Torray Fund Holdings Activity

Torray Fund Portfolio 13F

Torray Fund has disclosed a total of 20 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 4, bought 3 totally new, decreased the number of shares of 10 and completely sold out 3 position(s).

What stocks is Torray Fund buying now?

In the recent quarter Torray Fund has bought 7 securities out of which top 5 purchases (by % change to portfolio) are (CEG) CONSTELLATION ENERGY (new buy), (ADP) AUTOMATIC DATA PROCESSING (new buy), (MSFT) MICROSOFT CORP (new buy), (AVGO) BROADCOM INC (added shares +18.75%) and (SLM (Pfd)) SLM CORP (added shares +14.29%).

What does Torray Fund invest in?

Torray Fund's top 5 holdings (by % of portfolio) are (PSX) PHILLIPS 66 (6.56%), (TXN) TEXAS INSTRUMENTS INC (6.21%), (CVX) CHEVRON CORP (5.47%), (PEP) PEPSICO INC (4.97%) and (CNA) CNA FINANCIAL CORP (4.92%).

In the latest report(s) the following changes have been made to the top investments: (PSX) PHILLIPS 66 (reduced shares -9.99%), (TXN) TEXAS INSTRUMENTS INC (reduced shares -9.09%), (CVX) CHEVRON CORP (reduced shares -9.09%) and (CNA) CNA FINANCIAL CORP (reduced shares -6.67%).

2021 Q4 (20 results)
TROW
buy
+57,777
+3.01%
$196.64
46.10% $105.99
3.01%
GM
buy
+199,700
+3.10%
$58.63
40.05% $82.11
3.10%
AMAT
buy
+69,390
+2.89%
$157.36
187.88% $453.01
2.89%
RNR
buy
+14,885
+0.67%
$169.33
70.34% $288.44
0.67%
PSX
+22.71%
+25,028
+0.48%
$72.46
152.66% $183.08
2.60%
VMW
+18.90%
+15,492
+0.48%
$115.88
-
2.99%
JPM
-7.34%
-7,309
-0.31%
$158.35
97.27% $312.37
3.87%
JNJ
-8.47%
-8,758
-0.40%
$171.07
36.07% $232.77
4.29%
UNH
-9.73%
-3,672
-0.49%
$502.14
20.45% $399.47
4.53%
CB
-11.80%
-10,966
-0.56%
$193.31
68.78% $326.27
4.20%
GD
-13.54%
-12,098
-0.67%
$208.47
66.18% $346.44
4.27%
DIS
-13.72%
-10,420
-0.43%
$154.89
35.63% $99.71
2.69%
GPC
-16.85%
-17,393
-0.65%
$140.20
29.99% $98.15
3.19%
ETN
-17.58%
-19,289
-0.88%
$172.82
-
4.14%
MMC
-18.04%
-20,842
-0.96%
$173.82
-
4.36%
AXP
-18.50%
-20,037
-0.87%
$163.60
89.89% $310.66
3.82%
BAC
-24.39%
-81,563
-0.96%
$44.49
20.99% $53.83
2.98%
FIGXX
-24.47%
-1,869,778
-0.50%
$1.00
0.00% $1.00
1.53%
INTC
-100.00%
-189,230
-2.67%
$53.28
86.13% $99.17
0.00%
L
-100.00%
-177,038
-2.53%
$53.93
99.46% $107.57
0.00%
2021 Q3 (13 results)
GOOGL
buy
+61,100
+2.21%
$133.68
175.69% $368.53
2.21%
PSX
buy
+110,200
+2.09%
$70.03
161.43% $183.08
2.09%
EOG
buy
+124,285
+2.70%
$80.27
71.65% $137.78
2.70%
FISV
+35.90%
+38,000
+1.11%
$108.50
49.83% $54.43
4.22%
VMW
+8.32%
+6,296
+0.25%
$148.70
-
3.30%
JNJ
-5.13%
-5,584
-0.24%
$161.50
44.13% $232.77
4.51%
UNH
-5.91%
-2,371
-0.25%
$390.74
2.23% $399.47
3.99%
BRK.B
-15.75%
-13,797
-1.02%
$272.94
-
5.45%
L
-27.71%
-67,847
-0.99%
$53.93
99.46% $107.57
0.00%
FIGXX
-28.18%
-2,998,683
-0.81%
$1.00
0.00% $1.00
2.07%
ORCL
-100.00%
-153,170
-3.22%
$77.84
174.51% $213.68
0.00%
RDS.A
-100.00%
-385,300
-4.21%
$40.40
-
0.00%
SEIC
-100.00%
-222,850
-3.73%
$61.97
44.30% $89.42
0.00%
2021 Q2 (10 results)
VMW
buy
+75,655
+3.04%
$159.97
-
3.04%
FISV
buy
+105,855
+2.84%
$106.89
49.08% $54.43
2.84%
UNH
-6.83%
-2,940
-0.30%
$400.44
0.24% $399.47
4.03%
ETN
-11.49%
-14,240
-0.53%
$148.18
-
4.08%
MMC
-16.25%
-22,415
-0.79%
$140.68
-
4.08%
L
-19.75%
-60,285
-0.83%
$54.65
96.83% $107.57
3.36%
BAC
-20.17%
-84,490
-0.87%
$41.23
30.56% $53.83
3.46%
KHC
-28.31%
-128,335
-1.31%
$40.78
44.63% $22.58
3.33%
FIGXX
-31.62%
-4,920,831
-1.24%
$1.00
0.00% $1.00
2.67%
ORCL
-35.34%
-83,730
-1.64%
$77.84
174.51% $213.68
0.00%
43 of 303

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.