ÔçÒÒŮѸÀ×

    1. <form id=SSjMaZxIp><nobr id=SSjMaZxIp></nobr></form>
      <address id=SSjMaZxIp><nobr id=SSjMaZxIp><nobr id=SSjMaZxIp></nobr></nobr></address>

      Chris Davis Portfolio

      Davis Selected Advisers Holdings

      Over the past twenty years, Chris Davis has been a successful value investor in a number of asset classes including equities, fixed income, currencies and commodities. He is currently the portfolio manager of Davis Selected Advisers, a family office that manages assets for a number of high net worth clients and VC funds. Davis Selected Advisers is an investment firm that employs a quantitative approach to investing in large cap stocks, long / short equities and event-driven opportunities. The goal of the firm is to deliver excess risk-adjusted returns over the long term.
      Chris Davis's investment portfolio emphasizes strong market presence and diverse revenue streams, characteristic of his stock picks. Meta Platforms Inc leads as a tech giant with significant influence in social media through Facebook, Instagram, and WhatsApp, alongside its ventures into virtual reality.
      Wells Fargo & Co, one of the largest banks in America, offers resilience with its extensive banking services and financial solutions, providing stability within Davis's investments.
      Capital One Financial Corp, a diversified bank, holds a robust position in credit card offerings, banking products, and auto loans, highlighting Davis's preference for well-established financial institutions.
      Amazon.com Inc represents a cornerstone of ecommerce and cloud computing, showing continuous growth and innovation dominance in both retail and technology sectors, reflecting Davis's foresight in high-growth potential stocks.
      Berkshire Hathaway Inc. solidifies the foundation of the portfolio with its vast conglomerate structure that includes insurance, energy, manufacturing, and services, indicative of Chris Davis's strategy to invest in companies with enduring value and diversified operations.
      Investors keeping track of Chris Davis will note his focus on companies with clear competitive advantages, long-term growth prospects, and robust financial health.

      $19.1 Billion Total portoflio value
      Sort by: Biggest Holdings Latest Trades Biggest Wins Biggest Losses
      Stock
      % of Portfolio
      Average Buy Price The buy price is calculated from the weighted average of all purchases since the last sell-out of the investor. In case the buy price of a purchase wasn't reported, the average price during the reported period is taken.
      Current Price
      Last Transaction

      Latest News

      Chris Davis Portfolio: Top Holdings in August 2025

      Chris Davis's top August 2025 holdings include Capital One Financial (COF), a financial services company specializing in credit, auto loans, and banking.

      stockcircle stockcircle, 27 days ago

      Chris Davis Portfolio: Top Holdings - June 2025

      Chris Davis's portfolio (June 2025) is led by Capital One Financial (COF), a financial services company focused on credit cards & loans.

      stockcircle stockcircle, 3 months ago

      Chris Davis Dividend Stocks: May 2025

      Chris Davis's (Davis Selected Advisers) dividend stock picks for May 2025 include JD.com (JD), a Chinese e-commerce firm.

      stockcircle stockcircle, 4 months ago

      Chris Davis Portfolio: Top Holdings April 2025

      Chris Davis's top April 2025 holding is Capital One (COF), a financial services firm specializing in credit cards and loans.

      stockcircle stockcircle, 5 months ago

      Embed chart

      Easily embed the chart on your blog or website ¨C it will always update automatically!

      HoMEÔçÒÒŮѸÀ×