HoldingsChannel.com
Capital Research Global Investors Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
FACEBOOK INC CL A 73,111,043 +409,290 $15,006,041
     FB73,111,043+409,290$15,006,041
MICROSOFT CORP 92,776,236 -117,657 $14,630,812
     MSFT92,776,236-117,657$14,630,812
NETFLIX INC 38,002,047 +2,713,207 $12,296,322
     NFLX38,002,047+2,713,207$12,296,322
ABBOTT LABORATORIES 113,689,293 +616,255 $9,875,052
     ABT113,689,293+616,255$9,875,052
UNITEDHEALTH GROUP INC 29,851,016 +7,261,158 $8,775,602
     UNH29,851,016+7,261,158$8,775,602
BROADCOM INC 27,175,954 -12,209 $8,588,144
     AVGO27,175,954-12,209$8,588,144
AMGEN INC 35,337,639 +1,743,084 $8,518,844
     AMGN35,337,639+1,743,084$8,518,844
ABBVIE INC 86,602,693 -14,011,979 $7,667,802
     ABBV86,602,693-14,011,979$7,667,802
AMAZON.COM INC 4,066,664 +23,902 $7,514,544
     AMZN4,066,664+23,902$7,514,544
ALIBABA GROUP HOLDING LTD ADR 28,287,902 +1,049,252 $5,999,869
     BABA28,287,902+1,049,252$5,999,869
GILEAD SCIENCES INC 85,132,885 +8,343,863 $5,531,935
     GILD85,132,885+8,343,863$5,531,935
MASTERCARD INC CL A 17,804,905 +62,592 $5,316,366
     MA17,804,905+62,592$5,316,366
EOG RESOURCES INC 60,548,187 +10,383,669 $5,071,515
     EOG60,548,187+10,383,669$5,071,515
EXXON MOBIL CORP 66,388,650 +4,674,009 $4,632,600
     XOM66,388,650+4,674,009$4,632,600
ALPHABET INC CL A 3,280,910 -150,086 $4,394,418
     GOOGL3,280,910-150,086$4,394,418
GENERAL DYNAMICS CORP 23,304,219 -2,925,220 $4,109,699
     GD23,304,219-2,925,220$4,109,699
CSX CORP 54,198,951 +1,724,829 $3,921,836
     CSX54,198,951+1,724,829$3,921,836
ALPHABET INC CL C 2,922,215 -96,929 $3,907,060
     GOOG2,922,215-96,929$3,907,060
JPMORGAN CHASE AND CO 27,661,131 +1,895,932 $3,855,962
     JPM27,661,131+1,895,932$3,855,962
THERMO FISHER SCIENTIFIC INC 11,797,060 -237,594 $3,832,511
     TMO11,797,060-237,594$3,832,511
HOME DEPOT INC 16,381,523 -10,353 $3,577,397
     HD16,381,523-10,353$3,577,397
INTEL CORP 57,239,496 -3,990,794 $3,425,784
     INTC57,239,496-3,990,794$3,425,784
PHILIP MORRIS INTERNATIONAL 39,525,390 +793,836 $3,363,216
     PM39,525,390+793,836$3,363,216
LINDE PLC 15,549,074 -610,413 $3,311,343
     LIN15,549,074-610,413$3,311,343
COCA COLA CO 58,764,994 -1,117,349 $3,252,642
     KO58,764,994-1,117,349$3,252,642
ACCENTURE PLC CL A 14,671,063 -1,228,301 $3,089,286
     ACN14,671,063-1,228,301$3,089,286
VALE SA ON ADR 225,652,937 +3,429,054 $2,978,618
     VALE225,652,937+3,429,054$2,978,618
CANADIAN NATURAL RESOURCES LTD 90,215,603 +2,058,690 $2,917,918
     CNQ90,215,603+2,058,690$2,917,918
HUMANA INC 7,829,472 +1,033,910 $2,869,658
     HUM7,829,472+1,033,910$2,869,658
CME GROUP INC CL A 13,595,685 +250,389 $2,728,926
     CME13,595,685+250,389$2,728,926
ILLUMINA INC 7,986,271 +78,667 $2,649,365
     ILMN7,986,271+78,667$2,649,365
DOMINION ENERGY INC 31,571,388 +459,388 $2,614,742
     D31,571,388+459,388$2,614,742
MARRIOTT INTERNATIONAL INC CL A 15,718,068 -24,697 $2,380,187
     MAR15,718,068-24,697$2,380,187
LOCKHEED MARTIN CORP 5,842,102 -157,945 $2,274,798
     LMT5,842,102-157,945$2,274,798
CONCHO RESOURCES INC 24,583,880 +423,417 $2,152,809
     CXO24,583,880+423,417$2,152,809
AUTODESK INC 11,491,718 +306,710 $2,108,271
     ADSK11,491,718+306,710$2,108,271
AMERICAN ELECTRIC POWER CO INC      $2,100,195
     AEP21,849,296-634,071$2,064,977
     AEP.PRB650,625UNCH$35,218
CROWN CASTLE INTL CORP REIT      $2,096,716
     CCI13,830,667+4,273,280$1,966,029
     CCI.PRA101,961+23$130,687
MERCADOLIBRE INC 3,623,338 +864,708 $2,072,351
     MELI3,623,338+864,708$2,072,351
APPLE INC 6,845,054 +382,302 $2,010,050
     AAPL6,845,054+382,302$2,010,050
STRYKER CORP 9,515,302 -2,568,110 $1,997,642
     SYK9,515,302-2,568,110$1,997,642
COSTCO WHOLESALE CORP 6,794,601 -1,147,265 $1,997,069
     COST6,794,601-1,147,265$1,997,069
CIGNA CORP 9,490,059 +2,810 $1,940,622
     CI9,490,059+2,810$1,940,622
NIKE INC CL B 18,789,590 -12,439,256 $1,903,573
     NKE18,789,590-12,439,256$1,903,573
VERIZON COMMUNICATIONS INC 30,425,221 -5,893,525 $1,868,109
     VZ30,425,221-5,893,525$1,868,109
BIOMARIN PHARMACEUTICAL INC 22,004,065 +296,401 $1,860,444
     BMRN22,004,065+296,401$1,860,444
FIDELITY NATIONAL INFORMATION SVS INC 13,168,151 -9,727,139 $1,831,556
     FIS13,168,151-9,727,139$1,831,556
DIAMONDBACK ENERGY INC 19,577,175 +5,391,907 $1,817,936
     FANG19,577,175+5,391,907$1,817,936
ALCON INC 31,824,542 +10,970,060 $1,802,841
     ALC31,824,542+10,970,060$1,802,841
TC ENERGY CORP 32,733,187 +16,960 $1,743,418
     TRP32,733,187+16,960$1,743,418

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

See Details: Top 10 Stocks Held By Capital Research Global Investors

Size ($ in 1000's)
At 12/31/2019: $333,481,291
At 09/30/2019: $304,850,699

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

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

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

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