HoldingsChannel.com
Capital World Investors Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 139,116,236 -41,441,394 $21,940,056
     MSFT139,116,236-41,441,394$21,940,056
UNITEDHEALTH GROUP INC 48,051,337 +118,340 $11,983,047
     UNH48,051,337+118,340$11,983,047
BROADCOM INC 38,343,106 -5,256,986 $9,091,160
     AVGO38,343,106-5,256,986$9,091,160
JPMORGAN CHASE AND CO 91,033,221 +8,187,609 $8,195,754
     JPM91,033,221+8,187,609$8,195,754
AMAZON.COM INC 4,125,258 +423,738 $8,043,108
     AMZN4,125,258+423,738$8,043,108
PFIZER INC 224,808,113 +36,092,723 $7,337,737
     PFE224,808,113+36,092,723$7,337,737
BERKSHIRE HATHAWAY INC CL A      $6,990,961
     BRK.A22,285-2,074$6,061,520
     BRK.B5,083,635-177,329$929,441
FACEBOOK INC CL A 40,433,503 -6,266,938 $6,744,304
     FB40,433,503-6,266,938$6,744,304
PHILIP MORRIS INTERNATIONAL 90,972,989 +17,583,436 $6,637,389
     PM90,972,989+17,583,436$6,637,389
HOME DEPOT INC 32,423,761 -6,953,059 $6,053,873
     HD32,423,761-6,953,059$6,053,873
CME GROUP INC CL A 34,927,278 -868,150 $6,039,279
     CME34,927,278-868,150$6,039,279
LOCKHEED MARTIN CORP 17,207,412 +252,054 $5,832,471
     LMT17,207,412+252,054$5,832,471
TESLA INC 10,714,131 +19,719 $5,614,175
     TSLA10,714,131+19,719$5,614,175
THERMO FISHER SCIENTIFIC INC 16,824,726 +1,242,140 $4,771,494
     TMO16,824,726+1,242,140$4,771,494
NETFLIX INC 12,412,957 -2,067,222 $4,661,062
     NFLX12,412,957-2,067,222$4,661,062
BOEING CO 30,555,090 +3,997,531 $4,556,991
     BA30,555,090+3,997,531$4,556,991
MASTERCARD INC CL A 15,722,658 -5,017,961 $3,797,994
     MA15,722,658-5,017,961$3,797,994
REGENERON PHARMACEUTICALS 7,133,280 -1,199,144 $3,483,098
     REGN7,133,280-1,199,144$3,483,098
CSX CORP 60,681,919 +3,886,502 $3,477,077
     CSX60,681,919+3,886,502$3,477,077
GILEAD SCIENCES INC 46,331,318 +25,555,467 $3,463,732
     GILD46,331,318+25,555,467$3,463,732
ALPHABET INC CL C 2,959,326 -338,302 $3,441,128
     GOOG2,959,326-338,302$3,441,128
COMCAST CORP CL A 96,029,604 +6,937,877 $3,301,509
     CMCSA96,029,604+6,937,877$3,301,509
HONEYWELL INTERNATIONAL INC 24,461,672 +5,361,064 $3,272,727
     HON24,461,672+5,361,064$3,272,727
CIGNA CORP 18,108,687 -2,011,865 $3,208,499
     CI18,108,687-2,011,865$3,208,499
ALTRIA GROUP INC 82,778,790 +8,150,622 $3,201,056
     MO82,778,790+8,150,622$3,201,056
DIGITAL REALTY TRUST INC REIT 22,914,087 -2,618,240 $3,182,998
     DLR22,914,087-2,618,240$3,182,998
VISA INC CL A 19,628,540 -6,317,689 $3,162,567
     V19,628,540-6,317,689$3,162,567
CROWN CASTLE INTL CORP REIT      $3,100,247
     CCI18,773,004+896,979$2,710,822
     CCI.PRA311,540+5,500$389,425
VERTEX PHARMACEUTICALS INC 12,579,718 +1,981,607 $2,993,340
     VRTX12,579,718+1,981,607$2,993,340
MERCK AND CO INC 38,212,072 -23,575,625 $2,940,037
     MRK38,212,072-23,575,625$2,940,037
VERIZON COMMUNICATIONS INC 54,544,125 +3,202,996 $2,930,662
     VZ54,544,125+3,202,996$2,930,662
TAIWAN SEMICONDUCTOR MFG CO ADR 59,899,737 -3,047,118 $2,862,610
     TSM59,899,737-3,047,118$2,862,610
JOHNSON AND JOHNSON 21,195,989 +13,703,905 $2,779,435
     JNJ21,195,989+13,703,905$2,779,435
ALPHABET INC CL A 2,351,722 -457,259 $2,732,576
     GOOGL2,351,722-457,259$2,732,576
BLACKROCK INC 6,091,446 -1,270,934 $2,680,072
     BLK6,091,446-1,270,934$2,680,072
BOSTON SCIENTIFIC CORP 80,748,901 -26,997,749 $2,634,826
     BSX80,748,901-26,997,749$2,634,826
ACTIVISION BLIZZARD INC 42,795,798 -10,654,238 $2,545,493
     ATVI42,795,798-10,654,238$2,545,493
ASML HOLDING NV USD 9,469,366 -3,908,932 $2,477,642
     ASML9,469,366-3,908,932$2,477,642
INTUITIVE SURGICAL INC 4,969,285 +591,816 $2,460,849
     ISRG4,969,285+591,816$2,460,849
AMERICAN TOWER CORP REIT 10,994,133 -86,626 $2,393,972
     AMT10,994,133-86,626$2,393,972
CENTENE CORP 39,175,475 +3,024,663 $2,327,415
     CNC39,175,475+3,024,663$2,327,415
ADVANCED MICRO DEVICES INC 47,990,133 +19,615,477 $2,182,597
     AMD47,990,133+19,615,477$2,182,597
RINGCENTRAL INC CL A 10,135,829 -55,542 $2,147,884
     RNG10,135,829-55,542$2,147,884
NORTHROP GRUMMAN CORP 6,971,362 +97,597 $2,109,196
     NOC6,971,362+97,597$2,109,196
GENERAL MOTORS COMPANY 100,416,712 +6,189,518 $2,086,664
     GM100,416,712+6,189,518$2,086,664
T MOBILE US INC 24,320,830 -7,483,978 $2,040,518
     TMUS24,320,830-7,483,978$2,040,518
SHOPIFY INC CL A S V USD 4,875,199 +1,991,970 $2,032,670
     SHOP4,875,199+1,991,970$2,032,670
PAYPAL HOLDINGS INC 20,613,166 -664,242 $1,973,508
     PYPL20,613,166-664,242$1,973,508
DTE ENERGY CO 20,594,523 +1,347,436 $1,955,862
     DTE20,594,523+1,347,436$1,955,862
PNC FINANCIAL SERVICES GROUP INC 19,136,829 -958,054 $1,831,794
     PNC19,136,829-958,054$1,831,794

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

See Details: Top 10 Stocks Held By Capital World Investors

Size ($ in 1000's)
At 03/31/2020: $344,617,206
At 12/31/2019: $447,391,768

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

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

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

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