HoldingsChannel.com
Capital International Investors Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 98,941,506 +4,150,585 $13,755,833
     MSFT98,941,506+4,150,585$13,755,833
FACEBOOK INC CL A 44,408,046 +2,934,049 $7,908,184
     FB44,408,046+2,934,049$7,908,184
BROADCOM INC 27,449,904 +2,113,229 $7,578,094
     AVGO27,449,904+2,113,229$7,578,094
AMAZON.COM INC 4,236,855 +107,074 $7,354,799
     AMZN4,236,855+107,074$7,354,799
INTEL CORP 141,199,129 +8,577,200 $7,275,986
     INTC141,199,129+8,577,200$7,275,986
NORTHROP GRUMMAN CORP 15,326,259 +1,791,683 $5,744,126
     NOC15,326,259+1,791,683$5,744,126
UNITEDHEALTH GROUP INC 24,761,560 +3,111,955 $5,381,181
     UNH24,761,560+3,111,955$5,381,181
ALPHABET INC CL C 4,314,767 -56,327 $5,259,702
     GOOG4,314,767-56,327$5,259,702
COMCAST CORP CL A 102,401,133 +7,646,224 $4,616,242
     CMCSA102,401,133+7,646,224$4,616,242
CHARTER COMMUNICATIONS INC CL A 10,832,093 +1,411,789 $4,464,122
     CHTR10,832,093+1,411,789$4,464,122
BOEING CO 11,247,279 +3,480,868 $4,279,254
     BA11,247,279+3,480,868$4,279,254
ENBRIDGE INC 116,570,072 -796,783 $4,090,183
     ENB116,570,072-796,783$4,090,183
ABBOTT LABORATORIES 45,999,146 +7,927,194 $3,848,748
     ABT45,999,146+7,927,194$3,848,748
CHEVRON CORP 31,150,948 +2,944,461 $3,694,502
     CVX31,150,948+2,944,461$3,694,502
VISA INC CL A 21,229,217 +1,837,389 $3,651,641
     V21,229,217+1,837,389$3,651,641
CHUBB LTD 20,834,570 +2,642,723 $3,363,532
     CB20,834,570+2,642,723$3,363,532
MERCK AND CO INC 38,593,334 +1,659,465 $3,248,784
     MRK38,593,334+1,659,465$3,248,784
JPMORGAN CHASE AND CO 26,337,114 +3,183,866 $3,099,615
     JPM26,337,114+3,183,866$3,099,615
COCA COLA CO 56,603,315 -5,174,670 $3,081,484
     KO56,603,315-5,174,670$3,081,484
ACTIVISION BLIZZARD INC 54,742,239 +10,253,253 $2,896,959
     ATVI54,742,239+10,253,253$2,896,959
CME GROUP INC CL A 13,467,629 +14,622 $2,846,252
     CME13,467,629+14,622$2,846,252
ELI LILLY AND CO 25,145,261 +5,197,510 $2,811,995
     LLY25,145,261+5,197,510$2,811,995
EOG RESOURCES INC 37,567,300 +3,113,766 $2,788,246
     EOG37,567,300+3,113,766$2,788,246
PHILIP MORRIS INTERNATIONAL 35,800,692 +1,985,001 $2,718,346
     PM35,800,692+1,985,001$2,718,346
TRANSDIGM GROUP INC 5,190,901 +46,927 $2,702,746
     TDG5,190,901+46,927$2,702,746
HUMANA INC 10,032,815 +667 $2,565,091
     HUM10,032,815+667$2,565,091
JOHNSON AND JOHNSON 19,620,299 -2,375,078 $2,538,473
     JNJ19,620,299-2,375,078$2,538,473
SEMPRA ENERGY      $2,446,971
     SRE14,471,776+385,092$2,136,176
     SRE.PRA2,629,400+173,786$310,795
NETFLIX INC 7,884,547 +3,185,374 $2,110,062
     NFLX7,884,547+3,185,374$2,110,062
DEERE AND CO 12,344,632 +587,024 $2,082,292
     DE12,344,632+587,024$2,082,292
INTERCONTINENTAL EXCHANGE INC (ICE) 21,542,379 -51,391 $1,987,715
     ICE21,542,379-51,391$1,987,715
ALPHABET INC CL A 1,608,684 -126,351 $1,964,428
     GOOGL1,608,684-126,351$1,964,428
MARSH AND MCLENNAN COMPANIES INC 19,626,193 +348,879 $1,963,600
     MMC19,626,193+348,879$1,963,600
TEXAS INSTRUMENTS INC 14,611,209 -4,659,368 $1,888,350
     TXN14,611,209-4,659,368$1,888,350
VERIZON COMMUNICATIONS INC 30,837,919 -7,887,411 $1,861,377
     VZ30,837,919-7,887,411$1,861,377
SCHLUMBERGER LTD 53,680,022 +5,128,455 $1,834,247
     SLB53,680,022+5,128,455$1,834,247
ASML HOLDING NV USD 7,103,649 +693,370 $1,764,685
     ASML7,103,649+693,370$1,764,685
BANK OF NEW YORK MELLON CORP 38,878,272 -589,072 $1,757,687
     BK38,878,272-589,072$1,757,687
WELLS FARGO AND CO 33,940,204 -23,371,741 $1,711,945
     WFC33,940,204-23,371,741$1,711,945
QUALCOMM INC 21,574,414 -1,501,547 $1,645,696
     QCOM21,574,414-1,501,547$1,645,696
CROWN CASTLE INTL CORP REIT      $1,639,349
     CCI11,075,596-1,618,258$1,539,619
     CCI.PRA79,015-44,242$99,730
EQUIFAX INC 11,455,200 -753,589 $1,611,403
     EFX11,455,200-753,589$1,611,403
DOW INC 33,773,218 +7,413,821 $1,609,292
     DOW33,773,218+7,413,821$1,609,292
TAIWAN SEMICONDUCTOR MFG CO ADR 34,600,130 +2,272,309 $1,608,211
     TSM34,600,130+2,272,309$1,608,211
PNC FINANCIAL SERVICES GROUP INC 11,224,209 +6,380,354 $1,573,185
     PNC11,224,209+6,380,354$1,573,185
GOLDMAN SACHS GROUP INC 7,585,175 -599,146 $1,571,876
     GS7,585,175-599,146$1,571,876
CVS HEALTH CORP 24,298,092 +1,704,562 $1,532,479
     CVS24,298,092+1,704,562$1,532,479
SEATTLE GENETICS INC 17,883,791 +3,593,017 $1,527,276
     SGEN17,883,791+3,593,017$1,527,276
ROYAL DUTCH SHELL PLC B ADR      $1,494,796
     RDS.B24,195,240-6,792,079$1,449,294
     RDS.A773,186-741,673$45,502
NETAPP INC 27,482,680 +1,529,322 $1,443,116
     NTAP27,482,680+1,529,322$1,443,116

See Full List: All Stocks Held By Capital International Investors
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Capital International Investors

Size ($ in 1000's)
At 09/30/2019: $261,940,471
At 06/30/2019: $250,639,233

Combined Holding Report Includes:
Capital International Investors
CAPITAL GROUP COMPANIES INC
CAPITAL RESEARCH & MANAGEMENT CO

Capital International Investors holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Capital International Investors 13F filings. Link to 13F filings: SEC filings

Capital International Investors Top Holdings 13F Filings | www.HoldingsChannel.com

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