Universe · entity

Capital International Sarl

Institutional manager (13F) · CIK 1065349
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.4B
#IssuerValueShares
1META PLATFORMS INC$312M545,399
2BROADCOM INC$296M955,041
3NVIDIA CORPORATION$279M1,601,809
4MICROSOFT CORP$258M695,912
5TESLA INC$206M553,817
6ASTRAZENECA PLC$178M914,752
7ALPHABET INC$146M508,417
8ALPHABET INC$139M483,809
9ELI LILLY & CO$138M150,461
10AMAZON COM INC$130M626,054
11PHILIP MORRIS INTL INC$113M682,706
12TOTALENERGIES SE$113M1,222,988
13ROYAL CARIBBEAN GROUP$108M393,137
14VERTEX PHARMACEUTICALS INC$93M208,882
15SHOPIFY INC$92M774,152
16VISA INC$80M264,830
17NORTHROP GRUMMAN CORP$78M113,633
18GE AEROSPACE$75M265,937
19APPLE INC$75M296,472
20COSTCO WHOLESALE CORPORATION$68M68,256
21BANK AMERICA CORP$66M1,356,337
22MICRON TECHNOLOGY INC$63M187,728
23STARBUCKS CORP$63M703,213
24MERCADOLIBRE INC$62M35,634
25NETFLIX INC.$59M611,593
26CLOUDFLARE INC$58M278,952
27INTUITIVE SURGICAL INC$56M120,863
28ASML HLDG NV$56M42,072
29TAIWAN SEMICONDUCTOR MANUFAC$55M162,575
30DEERE & CO$54M95,506
31MASTERCARD INCORPORATED$54M107,299
32BEONE MEDICINES LTD$52M173,879
33ROYALTY PHARMA PLC$50M1,048,202
34KLA CORP$49M33,520
35JPMORGAN CHASE & CO$49M167,536
36LINDE PLC$49M99,195
37RESTAURANT BRANDS INTL INC$48M650,735
38TRANSDIGM GROUP INC$47M40,890
39WELLTOWER INC$47M239,169
40AMPHENOL CORP$46M367,122
41CITIGROUP INC$46M407,780
42RYANAIR HOLDINGS PLC$44M761,948
43THERMO FISHER SCIENTIFIC INC$44M89,414
44FTAI AVIATION LTD$40M164,413
45DEUTSCHE BK AG$39M1,332,396
46GE VERNOVA INC$36M40,696
47GALLAGHER ARTHUR J & CO$34M156,934
48AMGEN INC$33M94,516
49CENOVUS ENERGY INC$33M1,247,752
50TRIP COM GROUP LTD$33M660,014
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.