Universe · entity

Capital World Investors

Institutional manager (13F) · CIK 1422849
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $450.4B
#IssuerValueShares
1BROADCOM INC$36.0B116,188,483
2META PLATFORMS INC$23.5B41,055,422
3MICROSOFT CORP$22.8B61,734,339
4NVIDIA CORPORATION$22.7B130,266,430
5PHILIP MORRIS INTL INC$22.1B133,450,504
6ALPHABET INC$18.8B65,347,108
7TESLA INC$15.9B42,904,073
8ELI LILLY & CO$14.4B15,621,813
9MICRON TECHNOLOGY INC$14.2B42,054,392
10ALPHABET INC$12.8B44,759,732
11VERTEX PHARMACEUTICALS INC$11.3B25,368,124
12TAIWAN SEMICONDUCTOR MANUFAC$11.1B32,886,937
13AMAZON COM INC$10.5B50,418,935
14AMGEN INC$10.3B29,288,343
15CANADIAN NAT RES LTD MED TER$9.6B197,679,763
16NETFLIX INC.$9.5B99,103,552
17STARBUCKS CORP$9.3B103,315,629
18VISA INC$7.6B25,178,201
19UNITEDHEALTH GROUP INC$7.5B27,783,415
20EOG RES INC$7.5B51,890,964
21BANK AMERICA CORP$7.0B144,289,396
22DEERE & CO$6.9B12,272,894
23APPLE INC$6.9B27,140,333
24UNION PAC CORP$6.6B27,072,234
25KLA CORP$6.0B4,084,069
26GILEAD SCIENCES INC$5.8B41,283,933
27CVS HEALTH CORP$5.5B77,248,642
28ASTRAZENECA PLC$5.5B28,264,580
29ROYAL CARIBBEAN GROUP$5.5B20,062,271
30WHEATON PRECIOUS METALS CORP$5.5B42,086,263
31SOUTHERN CO$5.4B56,239,873
32TRANSDIGM GROUP INC$5.4B4,666,491
33HOME DEPOT INC$5.3B16,143,812
34COMCAST CORP NEW$5.2B182,141,779
35BOEING CO$5.1B25,727,803
36D R HORTON INC$5.1B36,936,106
37ASML HLDG NV$4.9B3,733,385
38NORTHROP GRUMMAN CORP$4.7B6,892,150
39CLOUDFLARE INC$4.7B22,735,569
40CITIGROUP INC$4.6B40,720,859
41JPMORGAN CHASE & CO$4.5B15,421,463
42TOTALENERGIES SE$4.5B48,349,190
43AGNICO EAGLE MINES LTD$4.4B21,626,307
44GE AEROSPACE$4.4B15,366,155
45INTERNATIONAL BUSINESS MACHS$4.1B17,062,453
46SHOPIFY INC$4.0B33,696,844
47FIRSTENERGY CORP$3.9B77,662,784
48L3HARRIS TECHNOLOGIES INC$3.8B11,011,608
49MERCADOLIBRE INC$3.8B2,194,481
50GE VERNOVA INC$3.7B4,262,860
All filings on EDGAR ↗

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