  
Management fee-  
Fund familyDodge & Cox 

Asset allocation

Cash0.00%  
Stocks98.47%  
Bonds0.00%  
Other1.53%  

Purchase information

Initial$2,500  
Additional$100  
IRA Initial$1,000  
AIP Initial$2,500  
AIP Additional$100  
39.01-0.23(-0.59%)
May 22, 4:00PM EDT Overall Morningstar RatingTM

Description

The investment seeks long-term growth of principal and income. The fund invests primarily in a diversified portfolio of equity securities issued by non-U.S. companies from at least three different countries, including emerging markets. It will invest at least 80% of its total assets in common stocks, preferred stocks, securities convertible into common stocks, and securities that carry the right to buy common stocks of non-U.S. companies. The fund invests primarily in medium-to-large well established companies based on standards of the applicable market.
Fund filings (PDF) »
Asset managers:
Roger Kuo (Started: May 1, 2006)
Keiko Horkan (Started: May 1, 2007)
Richard Callister (Started: May 1, 2012)
Diana Strandberg (Started: May 1, 2001)
C. Cameron (Started: May 1, 2001)
Charles Pohl (Started: May 1, 2007)
John Gunn (Started: May 1, 2001)
Gregory Serrurier (Started: May 1, 2001)
Mario DiPrisco (Started: Jan 1, 2004)
Advisor Company:
Dodge & Cox
Fund family reports on Morningstar »
Dodge & Cox Worldwide Investments Ltd., 111 Buckingham Palace Road

Risk

  1 year 3 years 5 years 10 years  
Alpha* -0.62 -0.80 2.02 2.56
Beta* 1.00 1.04 1.13 1.11
Mean annual return 1.55 0.72 0.34 1.17
R-squared* 95.96 97.40 97.15 95.01
Standard deviation 16.62 20.57 26.56 20.70
Sharpe ratio 1.11 0.42 0.14 0.60
* Against standard index

Top 10 holdings

Security Net Assets  
Roche Holding AG (RHHVF) 4.01%  
Sanofi (SAN) 3.83%  
Naspers Ltd (NPN) 3.69%  
Lafarge SA (LG) 3.31%  
Royal Philips Electronics NV (PHGFF) 3.08%  
Credit Suisse Group (CSGN) 2.81%  
Novartis AG ADR (NVS) 2.71%  
Vodafone Group PLC (VODPF) 2.66%  
HSBC Holdings PLC (HBCYF) 2.57%  
Bayer AG (BAYN) 2.51%