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

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
FACEBOOK INC CL A 72,701,753 -129,220 $12,946,727
     FB72,701,753-129,220$12,946,727
MICROSOFT CORP 92,893,893 -1,360,741 $12,915,037
     MSFT92,893,893-1,360,741$12,915,037
ABBOTT LABORATORIES 113,073,038 -3,716,315 $9,460,819
     ABT113,073,038-3,716,315$9,460,819
NETFLIX INC 35,288,840 +6,921,397 $9,443,999
     NFLX35,288,840+6,921,397$9,443,999
ABBVIE INC 100,614,672 -9,509,347 $7,618,542
     ABBV100,614,672-9,509,347$7,618,542
BROADCOM INC 27,188,163 +62,450 $7,505,836
     AVGO27,188,163+62,450$7,505,836
AMAZON.COM INC 4,042,762 -62,641 $7,017,870
     AMZN4,042,762-62,641$7,017,870
AMGEN INC 33,594,555 +4,036,798 $6,500,883
     AMGN33,594,555+4,036,798$6,500,883
UNITEDHEALTH GROUP INC 22,589,858 +496,961 $4,909,227
     UNH22,589,858+496,961$4,909,227
GILEAD SCIENCES INC 76,789,022 -4,959,665 $4,866,888
     GILD76,789,022-4,959,665$4,866,888
MASTERCARD INC CL A 17,742,313 +148,654 $4,818,280
     MA17,742,313+148,654$4,818,280
GENERAL DYNAMICS CORP 26,229,439 +1,600,721 $4,792,905
     GD26,229,439+1,600,721$4,792,905
ALIBABA GROUP HOLDING LTD ADR 27,238,650 -3,040,969 $4,555,111
     BABA27,238,650-3,040,969$4,555,111
EXXON MOBIL CORP 61,714,641 +512,601 $4,357,671
     XOM61,714,641+512,601$4,357,671
ALPHABET INC CL A 3,430,996 -138,636 $4,189,727
     GOOGL3,430,996-138,636$4,189,727
HOME DEPOT INC 16,391,876 -379,618 $3,803,243
     HD16,391,876-379,618$3,803,243
EOG RESOURCES INC 50,164,518 +2,433,354 $3,723,211
     EOG50,164,518+2,433,354$3,723,211
ALPHABET INC CL C 3,019,144 -295,153 $3,680,337
     GOOG3,019,144-295,153$3,680,337
CSX CORP 52,474,122 +7,152,936 $3,634,882
     CSX52,474,122+7,152,936$3,634,882
THERMO FISHER SCIENTIFIC INC 12,034,654 -825,981 $3,505,333
     TMO12,034,654-825,981$3,505,333
COCA COLA CO 59,882,343 -2,027,471 $3,259,995
     KO59,882,343-2,027,471$3,259,995
INTEL CORP 61,230,290 -26,456,700 $3,155,196
     INTC61,230,290-26,456,700$3,155,196
LINDE PLC 16,159,487 -40,208 $3,130,571
     LIN16,159,487-40,208$3,130,571
ACCENTURE PLC CL A 15,899,364 -806,448 $3,058,242
     ACN15,899,364-806,448$3,058,242
FIDELITY NATIONAL INFORMATION SVS INC 22,895,290 +22,895,290 $3,039,572
     FIS22,895,290+22,895,290$3,039,572
JPMORGAN CHASE AND CO 25,765,199 -348,515 $3,032,306
     JPM25,765,199-348,515$3,032,306
PHILIP MORRIS INTERNATIONAL 38,731,554 +1,190,516 $2,940,887
     PM38,731,554+1,190,516$2,940,887
NIKE INC CL B 31,228,846 -6,008,709 $2,933,012
     NKE31,228,846-6,008,709$2,933,012
CME GROUP INC CL A 13,345,296 -474,643 $2,820,395
     CME13,345,296-474,643$2,820,395
STRYKER CORP 12,083,412 -594,624 $2,613,642
     SYK12,083,412-594,624$2,613,642
VALE SA ON ADR 222,223,883 -3,842,610 $2,555,570
     VALE222,223,883-3,842,610$2,555,570
DOMINION ENERGY INC 31,112,000 +4,110,345 $2,521,316
     D31,112,000+4,110,345$2,521,316
MCDONALDS CORP 11,549,345 -71,456 $2,479,760
     MCD11,549,345-71,456$2,479,760
ILLUMINA INC 7,907,604 +1,400,204 $2,405,651
     ILMN7,907,604+1,400,204$2,405,651
CANADIAN NATURAL RESOURCES LTD 88,156,913 +5,967,091 $2,345,601
     CNQ88,156,913+5,967,091$2,345,601
LOCKHEED MARTIN CORP 6,000,047 -1,180,999 $2,340,378
     LMT6,000,047-1,180,999$2,340,378
COSTCO WHOLESALE CORP 7,941,866 -2,177,940 $2,288,131
     COST7,941,866-2,177,940$2,288,131
VERIZON COMMUNICATIONS INC 36,318,746 +15,806 $2,192,199
     VZ36,318,746+15,806$2,192,199
TEXAS INSTRUMENTS INC 16,833,428 -1,725,202 $2,175,552
     TXN16,833,428-1,725,202$2,175,552
AMERICAN ELECTRIC POWER CO INC      $2,142,303
     AEP22,483,367-1,091,184$2,106,467
     AEP.PRB650,625+450$35,836
MARRIOTT INTERNATIONAL INC CL A 15,742,765 -5,644,284 $1,957,927
     MAR15,742,765-5,644,284$1,957,927
CONSTELLATION BRANDS INC CL A 9,072,372 +275,219 $1,880,521
     STZ9,072,372+275,219$1,880,521
AMERICAN INTERNATIONAL GROUP INC      $1,871,171
     AIG32,753,331-1,677,197$1,824,361
     AIG.WT3,282,421+635,000$46,810
HUMANA INC 6,795,562 -177,358 $1,737,421
     HUM6,795,562-177,358$1,737,421
HASBRO INC 14,342,686 -911,066 $1,702,333
     HAS14,342,686-911,066$1,702,333
TC ENERGY CORP 32,716,227 +2,651,764 $1,694,042
     TRP32,716,227+2,651,764$1,694,042
FLEETCOR TECHNOLOGIES INC 5,770,426 +71,991 $1,654,843
     FLT5,770,426+71,991$1,654,843
AUTODESK INC 11,185,008 +3,222,772 $1,652,026
     ADSK11,185,008+3,222,772$1,652,026
SERVICENOW INC 6,483,850 -313,499 $1,645,925
     NOW6,483,850-313,499$1,645,925
CONCHO RESOURCES INC 24,160,463 +873,276 $1,640,496
     CXO24,160,463+873,276$1,640,496

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 09/30/2019: $304,850,699
At 06/30/2019: $314,994,458

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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