Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
MICROSOFT CORP | 82,728,186 | +797,185 | $31,108,704 |
MSFT | 82,728,186 | +797,185 | $31,108,704 |
BROADCOM INC | 23,330,880 | +1,006,223 | $26,044,294 |
AVGO | 23,330,880 | +1,006,223 | $26,044,294 |
META PLATFORMS INC | 34,738,470 | +1,083,719 | $12,296,383 |
META | 34,738,470 | +1,083,719 | $12,296,383 |
ALPHABET INC | 80,246,520 | +862,550 | $11,309,370 |
GOOG | 80,246,520 | +862,550 | $11,309,370 |
PHILIP MORRIS INTL INC | 102,608,154 | +144,098 | $9,653,375 |
PM | 102,608,154 | +144,098 | $9,653,375 |
MASTERCARD INCORPORATED | 21,041,685 | +676,452 | $8,974,478 |
MA | 21,041,685 | +676,452 | $8,974,478 |
ABBOTT LABS | 64,294,784 | +1,457,847 | $7,077,148 |
ABT | 64,294,784 | +1,457,847 | $7,077,148 |
JPMORGAN CHASE & CO | 41,516,695 | +2,128,478 | $7,062,094 |
JPM | 41,516,695 | +2,128,478 | $7,062,094 |
ABBVIE INC | 44,988,183 | +2,542,463 | $6,971,796 |
ABBV | 44,988,183 | +2,542,463 | $6,971,796 |
GENERAL ELECTRIC CO | 53,791,100 | -143,737 | $6,865,413 |
GE | 53,791,100 | -143,737 | $6,865,413 |
APPLE INC | 34,671,438 | +3,558,590 | $6,675,826 |
AAPL | 34,671,438 | +3,558,590 | $6,675,826 |
TRANSDIGM GROUP INC | 6,568,019 | -1,040 | $6,644,226 |
TDG | 6,568,019 | -1,040 | $6,644,226 |
UNITEDHEALTH GROUP INC | 11,860,985 | +542,424 | $6,244,158 |
UNH | 11,860,985 | +542,424 | $6,244,158 |
AMAZON COM INC | 39,437,980 | +2,087,405 | $5,992,356 |
AMZN | 39,437,980 | +2,087,405 | $5,992,356 |
VISA INC | 22,943,773 | +596,950 | $5,973,432 |
V | 22,943,773 | +596,950 | $5,973,432 |
RTX CORPORATION | 65,233,410 | +11,163,222 | $5,488,752 |
RTX | 65,233,410 | +11,163,222 | $5,488,752 |
COMCAST CORP NEW | 123,655,284 | -14,702,054 | $5,422,596 |
CMCSA | 123,655,284 | -14,702,054 | $5,422,596 |
NORTHROP GRUMMAN CORP | 11,126,010 | -1,100,230 | $5,208,151 |
NOC | 11,126,010 | -1,100,230 | $5,208,151 |
INTEL CORP | 96,617,951 | +318,495 | $4,855,099 |
INTC | 96,617,951 | +318,495 | $4,855,099 |
CARRIER GLOBAL CORPORATION | 81,063,464 | +443,568 | $4,657,260 |
CARR | 81,063,464 | +443,568 | $4,657,260 |
JOHNSON & JOHNSON | 28,985,676 | -543 | $4,543,186 |
JNJ | 28,985,676 | -543 | $4,543,186 |
LINDE PLC | 10,763,081 | -176,807 | $4,420,428 |
LIN | 10,763,081 | -176,807 | $4,420,428 |
NETFLIX INC | 8,889,810 | -174,795 | $4,328,298 |
NFLX | 8,889,810 | -174,795 | $4,328,298 |
ALPHABET INC | 30,408,933 | +686,514 | $4,247,868 |
GOOGL | 30,408,933 | +686,514 | $4,247,868 |
SEMPRA | 54,914,474 | -291,589 | $4,103,738 |
SRE | 54,914,474 | -291,589 | $4,103,738 |
ELI LILLY & CO | 6,636,833 | +497,079 | $3,868,559 |
LLY | 6,636,833 | +497,079 | $3,868,559 |
ROYAL CARIBBEAN GROUP | 29,309,587 | +351,747 | $3,795,368 |
RCL | 29,309,587 | +351,747 | $3,795,368 |
MARSH & MCLENNAN COS INC | 19,972,782 | +19,609 | $3,783,938 |
MMC | 19,972,782 | +19,609 | $3,783,938 |
DANAHER CORPORATION | 15,956,519 | +1,334,781 | $3,691,735 |
DHR | 15,956,519 | +1,334,781 | $3,691,735 |
SALESFORCE INC | 13,708,615 | +5,935,973 | $3,607,493 |
CRM | 13,708,615 | +5,935,973 | $3,607,493 |
APPLIED MATLS INC | 22,005,192 | +682,098 | $3,566,418 |
AMAT | 22,005,192 | +682,098 | $3,566,418 |
KKR & CO INC | 42,808,786 | +805,122 | $3,546,708 |
KKR | 42,808,786 | +805,122 | $3,546,708 |
UNION PAC CORP | 14,184,855 | -419,749 | $3,484,084 |
UNP | 14,184,855 | -419,749 | $3,484,084 |
EQUIFAX INC | 13,703,228 | +40,642 | $3,388,695 |
EFX | 13,703,228 | +40,642 | $3,388,695 |
CONSTELLATION ENERGY CORP | 27,848,242 | -1,581,017 | $3,255,233 |
CEG | 27,848,242 | -1,581,017 | $3,255,233 |
WELLS FARGO CO NEW | 64,946,911 | -4,001,441 | $3,196,777 |
WFC | 64,946,911 | -4,001,441 | $3,196,777 |
BRISTOL MYERS SQUIBB CO | 61,528,492 | -7,891,438 | $3,156,982 |
BMY | 61,528,492 | -7,891,438 | $3,156,982 |
NIKE INC | 27,609,613 | +7,143,775 | $2,997,628 |
NKE | 27,609,613 | +7,143,775 | $2,997,628 |
ZOETIS INC | 14,676,576 | -428,841 | $2,896,700 |
ZTS | 14,676,576 | -428,841 | $2,896,700 |
KLA CORP | 4,890,979 | -52,171 | $2,843,655 |
KLAC | 4,890,979 | -52,171 | $2,843,655 |
SERVICENOW INC | 3,974,328 | -29,139 | $2,807,685 |
NOW | 3,974,328 | -29,139 | $2,807,685 |
EQUINIX INC | 3,352,745 | -855,238 | $2,701,102 |
EQIX | 3,352,745 | -855,238 | $2,701,102 |
CME GROUP INC | 12,739,369 | +50,626 | $2,683,012 |
CME | 12,739,369 | +50,626 | $2,683,012 |
CHARTER COMMUNICATIONS INC N | 6,873,200 | +427,922 | $2,671,608 |
CHTR | 6,873,200 | +427,922 | $2,671,608 |
CVS HEALTH CORP | 33,691,698 | +10,837,801 | $2,660,298 |
CVS | 33,691,698 | +10,837,801 | $2,660,298 |
ASML HOLDING N V | 3,435,990 | -466,666 | $2,601,240 |
ASML | 3,435,990 | -466,666 | $2,601,240 |
REGENERON PHARMACEUTICALS | 2,915,972 | -58,366 | $2,561,192 |
REGN | 2,915,972 | -58,366 | $2,561,192 |
BLACKSTONE INC | 19,496,575 | -436,933 | $2,552,524 |
BX | 19,496,575 | -436,933 | $2,552,524 |
DOLLAR GEN CORP NEW | 18,676,538 | +2,273,119 | $2,539,026 |
DG | 18,676,538 | +2,273,119 | $2,539,026 |
PNC FINL SVCS GROUP INC | 15,739,631 | +1,978,854 | $2,437,361 |
PNC | 15,739,631 | +1,978,854 | $2,437,361 |
See Full List: All Stocks Held By Capital International Investors
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Capital International Investors
Size ($ in 1000's)
At 12/31/2023: $446,096,216 At 09/30/2023: $394,142,122 Combined Holding Report Includes:
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 |