HoldingsChannel.com
Capital Research Global Investors Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
FACEBOOK INC CL A 72,830,973 +1,159,041 $14,056,377
     FB72,830,973+1,159,041$14,056,377
MICROSOFT CORP 94,254,634 -3,539,026 $12,626,351
     MSFT94,254,634-3,539,026$12,626,351
NETFLIX INC 28,367,443 +1,720,493 $10,419,929
     NFLX28,367,443+1,720,493$10,419,929
ABBOTT LABORATORIES 116,789,353 +1,217,776 $9,821,984
     ABT116,789,353+1,217,776$9,821,984
ABBVIE INC 110,124,019 -36,384,326 $8,008,218
     ABBV110,124,019-36,384,326$8,008,218
BROADCOM INC 27,125,713 +4,707,106 $7,808,408
     AVGO27,125,713+4,707,106$7,808,408
AMAZON.COM INC 4,105,403 -35,754 $7,774,114
     AMZN4,105,403-35,754$7,774,114
GILEAD SCIENCES INC 81,748,687 +3,562,752 $5,522,941
     GILD81,748,687+3,562,752$5,522,941
AMGEN INC 29,557,757 -3,836,745 $5,446,903
     AMGN29,557,757-3,836,745$5,446,903
UNITEDHEALTH GROUP INC 22,092,897 +4,229,363 $5,390,888
     UNH22,092,897+4,229,363$5,390,888
ALIBABA GROUP HOLDING LTD ADR 30,279,619 +2,330,848 $5,130,882
     BABA30,279,619+2,330,848$5,130,882
EXXON MOBIL CORP 61,202,040 -1,222,151 $4,689,912
     XOM61,202,040-1,222,151$4,689,912
MASTERCARD INC CL A 17,593,659 +254,293 $4,654,050
     MA17,593,659+254,293$4,654,050
GENERAL DYNAMICS CORP 24,628,718 +1,523,817 $4,477,993
     GD24,628,718+1,523,817$4,477,993
EOG RESOURCES INC 47,731,164 +1,106,390 $4,446,635
     EOG47,731,164+1,106,390$4,446,635
INTEL CORP 87,686,990 -10,580,763 $4,197,576
     INTC87,686,990-10,580,763$4,197,576
ALPHABET INC CL A 3,569,632 -814,795 $3,865,197
     GOOGL3,569,632-814,795$3,865,197
THERMO FISHER SCIENTIFIC INC 12,860,635 -1,804,915 $3,776,911
     TMO12,860,635-1,804,915$3,776,911
ALPHABET INC CL C 3,314,297 -1,249,606 $3,582,457
     GOOG3,314,297-1,249,606$3,582,457
CSX CORP 45,321,186 +1,902,262 $3,506,500
     CSX45,321,186+1,902,262$3,506,500
HOME DEPOT INC 16,771,494 +570,775 $3,487,968
     HD16,771,494+570,775$3,487,968
LINDE PLC 16,199,695 +1,112,620 $3,252,935
     LIN16,199,695+1,112,620$3,252,935
COCA COLA CO 61,909,814 -4,751,919 $3,152,448
     KO61,909,814-4,751,919$3,152,448
NIKE INC CL B 37,237,555 -4,263,209 $3,126,093
     NKE37,237,555-4,263,209$3,126,093
ACCENTURE PLC CL A 16,705,812 -1,013,319 $3,086,733
     ACN16,705,812-1,013,319$3,086,733
VALE SA ON ADR 226,066,493 -16,473,881 $3,038,334
     VALE226,066,493-16,473,881$3,038,334
LOWES COMPANIES INC 30,058,254 -2,998,010 $3,033,178
     LOW30,058,254-2,998,010$3,033,178
MARRIOTT INTERNATIONAL INC CL A 21,387,049 -280,055 $3,000,389
     MAR21,387,049-280,055$3,000,389
PHILIP MORRIS INTERNATIONAL 37,541,038 -13,307,525 $2,948,098
     PM37,541,038-13,307,525$2,948,098
JPMORGAN CHASE AND CO 26,113,714 +1,223,566 $2,919,513
     JPM26,113,714+1,223,566$2,919,513
WORLDPAY INC CL A 23,776,239 -387,383 $2,913,778
     WP23,776,239-387,383$2,913,778
ALTRIA GROUP INC 60,725,100 -5,247,701 $2,875,334
     MO60,725,100-5,247,701$2,875,334
CME GROUP INC CL A 13,819,939 +1,764,320 $2,682,588
     CME13,819,939+1,764,320$2,682,588
COSTCO WHOLESALE CORP 10,119,806 -83,596 $2,674,260
     COST10,119,806-83,596$2,674,260
LOCKHEED MARTIN CORP 7,181,046 +92,474 $2,610,597
     LMT7,181,046+92,474$2,610,597
STRYKER CORP 12,678,036 -2,693,589 $2,606,351
     SYK12,678,036-2,693,589$2,606,351
MCDONALDS CORP 11,620,801 -1,763,536 $2,413,175
     MCD11,620,801-1,763,536$2,413,175
CONCHO RESOURCES INC 23,287,187 +844,794 $2,402,772
     CXO23,287,187+844,794$2,402,772
ILLUMINA INC 6,507,400 +511,563 $2,395,699
     ILMN6,507,400+511,563$2,395,699
CANADIAN NATURAL RESOURCES LTD 82,189,822 -3,890,424 $2,216,129
     CNQ82,189,822-3,890,424$2,216,129
TEXAS INSTRUMENTS INC 18,558,630 -460,108 $2,129,788
     TXN18,558,630-460,108$2,129,788
AMERICAN ELECTRIC POWER CO INC      $2,109,587
     AEP23,574,551+1,045,453$2,074,796
     AEP.PRB650,175+175$34,791
DOMINION ENERGY INC 27,001,655 +2,494,871 $2,087,768
     D27,001,655+2,494,871$2,087,768
VERIZON COMMUNICATIONS INC 36,302,940 -32,939,640 $2,073,987
     VZ36,302,940-32,939,640$2,073,987
FREEPORT MCMORAN INC 169,945,461 +27,959,780 $1,973,067
     FCX169,945,461+27,959,780$1,973,067
AMERICAN INTERNATIONAL GROUP INC      $1,866,890
     AIG34,430,528-8,028,757$1,834,459
     AIG.WT2,647,421+421$32,431
SERVICENOW INC 6,797,349 -924,301 $1,866,348
     NOW6,797,349-924,301$1,866,348
HUMANA INC 6,972,920 +2,619,743 $1,849,916
     HUM6,972,920+2,619,743$1,849,916
CONSTELLATION BRANDS INC CL A 8,797,153 +7,519,244 $1,732,511
     STZ8,797,153+7,519,244$1,732,511
BIOMARIN PHARMACEUTICAL INC 19,696,205 +1,947,144 $1,686,980
     BMRN19,696,205+1,947,144$1,686,980

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 06/30/2019: $314,994,458
At 03/31/2019: $315,450,050

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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