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Focused investors/Christopher Davis

Christopher Davis - Davis Advisors

As of Q2 2026, Christopher Davis reported 112 long-equity positions worth $23.29B in aggregate.

Copy-investor backtest

Latest quarter
+3.56%
1-year
+25.55%
3-year
+75.84%
5-year
+62.72%
3-year vs S&P 500
+2.97%
5-year vs S&P 500
-10.09%
5-year top 5
+127.13%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 125 of 214 rows. Rows without a quote are marked unavailable.

1-Citigroup Inc. 7.5% 12/15/12CUSIP PREFERRED79.11%Add +8.1%11,364$172.97BNo quoteNo quote
2WFCWells Fargo & Co. Common1.29%Reduce -0.7%102,459,101$2.82B$27.56No quote
3CVSCVS Caremark Corp. Common1.24%Reduce -2.0%66,502,001$2.71B$40.78No quote
4AXPAmerican Express Co. Common1.24%Reduce -3.6%57,380,367$2.71B$47.17No quote
5COSTCostco Wholesale Corp. Common1.14%Reduce -8.1%29,963,331$2.5B$83.32No quote
6BKBank of New York Mellon Common1.01%Reduce -0.7%110,722,546$2.2B$19.91No quote
7EOGEOG Resources, Inc. Common0.77%Reduce -10.6%17,186,425$1.69B$98.51No quote
8GOOGLGoogle Inc. Class A Common0.76%Add +1.9%2,563,896$1.66B$645.90No quote
9CNQCanadian Natural Resources Foreign0.73%Reduce -6.1%42,583,032$1.59B$37.37No quote
10OXYOccidental Petroleum Corp. Common0.71%Reduce -14.8%16,600,063$1.56B$93.70No quote
11LLoews Corp. Common0.70%Reduce -10.0%40,922,427$1.54B$37.65No quote
12BBBYQBed Bath + Beyond Inc. Common0.62%Add +0.1%23,327,649$1.35BNo quoteNo quote
13PGRProgressive Corp. Common0.58%Reduce -9.2%65,293,767$1.27B$19.51No quote
14MRKMerck & Co., Inc. Common0.57%Reduce -30.4%32,865,791$1.24B$37.70No quote
15BRK/ABerkshire Hathaway Inc., A CommonCUSIP 0846701080.51%Add +26.4%9,805$1.13BNo quoteNo quote
16JNJJohnson & Johnson Common0.50%Reduce -24.1%16,616,950$1.09B$65.58No quote
17KOCoca Cola Co. Common0.46%Reduce -14.5%14,305,191$1B$69.97No quote
18ESRXExpress Scripts Inc - Class A Common0.46%Reduce -0.2%22,286,192$995.97MNo quoteNo quote
19IRMIron Mountain Inc. Common0.45%Reduce -20.6%32,254,418$993.44MNo quoteNo quote
20MONMonsanto Co. Common0.36%Reduce -2.2%11,178,757$783.3MNo quoteNo quote
21TRHTransatlantic Holdings, Inc. Common0.35%Reduce -4.1%14,100,881$771.74MNo quoteNo quote
22DISDisney Walt Holdings Common0.35%Add +14.5%20,302,410$761.34M$37.50No quote
23TXNTexas Instruments, Inc. Common0.34%Reduce -10.3%25,623,965$745.91M$29.11No quote
24DVNDevon Energy Corp. Common0.28%Reduce -40.7%10,020,339$621.26M$62.00No quote
25MSFTMicrosoft Corp. Common0.26%Reduce -0.2%22,157,029$575.2M$25.96No quote
26PMPhilip Morris International Inc. Common0.20%Reduce -20.1%5,649,886$443.4M$78.48No quote
27HPQHewlett Packard Co. Common0.19%Add +1.8%16,258,247$418.81M$25.76No quote
28LMTLockheed Martin Corp. Common0.19%Reduce -5.9%5,121,284$414.31M$80.90No quote
29HOGHarley-Davidson, Inc. Common0.16%Reduce -27.6%8,925,442$346.93M$38.87No quote
30POTPotash Corp Saskatchewan, Inc. Foreign0.15%Add +19.3%8,068,193$333.06MNo quoteNo quote
31KFTKraft Foods Inc. Common0.15%Reduce -10.7%8,803,779$328.91MNo quoteNo quote
32ACEAce Limited Common0.15%Add +0.8%4,601,837$322.68MNo quoteNo quote
33AMPAmeriprise Financial, Inc. Common0.14%Reduce -20.3%6,388,679$317.13M$49.64No quote
34KMXCarMax, Inc. Common0.14%Reduce -0.2%9,870,365$300.85M$30.48No quote
35BAMBrookfield Asset Management Foreign0.13%Add +1.1%10,547,720$289.85M$27.48No quote
36SEESealed Air Corp. Common0.12%Reduce -43.8%15,763,219$271.29M$17.21No quote
37PXPraxair, Inc. Common0.12%Add +1.1%2,515,918$268.95MNo quoteNo quote
38DEODiageo PLC ADR0.12%Reduce -9.3%3,073,743$268.71M$87.42No quote
39APDAir Products & Chemicals, Inc. Common0.12%Reduce -4.1%3,142,243$267.69M$85.19No quote
40BRK/BBerkshire Hathaway Inc., B CommonCUSIP 0846707020.12%Add +23.3%3,501,353$267.15MNo quoteNo quote
41ATVIActivision Blizzard, Inc. Common0.12%Reduce -15.3%21,183,584$260.98MNo quoteNo quote
42RIGTransocean Ltd. Common0.11%Reduce -4.2%6,313,176$242.36M$38.39No quote
43BAXBaxter International Inc. Common0.11%Reduce -45.5%4,723,130$233.7M$49.48No quote
44VVisa Inc. Common0.10%Reduce -3.0%2,254,275$228.88M$101.53No quote
45ECLEcolab Inc. Common0.10%Add +0.3%3,929,008$227.14M$57.81No quote
46SCHWCharles Schwab Corp. Common0.10%Reduce -0.2%19,599,163$220.69M$11.26No quote
47AAgilent Technologies, Inc. Common0.10%Reduce -3.4%6,194,717$216.38M$34.93No quote
48PCARPACCAR Inc Common0.09%Add +16297.0%5,249,482$196.7M$37.47No quote
49GSGoldman Sachs Group Inc. Common0.09%Reduce -1.2%2,113,038$191.08M$90.43No quote
50BDXBecton, Dickinson and Co. Common0.09%Reduce -57.3%2,489,139$185.99M$74.72No quote
51QVCALiberty Media Interactive Series Common0.08%Reduce -0.4%11,248,803$182.4MNo quoteNo quote
52MLMMartin Marietta Materials, Inc. Common0.08%Reduce -28.3%2,370,453$178.76M$75.41No quote
53UNUnilever NV ADR0.08%Reduce -15.7%5,173,053$177.8MNo quoteNo quote
54NFLXNetflix Inc. Common0.08%New2,530,281$175.32M$69.29No quote
55EGEverest Re Group, Ltd. Common0.08%Add +1.4%1,966,040$165.33M$84.09No quote
56INTCIntel Corp. Common0.07%Add +7.0%6,730,223$163.21M$24.25No quote
57AMXAmerica Movil S.A.B. de C.V. ADR0.06%Reduce -7.1%6,061,295$136.99MNo quoteNo quote
58EXPEExpedia Inc. Common0.06%Reduce -36.7%4,622,943$134.16M$29.02No quote
59MKLMarkel Corp. Common0.06%Add +0.5%316,182$131.11M$414.67No quote
60TVGrupo Televisa SA ADR0.06%Reduce -18.0%6,095,878$128.38MNo quoteNo quote
61TRIPTripAdvisor Inc. Common0.05%New4,622,605$116.54M$25.21No quote
62JPMJPMorgan Chase & Co. Common0.05%Add +13.2%3,203,795$106.53M$33.25No quote
63ORCLOracle Corporation Common0.05%Add +30122.7%3,962,196$101.63M$25.65No quote
64SLBSchlumberger Ltd. Common0.05%Add +15.3%1,451,425$99.15M$68.31No quote
65AREAlexandria Real Estate Equities Common0.04%Add +2.4%1,416,665$97.71M$68.97No quote
66SPGSimon Property Group Inc. Common0.04%Reduce -5.8%692,021$89.23M$128.94No quote
67PFEPfizer Inc. Common0.04%Reduce -57.5%3,982,370$86.18M$21.64No quote
68VTRVentas, Inc. Common0.04%Reduce -10.8%1,450,669$79.98M$55.13No quote
69CMECME Group Inc. Common0.04%New321,196$78.27M$243.67No quote
70DCTDCT Industrial Trust Inc. Common0.03%Add +2.1%14,157,138$72.49MNo quoteNo quote
71EPREntertainment Properties Trust Common0.03%Reduce -11.1%1,624,777$71.02MNo quoteNo quote
72PCLPlum Creek Timber Company, Inc. Common0.03%Add +57.4%1,932,141$70.64MNo quoteNo quote
73DLRDigital Realty Trust Inc. Common0.03%Reduce -28.0%995,308$66.36M$66.67No quote
74AOCAon Corp. Common0.03%Add +3.0%1,338,355$62.64MNo quoteNo quote
75ACCAmerican Campus Communities, Inc. Common0.03%Reduce -38.1%1,451,460$60.9MNo quoteNo quote
76MACMacerich Company Common0.03%Add +1.6%1,195,621$60.5M$50.60No quote
77BDNBrandywine Realty Trust Common0.03%Add +1.5%5,809,756$55.19MNo quoteNo quote
78ESSEssex Property Trust, Inc. Common0.02%Reduce -36.8%337,569$47.43M$140.51No quote
79LPTLiberty Property Trust Common0.02%Add +3.4%1,351,500$41.73MNo quoteNo quote
80EGPEastgroup Properties, Inc. Common0.02%Add +0.7%951,424$41.37M$43.48No quote
81CBLCBL & Associates Properties Common0.02%Add +2.0%2,589,484$40.66M$15.70No quote
82HCPHCP, Inc. Common0.02%Add +47.6%941,578$39.01MNo quoteNo quote
83HIWHighwoods Properties Inc. Common0.02%Add +3.4%1,277,376$37.9MNo quoteNo quote
84VNOVornado Realty Trust Common0.02%Add +18.2%489,117$37.59M$76.86No quote
85KIMKimco Realty Corp. Common0.02%New2,159,962$35.08MNo quoteNo quote
86REGRegency Centers Corporation Common0.02%Reduce -30.7%931,367$35.04M$37.62No quote
87NLSNNielsen Holdings B.V. Common0.01%Add +4.7%1,106,956$32.87MNo quoteNo quote
88FCEAForest City Enterprises Inc. - A Common0.01%Add +9.3%2,777,617$32.83MNo quoteNo quote
89YAlleghany Corp. Common0.01%New110,912$31.64MNo quoteNo quote
90DFTDuPont Fabros Technology Inc. Common0.01%Reduce -66.8%1,095,088$26.52MNo quoteNo quote
91BACBank of America Corp. Common0.01%Add +2.3%4,540,539$25.25M$5.56No quote
92SIALSigma-Aldrich Corp. Common0.01%Reduce -12.8%393,632$24.59MNo quoteNo quote
93LXPLexington Realty Trust Common0.01%Add +3.4%2,998,800$22.46MNo quoteNo quote
94XOMExxon Mobil Corp. Common0.01%New261,129$22.13M$84.76No quote
95OFCCorporate Office Prop. Trust Common0.01%Add +6.0%1,018,729$21.66MNo quoteNo quote
96IDXXIDEXX Laboratories, Inc. Common0.01%Reduce -11.9%267,944$20.62M$76.96No quote
97BMRBiomed Realty Trust, Inc. Common0.01%Add +68.1%1,069,340$19.33MNo quoteNo quote
98PSAPublic Storage, Inc Common0.01%Reduce -17.4%142,985$19.23M$134.46No quote
99NWSANews Corp., Class A Common0.01%Add +65.9%1,067,590$19.05M$17.84No quote
100USBUS Bancorp Common0.01%Add +161.2%694,786$18.79M$27.05No quote
101SHWThe Sherwin Williams Co. Common0.01%Reduce -1.4%207,789$18.55M$89.27No quote
102KSSKohls Corp. Common0.01%Reduce -10.6%362,930$17.91MNo quoteNo quote
103CORCoresite Realty Corp. Common0.01%Reduce -8.8%988,914$17.62MNo quoteNo quote
104IBMIBM Common0.01%Add +139.5%92,684$17.04M$183.88No quote
105BXPBoston Properties, Inc. Common0.01%Add +31.9%168,829$16.82M$99.60No quote
106PWRQuanta Services, Inc. Common0.01%Reduce -0.4%759,080$16.35M$21.54No quote
107MDTMedtronic, Inc. Common0.01%New423,582$16.2M$38.25No quote
108AVBAvalonbay Communities, Inc. Common0.01%Add +27.7%120,645$15.76M$130.60No quote
109WMTWal-Mart Stores, Inc. Common0.01%New262,721$15.7M$59.76No quote
110EQREquity Residential Common0.01%Reduce -29.4%268,005$15.28M$57.03No quote
111PGProcter & Gamble Co. Common0.01%Add +67.6%227,745$15.19M$66.71No quote
112PPSPost Properties, Inc. Common0.01%Add +23.9%341,343$14.92MNo quoteNo quote
113LLYEli Lilly and Co. Common0.01%New337,533$14.03M$41.56No quote
114EMREmerson Electric Co. Common0.01%New298,732$13.92M$46.59No quote
115YOKUYouku.com Inc. ADR0.01%Add +85.1%848,232$13.29MNo quoteNo quote
116RYNRayonier, Inc Common0.01%Add +30.9%297,290$13.27M$44.63No quote
117TSTenaris S.A. - ADR ADR0.01%Reduce -51.0%350,328$13.03MNo quoteNo quote
118MMM3M company Common0.01%New156,798$12.82M$81.73No quote
119RATEBankrate Inc. Common0.01%Reduce -54.8%591,760$12.72MNo quoteNo quote
120VRXValeant Pharmaceutical Int'l Common0.01%Reduce -1.2%266,664$12.45MNo quoteNo quote
121DDRDDR Corporation Common0.01%Add +28.9%1,002,825$12.2MNo quoteNo quote
122BLTBlount International, Inc. Common0.01%Reduce -40.2%821,891$11.93MNo quoteNo quote
123NBRNabors Industries Ltd. Common0.01%Add +3.2%677,690$11.75M$17.34No quote
124WCNWaste Connections Inc. Common0.01%Reduce -7.3%343,990$11.4M$33.14No quote
125DEDeere & Co Common0.01%New146,061$11.3M$77.35No quote
126UHSUniversal Health Services, Inc. Common0.01%Reduce -0.3%283,450$11.02M$38.86No quote
127WFMWhole Foods Market Inc. Common0.00%Reduce -1.9%154,750$10.77MNo quoteNo quote
128UDRUDR, Inc. Common0.00%-427,781$10.74M$25.10No quote
129KKellogg Co Common0.00%New211,744$10.71MNo quoteNo quote
130GRPNGroupon Inc. Common0.00%New501,200$10.34MNo quoteNo quote
131FDXFedEx Corp. Common0.00%New119,878$10.01M$83.51No quote
132EDREducation Realty Trust, Inc. Common0.00%Reduce -2.6%937,834$9.59MNo quoteNo quote
133ABBNYABB Limited ADR ADR0.00%Reduce -26.9%506,797$9.54MNo quoteNo quote
134GEGeneral Electric Co. Common0.00%Add +1.3%487,870$8.74M$17.91No quote
135SLGSL Green Realty Corp. Common0.00%Reduce -3.6%130,798$8.72MNo quoteNo quote
136ADPAutomatic Data Processing Common0.00%Add +3520.4%161,108$8.7M$54.01No quote
137SAPSAP AG ADR0.00%Reduce -45.3%161,795$8.57M$52.95No quote
138CBChubb Corp. Common0.00%New121,012$8.38M$69.22No quote
139AESPRCAES Trust III,6.75%,10/15/29 PreferredPREF0.00%Reduce -41.9%163,758$8.04MNo quoteNo quote
140SYYSysco Corp Common0.00%New255,862$7.5M$29.33No quote
141FCXFreeport-McMoRan Copper & Gold Common0.00%Add +22.5%201,134$7.4M$36.79No quote
142PNRPentair, Inc. Common0.00%New221,559$7.38M$33.29No quote
143NTESNetEase.com Inc. ADR0.00%Add +3.4%157,510$7.06M$44.85No quote
144AESAES Corp. Common0.00%Reduce -0.4%569,160$6.74M$11.84No quote
145IVEiShares S&P 500 Value Index Fund ETF0.00%New115,380$6.67M$57.83No quote
146BSBRBanco Santander Brasil SA ADR0.00%Reduce -0.1%759,559$6.18MNo quoteNo quote
147TDToronto Dominion Bank Foreign0.00%-81,505$6.1M$74.81No quote
148FCSFairchild Semiconductor Intl Common0.00%Reduce -0.4%497,147$5.99MNo quoteNo quote
149IRFInternational Rectifier Corp. Common0.00%Reduce -0.4%301,340$5.85MNo quoteNo quote
150FRTFederal Realty Investment Trust Common0.00%New64,126$5.82MNo quoteNo quote
151SVASinovac Biotech Ltd. Foreign0.00%Add +3.5%2,619,198$5.76MNo quoteNo quote
152MASMasco Corp. Common0.00%Reduce -0.4%546,260$5.73M$10.48No quote
153IBNICICI Bank Limited ADR0.00%-216,365$5.72M$26.43No quote
154CUBECubeSmart Common0.00%Reduce -3.2%529,299$5.63M$10.64No quote
155RPXCRPX Corp. Common0.00%Reduce -0.9%425,679$5.39MNo quoteNo quote
156WUWestern Union Company Common0.00%Add +8.9%255,522$4.67M$18.26No quote
157TSNTyson Foods Inc. Common0.00%Reduce -25.7%213,830$4.41M$20.64No quote
158TROWT. Rowe Price Group, Inc. Common0.00%-75,985$4.33M$56.95No quote
159VALEPVale SA-Sp Pref ADR0.00%Add +9.8%204,989$4.22MNo quoteNo quote
160PLDPrologis, Inc. Common0.00%Reduce -46.3%126,282$3.61M$28.59No quote
161AMZNAmazon.Com, Inc. Common0.00%Reduce -16.0%20,265$3.51M$173.11No quote
162ATIAllegheny Technologies, Inc. Common0.00%Add +34.4%64,900$3.1M$47.80No quote
163ELEstee Lauder Companies, A Common0.00%New27,460$3.08M$112.31No quote
164XUS Steel Corp. Common0.00%Add +37.6%113,900$3.01MNo quoteNo quote
165COPConocoPhillips Common0.00%New38,131$2.78M$72.88No quote
166TAT&T Inc. Common0.00%New88,350$2.67M$30.24No quote
167NBLNoble Energy, Inc. Common0.00%New24,745$2.34MNo quoteNo quote
168TECHTechne Corp. Common0.00%Reduce -2.0%34,154$2.33M$68.25No quote
169DDDu Pont (E I) de Nemours & Co. Common0.00%New50,795$2.33M$45.77No quote
170FMDThe First Marblehead Corp. Common0.00%-1,910,194$2.24MNo quoteNo quote
171NVSNovartis AG ADR0.00%New33,400$1.91M$57.16No quote
172CBECooper Industries, Ltd. Common0.00%New29,580$1.6MNo quoteNo quote
173CISGCNinsure Inc. ADR0.00%Add +0.2%226,421$1.57MNo quoteNo quote
174BABoeing Co. Common0.00%New21,350$1.57M$73.35No quote
175JWNNordstrom, Inc. Common0.00%New30,000$1.49MNo quoteNo quote
176SCHSSchool Specialty Inc. Common0.00%Add +7.5%594,117$1.49MNo quoteNo quote
177HDHome Depot Inc Common0.00%New27,050$1.14M$42.03No quote
178AGGiShares Barclays Aggregate Bond ETF0.00%New9,850$1.09MNo quoteNo quote
179AMATApplied Materials, Inc. Common0.00%New95,400$1.02M$10.71No quote
180WPOWashington Post Co., B Common0.00%New2,652$999KNo quoteNo quote
181CCitigroup Inc. Common0.00%-35,186$926K$26.32No quote
182ADSKAutodesk, Inc. Common0.00%New25,000$758K$30.32No quote
183TJXThe TJX Companies, Inc. Common0.00%-11,390$735K$64.53No quote
184CLColgate-Palmolive Co. Common0.00%Add +7.8%5,551$513K$92.42No quote
185TGTTarget Corp. Common0.00%-8,250$423K$51.27No quote
186SESpectra Energy Corp. Common0.00%Reduce -12.8%13,650$420K$30.77No quote
187MJNMead Johnson Nutrition Co. Common0.00%-5,565$382KNo quoteNo quote
188DDominion Resources, Inc. Common0.00%New6,970$370K$53.08No quote
189BPBP Plc ADR0.00%Add +0.6%8,231$352K$42.77No quote
190RSGRepublic Services, Inc. Common0.00%-9,650$266KNo quoteNo quote
191APAApache Corp Common0.00%New2,915$264K$90.57No quote
192IWViShares Russell 3000 ETF0.00%Reduce -31.7%3,285$244KNo quoteNo quote
193SIEGYSiemans AG - ADR ADR0.00%New2,525$241KNo quoteNo quote
194CFNCarefusion Corp. Common0.00%-8,615$219KNo quoteNo quote
195PNCPNC Financial Services Group Common0.00%New3,655$211K$57.73No quote
196CXCemex SA ADR0.00%-35,316$190K$5.38No quote
197DELLDell Inc. Common0.00%New10,658$156K$14.64No quote
198MDWMidway Gold Corp. Common0.00%New25,000$53KNo quoteNo quote
205YUMYum! Brands, Inc. Common-Sold0$0No quoteNo quote
204TOLToll Brothers, Inc. Common-Sold0$0No quoteNo quote
203LSTADLiberty Media - Starz Series A Common-Sold0$0No quoteNo quote
202HSTHost Hotels & Resorts Inc. Common-Sold0$0No quoteNo quote
201HRSHarris Corporation Common-Sold0$0No quoteNo quote
200GLAClark Holdings, Inc. Common-Sold0$0No quoteNo quote
199AMTAmerican Tower Corp Cl A Common-Sold0$0No quoteNo quote

Other instruments

Bonds, warrants, or non-share principal positions reported alongside the equity portfolio.

1-Tyson Foods Inc 3.25% 10/15/13 BondBondOTHER16,165,000$21.44M
2-Allegheny Tech. 4.25% 6/1/14 BondBondOTHER9,815,000$13.73M
3-Best Buy Cmpy, Inc. 2.25% 1/15/22 BondBondOTHER12,900,000$12.87M
4-US Steel Corp. 4% 05/15/14 BondBondOTHER11,150,000$12.34M
5-United Rental 4% CV BondBondOTHER3,172,000$8.72M
6-School Specialty Conv. Bond 3.75 BondBondOTHER11,243,000$8.1M
7WFCWSWells Fargo & Co. Warrants WarrantWarrantOTHER863,000$7.41M
8-Transocean Inc. Series C BondBondOTHER4,700,000$4.62M
9-Forest City Ent FCE 5 BondBondOTHER1,120,000$1.26M