Universe · entity

Capital Research Global Investors

Institutional manager (13F) · CIK 1422848
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $448.4B
#IssuerValueShares
1BROADCOM INC$35.9B116,025,298
2MICROSOFT CORP$35.6B96,093,061
3NVIDIA CORPORATION$33.7B193,037,700
4AMAZON COM INC$24.7B118,434,267
5ELI LILLY & CO$22.7B24,632,647
6META PLATFORMS INC$17.7B30,909,975
7ALPHABET INC$16.5B57,546,747
8APPLE INC$16.3B64,035,728
9PHILIP MORRIS INTL INC$13.2B79,823,025
10ALPHABET INC$11.6B40,305,350
11RTX CORPORATION$10.1B52,337,386
12APPLIED MATLS INC$10.1B29,455,424
13GE AEROSPACE$9.9B34,724,628
14VERTEX PHARMACEUTICALS INC$9.4B21,125,964
15STARBUCKS CORP$9.2B102,348,519
16UBER TECHNOLOGIES INC$8.4B116,339,639
17JPMORGAN CHASE & CO$8.1B27,413,395
18CANADIAN NAT RES LTD MED TER$8.0B164,432,659
19LINDE PLC$8.0B16,051,934
20ROYAL CARIBBEAN GROUP$7.8B28,255,701
21MASTERCARD INCORPORATED$6.9B13,884,582
22ABBVIE INC$6.8B31,254,786
23CARRIER GLOBAL CORPORATION$6.6B116,392,662
24NETFLIX INC.$6.5B68,045,981
25WELLS FARGO & CO$5.8B72,893,582
26EXXON MOBIL CORP$5.7B33,701,474
27ABBOTT LABORATORIES$5.1B49,775,362
28CISCO SYS INC$5.0B63,949,104
29HOME DEPOT INC$4.9B14,986,308
30ORACLE CORP$4.7B32,139,254
31MERCADOLIBRE INC$4.7B2,717,172
32UNITEDHEALTH GROUP INC$4.6B17,112,218
33PROGRESSIVE CORP$4.5B22,574,142
34BLACKROCK INC$4.4B4,610,418
35UNION PAC CORP$4.1B16,906,409
36MONDELEZ INTL INC$3.9B68,304,166
37GILEAD SCIENCES INC$3.8B27,127,533
38EOG RES INC$3.8B26,056,870
39TRANSDIGM GROUP INC$3.6B3,143,509
40MEDTRONIC PLC$3.6B41,926,590
41INTEL CORP$3.4B77,301,863
42CARVANA CO$3.4B10,850,505
43TAIWAN SEMICONDUCTOR MANUFAC$3.4B9,989,672
44AMPHENOL CORP$3.4B26,630,629
45MORGAN STANLEY$3.3B20,270,720
46NEXTERA ENERGY INC$3.3B35,659,943
47TESLA INC$3.2B8,624,813
48ALNYLAM PHARMACEUTICALS INC$3.1B9,471,181
49CENTERPOINT ENERGY INC$3.1B72,275,884
50DOMINION ENERGY INC$3.0B48,976,047
All filings on EDGAR ↗

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