HoldingsChannel.com
Capital Research Global Investors Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 94,081,197 +833,349 $19,146,400
     MSFT94,081,197+833,349$19,146,400
NETFLIX INC 34,111,988 -3,799,785 $15,522,271
     NFLX34,111,988-3,799,785$15,522,271
FACEBOOK INC 65,229,967 -7,098,034 $14,811,708
     FB65,229,967-7,098,034$14,811,708
AMAZON COM INC 4,327,232 -174,763 $11,937,959
     AMZN4,327,232-174,763$11,937,959
BROADCOM INC 32,243,109 +2,743,209 $10,176,220
     AVGO32,243,109+2,743,209$10,176,220
GILEAD SCIENCES INC 125,356,882 +29,374,563 $9,644,912
     GILD125,356,882+29,374,563$9,644,912
ABBOTT LABS 87,417,734 -8,450,164 $7,992,560
     ABT87,417,734-8,450,164$7,992,560
AMGEN INC 33,361,674 +251,029 $7,868,659
     AMGN33,361,674+251,029$7,868,659
UNITEDHEALTH GROUP INC 22,911,408 +132,599 $6,757,692
     UNH22,911,408+132,599$6,757,692
HOME DEPOT INC 19,271,317 -1,800,278 $4,827,651
     HD19,271,317-1,800,278$4,827,651
MASTERCARD INCORPORATED 15,953,642 +843,833 $4,717,483
     MA15,953,642+843,833$4,717,483
ABBVIE INC 46,103,689 -3,128,616 $4,526,454
     ABBV46,103,689-3,128,616$4,526,454
ALPHABET INC 3,167,833 +66,377 $4,492,140
     GOOGL3,167,833+66,377$4,492,140
THERMO FISHER SCIENTIFIC INC 11,662,349 -124,307 $4,225,695
     TMO11,662,349-124,307$4,225,695
ALPHABET INC 2,812,585 +171,649 $3,975,880
     GOOG2,812,585+171,649$3,975,880
MERCADOLIBRE INC 3,928,275 +146,787 $3,872,359
     MELI3,928,275+146,787$3,872,359
EOG RES INC 71,311,127 +9,290,317 $3,612,601
     EOG71,311,127+9,290,317$3,612,601
PHILIP MORRIS INTL INC 51,144,769 +12,506,937 $3,583,205
     PM51,144,769+12,506,937$3,583,205
CSX CORP 49,783,088 +3,693,856 $3,471,857
     CSX49,783,088+3,693,856$3,471,857
AUTODESK INC 14,464,177 -360,648 $3,459,648
     ADSK14,464,177-360,648$3,459,648
APPLE INC 9,419,544 +577,231 $3,436,247
     AAPL9,419,544+577,231$3,436,247
LINDE PLC 14,540,167 +2,075,606 $3,083,148
     LIN14,540,167+2,075,606$3,083,148
DOMINION ENERGY INC 34,764,324 +4,948,751 $2,822,167
     D34,764,324+4,948,751$2,822,167
COMCAST CORP NEW 70,238,836 +23,600,675 $2,737,910
     CMCSA70,238,836+23,600,675$2,737,910
ACCENTURE PLC IRELAND 12,711,713 -2,315,105 $2,729,448
     ACN12,711,713-2,315,105$2,729,448
BIOMARIN PHARMACEUTICAL INC 22,065,776 +25,158 $2,721,582
     BMRN22,065,776+25,158$2,721,582
PAYPAL HLDGS INC 15,472,628 +870,230 $2,695,767
     PYPL15,472,628+870,230$2,695,767
CROWN CASTLE INTL CORP NEW      $2,460,905
     CCI13,732,295+439,910$2,298,098
     CCI.PRA109,613+7,642$162,807
CANADIAN NAT RES LTD 141,739,639 +7,079,752 $2,458,818
     CNQ141,739,639+7,079,752$2,458,818
SERVICENOW INC 5,705,335 +691,442 $2,310,990
     NOW5,705,335+691,442$2,310,990
CONSTELLATION BRANDS INC 12,797,717 +483,831 $2,238,957
     STZ12,797,717+483,831$2,238,957
GENERAL DYNAMICS CORP 13,697,272 -2,860,199 $2,047,194
     GD13,697,272-2,860,199$2,047,194
ADOBE INC 4,528,069 -53,284 $1,971,099
     ADBE4,528,069-53,284$1,971,099
RAYTHEON TECHNOLOGIES CORP 31,045,056 +12,102,097 $1,912,997
     RTX31,045,056+12,102,097$1,912,997
CME GROUP INC 11,303,376 -1,251,907 $1,837,251
     CME11,303,376-1,251,907$1,837,251
OLD DOMINION FREIGHT LINE IN 10,339,577 -415,694 $1,753,459
     ODFL10,339,577-415,694$1,753,459
GENERAL MLS INC 28,030,984 +6,727,514 $1,728,110
     GIS28,030,984+6,727,514$1,728,110
STRYKER CORPORATION 9,006,756 -253,153 $1,622,920
     SYK9,006,756-253,153$1,622,920
TEVA PHARMACEUTICAL INDS LTD 130,127,945 +37,144 $1,604,465
     TEVA130,127,945+37,144$1,604,465
JPMORGAN CHASE & CO 16,704,290 +3,992,061 $1,571,205
     JPM16,704,290+3,992,061$1,571,205
NIKE INC 15,963,973 -390,431 $1,565,245
     NKE15,963,973-390,431$1,565,245
KEURIG DR PEPPER INC 54,963,057 +5,346,857 $1,560,950
     KDP54,963,057+5,346,857$1,560,950
VALE S A 149,790,870 -6,805,947 $1,544,330
     VALE149,790,870-6,805,947$1,544,330
EXXON MOBIL CORP 33,489,907 -11,700,098 $1,497,668
     XOM33,489,907-11,700,098$1,497,668
STANLEY BLACK & DECKER INC 10,674,930 +3,348,231 $1,487,857
     SWK10,674,930+3,348,231$1,487,857
ILLUMINA INC 4,010,655 -202,911 $1,485,333
     ILMN4,010,655-202,911$1,485,333
FLEETCOR TECHNOLOGIES INC 5,872,368 -1,246,281 $1,477,057
     FLT5,872,368-1,246,281$1,477,057
DIGITAL RLTY TR INC 10,320,478 +2,956,803 $1,466,643
     DLR10,320,478+2,956,803$1,466,643
COCA COLA CO 31,933,606 -12,150,826 $1,426,793
     KO31,933,606-12,150,826$1,426,793
UNITED PARCEL SERVICE INC 12,828,768 +4,091,601 $1,426,302
     UPS12,828,768+4,091,601$1,426,302

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 06/30/2020: $316,132,701
At 03/31/2020: $254,904,235

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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