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 portfolio highlights a diversified investment approach across major U.S. sectors, emphasizing established large-cap stocks and steady cash-flow potential. Key stocks in his investment portfolio include:
1. Capital One Financial Corp. (COF)
A bank-focused position aligned with cyclicality plus consumer/credit fundamentals—often appealing for investors seeking financial sector exposure within a stock portfolio.
2. Viatris Inc. (VTRS)
An established healthcare investment in branded/generic pharmaceuticals, offering defensive characteristics that many investors look for when balancing risk across stocks in a portfolio.
3. Alphabet Inc. Class A (GOOGL)
A core technology investment reflecting long-term growth tied to advertising, cloud services, and AI-driven platforms—commonly favored in growth-oriented stock portfolios.
4. U.S. Bancorp (USB)
A regional banking holding that fits a measured, value-leaning strategy—potentially attractive for investors targeting durable earnings drivers in the financials segment.
5. CVS Health Corp. (CVS)
A healthcare services and retail pharmacy investment, combining insurer/provider dynamics with recurring demand—often considered a stabilizing presence in broader stocks and investments portfolios.
Overall, Chris Davis’s selection suggests a preference for liquid, widely followed companies where operational resilience and industry scale can support a long-term investment thesis.

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 on Navigating AI & Index Concentration
Chris Davis on Navigating AI & Index Concentration

In a market environment defined by extreme index concentration and the transformative ripples of artificial intelligence, investors are increasingly questioning the sustainabili...

ETF Trends ETF Trends, 3 months ago

Inside the Chris Davis Portfolio: Key Equity Holdings in June 2026

Explore the 5 largest June 2026 holdings in Chris Davis's portfolio, including Capital One (COF), and his fundamental approach to selecting durable businesses.

stockcircle stockcircle, 5 days ago

Chris Davis Dividend Stocks: Top High-Yield Picks for May 2026

Chris Davis's top high-yield dividend stocks for May 2026 include Noah Holdings Ltd (NOAH), a Chinese wealth management provider.

stockcircle stockcircle, about 1 month ago

Chris Davis Portfolio: A Look at Top Holdings in April 2026

Chris Davis's April 2026 top holdings feature Capital One Financial (COF), a major credit card, auto loan & banking firm, reflecting his value strategy.

stockcircle stockcircle, 2 months ago

Embed chart

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