Overview

Investment Strategy

Davis Real Estate Portfolio is a portfolio of durable, well-managed real estate companies selected using the time-tested Davis Investment Discipline.

The Portfolio seeks best-of-breed real estate businesses with first-class management that prioritize producing steadily increasing income and strong returns on capital.

The Portfolio offers investors the diversification of the real estate asset class

We are one of the largest shareholders in the Portfolio. We experience the same risks and reap the same rewards as our shareholders.

Fund Details as of 3/31/26

Detail Value
Long-Term Growth and Income
Total Net Assets ($M) 6.5
Benchmark Wilshire U.S. Real Estate Securities
Category Real Estate
Detail Value
Ticker QDRPAX
Inception Date 7/1/99
CUSIP 239124209
Fund Number 1666
Net Expense Ratio 1.00%
Gross Expense Ratio 1.29%

Fund Managers

Andrew A. Davis
41 Years Industry Experience
33 Years at Davis Funds
View Bio
E Chandler Spears
31 Years Industry Experience
25 Years at Davis Funds
View Bio

Performance

Average Annual Returns

Quarterly (as of 3/31/26)

Share Class YTD* 1 Yr 3 Yr 5 Yr 10 Yr Since Incep
Real Estate Portfolio -1.49% -7.63% 2.08% 0.52% 3.31% 6.76%

The average annual total returns for Davis Real Estate Portfolio for periods ending March 31, 2026, are: 1 year, -7.63%; 5 years, 0.52%; and 10 years, 3.31%. The performance presented represents past performance and is not a guarantee of future results. Total return assumes reinvestment of dividends and capital gain distributions. Investment return and principal value will vary so that, when redeemed, an investor’s shares may be worth more or less than their original cost. For most recent month-end performance, visit davisfunds.com or call 800-279-0279. Current performance may be lower or higher than the performance quoted. The total annual operating expense ratio as of the most recent prospectus was 1.29%. [The Adviser is contractually committed to waive fees and/or reimburse the Fund’s expenses to the extent necessary to cap total annual fund operating expenses of Class A shares at 1.00%. The expense cap expires May 1, 2026.] The total annual operating expense ratio may vary in future years. Periods less than one year are not annualized.

Monthly (as of 3/31/26)

Share Class YTD* 1 Yr 3 Yr 5 Yr 10 Yr Since Incep
Real Estate Portfolio -1.49% -7.63% 2.08% 0.52% 3.31% 6.76%

The average annual total returns for Davis Real Estate Portfolio for periods ending March 31, 2026, are: 1 year, -7.63%; 5 years, 0.52%; and 10 years, 3.31%. The performance presented represents past performance and is not a guarantee of future results. Total return assumes reinvestment of dividends and capital gain distributions. Investment return and principal value will vary so that, when redeemed, an investor’s shares may be worth more or less than their original cost. For most recent month-end performance, visit davisfunds.com or call 800-279-0279. Current performance may be lower or higher than the performance quoted. The total annual operating expense ratio as of the most recent prospectus was 1.29%. [The Adviser is contractually committed to waive fees and/or reimburse the Fund’s expenses to the extent necessary to cap total annual fund operating expenses of Class A shares at 1.00%. The expense cap expires May 1, 2026.] The total annual operating expense ratio may vary in future years. Periods less than one year are not annualized.

Portfolio Characteristics as of 3/31/26

Portfolio Composition

Item Real Estate Portfolio Wilshire U.S. Real Estate Securities
Forecast P/E 34.3x 32.5x
5 Year Earnings Growth 7.8% 7.8%
P/B Ratio 2.3 2.6
Standard Deviation (5 year, A Shares) 18.4 18.9
Number of Holdings 38 176
Weighted Average Market Cap ($bn) 32.0 51.0
Median Market Cap 10.8 2.4

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Portfolio Holdings

Top 10 Holdings: Quarterly (as of 3/31/26)

Holding Ticker Real Estate Portfolio Wilshire U.S. Real Estate Securities®
Prologis PLD 6.5% 8.4%
Equinix EQIX 5.6% 6.5%
Brixmor Property Group BRX 5.5% 0.6%
Digital Realty Trust DLR 4.3% 4.2%
Cousins Properties CUZ 4.3% 0.3%
American Tower AMT 4.2% 5.5%
AvalonBay Communities AVB 4.2% 1.6%
BXP BXP 4.0% 0.6%
Healthpeak Properties DOC 3.4% 0.8%
Regency Centers REG 3.3% 0.9%
Top 10 Holdings Total % of Portfolio 45.1% 29.3%

Top 10 Holdings: Monthly (as of 3/31/26)

Holding Ticker Real Estate Portfolio Wilshire U.S. Real Estate Securities®
Prologis PLD 6.5% 8.4%
Equinix EQIX 5.6% 6.5%
Brixmor Property Group BRX 5.5% 0.6%
Digital Realty Trust DLR 4.3% 4.2%
Cousins Properties CUZ 4.3% 0.3%
American Tower AMT 4.2% 5.5%
AvalonBay Communities AVB 4.2% 1.6%
BXP BXP 4.0% 0.6%
Healthpeak Properties DOC 3.4% 0.8%
Regency Centers REG 3.3% 0.9%
Top 10 Holdings Total % of Portfolio 45.1% 29.3%

All Holdings: Quarterly (as of 3/31/26)

Holding Ticker Real Estate Portfolio Wilshire U.S. Real Estate Securities®
Prologis PLD 6.5% 8.4%
Equinix EQIX 5.6% 6.5%
Brixmor Property Group BRX 5.5% 0.6%
Digital Realty Trust DLR 4.3% 4.2%
Cousins Properties CUZ 4.3% 0.3%
American Tower AMT 4.2% 5.5%
AvalonBay Communities AVB 4.2% 1.6%
BXP BXP 4.0% 0.6%
Healthpeak Properties DOC 3.4% 0.8%
Regency Centers REG 3.3% 0.9%
Eastgroup Properties, Inc. EGP 3.1% 0.7%
Public Storage PSA 3.0% 2.9%
Camden Property Trust CPT 3.0% 0.7%
Ventas VTR 2.9% 2.5%
COPT Defense Properties CDP 2.8% 0.2%
American Homes 4 Rent AMH 2.6% 0.7%
Alexandria Real Estate Equities ARE 2.6% 0.5%
Jones Lang LaSalle JLL 2.5% 1.0%
Great Portland Estates GPE LN 2.3%
CBRE Group CBRE 2.3% 2.7%
Simon Property Group SPG 2.2% 4.1%
Equity Residential EQR 2.2% 1.5%
Terreno Realty TRNO 1.9% 0.4%
Mid-America Apartment Communities MAA 1.9% 1.0%
Derwent London DLN LN 1.9%
Sunstone Hotel Investors SHO 1.8% 0.1%
Sun Communities SUI 1.8% 1.1%
Community Healthcare Trust CHCT 1.7% < 0.1%
VICI Properties VICI 1.6% 2.0%
Extra Space Storage EXR 1.6% 1.9%
Rexford Industrial Realty REXR 1.4% 0.5%
Essex Property Trust ESS 1.3% 1.1%
Crown Castle CCI 1.2% 2.4%
FERMI FRMI 1.2%
CubeSmart CUBE 1.1% 0.6%
Douglas Emmett DEI 1.0% 0.1%
Hudson Pacific Properties HPP 0.7% < 0.1%
Janus Living JAN 0.1%
CASH 1.3%

All Holdings: Monthly (as of 3/31/26)

Holding Ticker Real Estate Portfolio Wilshire U.S. Real Estate Securities®
Prologis PLD 6.5% 8.4%
Equinix EQIX 5.6% 6.5%
Brixmor Property Group BRX 5.5% 0.6%
Digital Realty Trust DLR 4.3% 4.2%
Cousins Properties CUZ 4.3% 0.3%
American Tower AMT 4.2% 5.5%
AvalonBay Communities AVB 4.2% 1.6%
BXP BXP 4.0% 0.6%
Healthpeak Properties DOC 3.4% 0.8%
Regency Centers REG 3.3% 0.9%
Eastgroup Properties, Inc. EGP 3.1% 0.7%
Public Storage PSA 3.0% 2.9%
Camden Property Trust CPT 3.0% 0.7%
Ventas VTR 2.9% 2.5%
COPT Defense Properties CDP 2.8% 0.2%
American Homes 4 Rent AMH 2.6% 0.7%
Alexandria Real Estate Equities ARE 2.6% 0.5%
Jones Lang LaSalle JLL 2.5% 1.0%
Great Portland Estates GPE LN 2.3%
CBRE Group CBRE 2.3% 2.7%
Simon Property Group SPG 2.2% 4.1%
Equity Residential EQR 2.2% 1.5%
Terreno Realty TRNO 1.9% 0.4%
Mid-America Apartment Communities MAA 1.9% 1.0%
Derwent London DLN LN 1.9%
Sunstone Hotel Investors SHO 1.8% 0.1%
Sun Communities SUI 1.8% 1.1%
Community Healthcare Trust CHCT 1.7% < 0.1%
VICI Properties VICI 1.6% 2.0%
Extra Space Storage EXR 1.6% 1.9%
Rexford Industrial Realty REXR 1.4% 0.5%
Essex Property Trust ESS 1.3% 1.1%
Crown Castle CCI 1.2% 2.4%
FERMI FRMI 1.2%
CubeSmart CUBE 1.1% 0.6%
Douglas Emmett DEI 1.0% 0.1%
Hudson Pacific Properties HPP 0.7% < 0.1%
Janus Living JAN 0.1%
CASH 1.3%

Industry Diversification

Industry Percentage
Specialized REITs 24.1%
Office REITs 17.1%
Residential REITs 17.1%
Industrial REITs 13.1%
Retail REITs 11.2%
Health Care REITs 10.7%
Real Estate Management & Development 4.8%
Hotel & Resort REITs 1.8%

Geographic Diversification

Region Percentage
Pacific 26%
South Atlantic 15%
Southeast Central 12%
Northeast Central 12%
Mid Atlantic 8%
New England 8%
Mountain 8%
Southwest Central 7%
Non-U.S. 4%
Northwest Central

Factsheet

Fact Sheets

Document Description
Portfolio Fact Sheet Goals of the Portfolio, types of companies in the Portfolio, top holdings, Portfolio characteristics, and historical performance.

Distributions

2025 Distributions as of 01/12/26

This information on 2025 distributions is intended for existing shareholders

As large shareholders ourselves, we are conscious of tax costs and make every effort to be tax efficient.

Capital gains result from appreciation in the portfolio. The funds' long-term investment approach means that this appreciation may have occurred over an extended period of time. The majority of the gains are long-term and generally subject to lower tax rates than short-term gains or dividend income.

Record Date Ex-Date Payable Date Dividends Received Deduction Ordinary Income Return of Capital Reinvestment Price Short-term Capital Gain Long-term Capital Gain
3/27/25 3/28/25 3/31/25 TBD 0.07 - 14.28 - -
6/24/25 6/25/25 6/26/25 TBD 0.07 - 13.82 - -
9/26/25 9/29/25 9/30/25 TBD 0.07 - 14.04 - -
12/26/25 12/29/25 12/30/25 TBD 0.15 - 12.70 - 0.55

This information on 2024 distributions is intended for existing shareholders.

Carefully consider the fund's investment objectives, strategies, risks, charges and expenses before investing or sending money. The prospectus contains this and other information and can be obtained by clicking here.


Before investing in the Davis Funds, you should carefully consider the investment objectives, risks, charges, and expenses of the Funds. The prospectus and summary prospectus contains this and other information about the Funds. You can obtain performance information and a current prospectus and summary prospectus by visiting davisfunds.com or calling 800.279.0279. Please read the prospectus or summary prospectus carefully before investing or sending money. Investing involves risks including possible loss of principal.