HoldingsChannel.com
Capital International Investors Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 103,523,946 +3,527,148 $16,326,780
     MSFT103,523,946+3,527,148$16,326,780
AMAZON.COM INC 4,599,769 +312,549 $8,968,262
     AMZN4,599,769+312,549$8,968,262
FACEBOOK INC CL A 51,583,155 +6,394,036 $8,604,068
     FB51,583,155+6,394,036$8,604,068
BROADCOM INC 34,403,752 +4,864,220 $8,157,136
     AVGO34,403,752+4,864,220$8,157,136
INTEL CORP 115,587,413 -26,935,505 $6,255,611
     INTC115,587,413-26,935,505$6,255,611
COMCAST CORP CL A 159,780,593 +25,775,072 $5,493,274
     CMCSA159,780,593+25,775,072$5,493,274
ALPHABET INC CL C 4,555,880 +218,823 $5,297,617
     GOOG4,555,880+218,823$5,297,617
NETFLIX INC 13,695,433 +2,936,451 $5,142,631
     NFLX13,695,433+2,936,451$5,142,631
UNITEDHEALTH GROUP INC 20,328,837 -5,514,864 $5,069,608
     UNH20,328,837-5,514,864$5,069,608
NORTHROP GRUMMAN CORP 16,408,969 +205,399 $4,964,548
     NOC16,408,969+205,399$4,964,548
CHARTER COMMUNICATIONS INC CL A 10,680,270 -571,003 $4,659,910
     CHTR10,680,270-571,003$4,659,910
ENBRIDGE INC 155,763,559 +28,059,331 $4,533,297
     ENB155,763,559+28,059,331$4,533,297
ABBOTT LABORATORIES 55,781,543 +8,454,341 $4,401,723
     ABT55,781,543+8,454,341$4,401,723
GILEAD SCIENCES INC 56,369,657 +43,464,551 $4,214,200
     GILD56,369,657+43,464,551$4,214,200
ACTIVISION BLIZZARD INC 59,362,226 +2,295,133 $3,530,860
     ATVI59,362,226+2,295,133$3,530,860
VISA INC CL A 21,881,462 +1,250,002 $3,525,557
     V21,881,462+1,250,002$3,525,557
PHILIP MORRIS INTERNATIONAL 43,979,756 +7,299,147 $3,208,763
     PM43,979,756+7,299,147$3,208,763
ELI LILLY AND CO 22,776,795 -3,279,138 $3,159,597
     LLY22,776,795-3,279,138$3,159,597
CHEVRON CORP 36,799,529 +4,218,942 $2,666,493
     CVX36,799,529+4,218,942$2,666,493
HUMANA INC 8,349,542 -1,687,315 $2,621,921
     HUM8,349,542-1,687,315$2,621,921
CROWN CASTLE INTL CORP REIT      $2,452,577
     CCI16,351,041+5,434,258$2,361,092
     CCI.PRA73,188-5,865$91,485
CHUBB LTD 20,823,074 -40,334 $2,325,735
     CB20,823,074-40,334$2,325,735
JPMORGAN CHASE AND CO 24,976,426 -2,389,893 $2,248,638
     JPM24,976,426-2,389,893$2,248,638
JOHNSON AND JOHNSON 16,726,965 +2,004,688 $2,193,411
     JNJ16,726,965+2,004,688$2,193,411
SEMPRA ENERGY      $2,172,798
     SRE16,856,144+2,759,854$1,904,591
     SRE.PRA2,898,911+327,431$268,207
MERCK AND CO INC 27,869,632 -11,758,484 $2,144,290
     MRK27,869,632-11,758,484$2,144,290
SEATTLE GENETICS INC 18,471,566 +209,264 $2,131,249
     SGEN18,471,566+209,264$2,131,249
ALPHABET INC CL A 1,765,272 +141,777 $2,051,158
     GOOGL1,765,272+141,777$2,051,158
CME GROUP INC CL A 11,566,142 -548,441 $1,999,903
     CME11,566,142-548,441$1,999,903
EOG RESOURCES INC 55,138,808 +12,170,763 $1,980,582
     EOG55,138,808+12,170,763$1,980,582
TRUIST FINANCIAL CORP 63,154,235 +34,627,221 $1,947,677
     TFC63,154,235+34,627,221$1,947,677
VERIZON COMMUNICATIONS INC 35,217,774 +5,213,722 $1,892,254
     VZ35,217,774+5,213,722$1,892,254
ANTHEM INC 8,118,139 +1,139,145 $1,843,144
     ANTM8,118,139+1,139,145$1,843,144
ASML HOLDING NV USD 7,038,810 -76,432 $1,841,646
     ASML7,038,810-76,432$1,841,646
TAIWAN SEMICONDUCTOR MFG CO ADR 37,459,080 +4,358,929 $1,790,170
     TSM37,459,080+4,358,929$1,790,170
TRANSDIGM GROUP INC 5,556,250 +303,422 $1,779,067
     TDG5,556,250+303,422$1,779,067
MARSH AND MCLENNAN COMPANIES INC 20,077,397 +120,143 $1,735,902
     MMC20,077,397+120,143$1,735,902
INTERCONTINENTAL EXCHANGE INC (ICE) 21,430,577 -145,933 $1,730,528
     ICE21,430,577-145,933$1,730,528
BOEING CO 10,734,838 +769,205 $1,600,997
     BA10,734,838+769,205$1,600,997
VERTEX PHARMACEUTICALS INC 6,542,598 +277,804 $1,556,807
     VRTX6,542,598+277,804$1,556,807
AON PLC CL A 9,278,248 +2,151,087 $1,531,284
     AON9,278,248+2,151,087$1,531,284
EQUINIX INC REIT 2,402,595 -89,124 $1,500,589
     EQIX2,402,595-89,124$1,500,589
CVS HEALTH CORP 24,769,049 +25,962 $1,469,549
     CVS24,769,049+25,962$1,469,549
COSTCO WHOLESALE CORP 4,787,375 -20,219 $1,365,032
     COST4,787,375-20,219$1,365,032
AMERICAN TOWER CORP REIT 6,205,812 +312,957 $1,351,322
     AMT6,205,812+312,957$1,351,322
MONDELEZ INTERNATIONAL INC 26,208,513 +2,503,118 $1,312,522
     MDLZ26,208,513+2,503,118$1,312,522
ASTRAZENECA PLC ADR 28,325,620 +5,375,926 $1,265,021
     AZN28,325,620+5,375,926$1,265,021
COCA COLA CO 27,842,294 -28,026,702 $1,232,031
     KO27,842,294-28,026,702$1,232,031
LYONDELLBASELL INDUSTRIES NV 24,419,983 +13,474,442 $1,211,964
     LYB24,419,983+13,474,442$1,211,964
CSX CORP 20,891,017 +4,400,639 $1,197,057
     CSX20,891,017+4,400,639$1,197,057

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 03/31/2020: $244,503,750
At 12/31/2019: $294,417,499

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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