Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
CAPITAL RESEARCH GLOBAL INVESTORS 05-15-2019 03-31-2019 415 315,450,050,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
FACEBOOK INC CL A COMMON STOCK 1 $11,946,994,000 71,671,932 3.79 3.19 1,899,409 2.72
ABBVIE INC COMMON STOCK 2 $11,807,108,000 146,508,345 3.74 5.58 -27,059,898 -15.59
MICROSOFT CORP COMMON STOCK 3 $11,533,784,000 97,793,660 3.66 3.89 -12,069,287 -10.99
NETFLIX INC COMMON STOCK 4 $9,501,236,000 26,646,950 3.01 2.40 955,374 3.72
ABBOTT LABORATORIES COMMON STOCK 5 $9,238,792,000 115,571,577 2.93 3.07 -6,356,769 -5.21
AMAZON.COM INC COMMON STOCK 6 $7,374,365,000 4,141,157 2.34 2.46 -564,976 -12.01
BROADCOM INC COMMON STOCK 7 $6,741,499,000 22,418,607 2.14 2.24 -2,854,759 -11.30
AMGEN INC COMMON STOCK 8 $6,344,287,000 33,394,502 2.01 2.38 -1,750,473 -4.98
ALPHABET INC CL C COMMON STOCK 9 $5,354,873,000 4,563,903 1.70 1.84 -529,462 -10.40
INTEL CORP COMMON STOCK 10 $5,276,978,000 98,267,753 1.67 1.60 659,010 0.68
ALPHABET INC CL A COMMON STOCK 11 $5,159,988,000 4,384,427 1.64 1.75 -424,400 -8.83
ALIBABA GROUP HOLDING LTD ADR COMMON STOCK 12 $5,099,253,000 27,948,771 1.62 0.93 8,439,261 43.26
GILEAD SCIENCES INC COMMON STOCK 13 $5,082,868,000 78,185,935 1.61 1.58 5,637,146 7.77
EXXON MOBIL CORP COMMON STOCK 14 $5,043,875,000 62,424,191 1.60 1.32 7,000,222 12.63
PHILIP MORRIS INTERNATIONAL COMMON STOCK 15 $4,494,504,000 50,848,563 1.42 1.28 -4,064,195 -7.40
EOG RESOURCES INC COMMON STOCK 16 $4,437,746,000 46,624,774 1.41 1.39 888,389 1.94
UNITEDHEALTH GROUP INC COMMON STOCK 17 $4,416,937,000 17,863,534 1.40 1.67 -1,370,317 -7.12
VERIZON COMMUNICATIONS INC COMMON STOCK 18 $4,094,314,000 69,242,580 1.30 1.81 -23,078,200 -25.00
MASTERCARD INC CL A COMMON STOCK 19 $4,082,554,000 17,339,366 1.29 1.16 -372,576 -2.10
THERMO FISHER SCIENTIFIC INC COMMON STOCK 20 $4,014,254,000 14,665,550 1.27 1.24 -1,264,804 -7.94
GENERAL DYNAMICS CORP COMMON STOCK 21 $3,911,198,000 23,104,901 1.24 1.23 657,932 2.93
ALTRIA GROUP INC COMMON STOCK 22 $3,788,818,000 65,972,801 1.20 1.13 391,372 0.60
LOWES COMPANIES INC COMMON STOCK 23 $3,618,669,000 33,056,264 1.15 1.08 -554,240 -1.65
NIKE INC CL B COMMON STOCK 24 $3,494,779,000 41,500,764 1.11 1.22 -5,606,860 -11.90
CSX CORP COMMON STOCK 25 $3,248,604,000 43,418,924 1.03 0.91 1,401,381 3.34
VALE SA ON ADR COMMON STOCK 26 $3,167,577,000 242,540,374 1.00 0.74 81,531,032 50.64
COCA-COLA CO COMMON STOCK 27 $3,123,769,000 66,661,733 0.99 1.17 -4,101,569 -5.80
ACCENTURE PLC CL A COMMON STOCK 28 $3,118,921,000 17,719,131 0.99 0.81 1,217,199 7.38
HOME DEPOT INC COMMON STOCK 29 $3,108,756,000 16,200,719 0.99 0.92 887,620 5.80
STRYKER CORP COMMON STOCK 30 $3,036,203,000 15,371,625 0.96 0.76 1,535,630 11.10
WORLDPAY INC CL A COMMON STOCK 31 $2,735,287,000 24,163,622 0.87 0.65 -290,796 -1.19
MARRIOTT INTERNATIONAL INC CL A COMMON STOCK 32 $2,710,338,000 21,667,104 0.86 0.78 1,034,493 5.01
LINDE PLC COMMON STOCK 33 $2,653,768,000 15,087,075 0.84 0.69 2,315,736 18.13
MCDONALDS CORP COMMON STOCK 34 $2,541,686,000 13,384,337 0.81 0.83 -2,323 -0.02
JPMORGAN CHASE AND CO COMMON STOCK 35 $2,519,630,000 24,890,148 0.80 0.86 -276,336 -1.10
CONCHO RESOURCES INC COMMON STOCK 36 $2,490,208,000 22,442,393 0.79 0.75 1,376,098 6.53
COSTCO WHOLESALE CORP COMMON STOCK 37 $2,470,652,000 10,203,402 0.78 0.71 269,512 2.71
CANADIAN NATURAL RESOURCES LTD COMMON STOCK 38 $2,363,485,000 86,080,246 0.75 0.70 2,657,226 3.19
BOOKING HOLDINGS INC COMMON STOCK 39 $2,150,617,000 1,232,509 0.68 0.67 117,784 10.57
LOCKHEED MARTIN CORP COMMON STOCK 40 $2,127,706,000 7,088,572 0.67 0.65 932 0.01
TEXAS INSTRUMENTS INC COMMON STOCK 41 $2,017,318,000 19,018,738 0.64 0.66 -943,871 -4.73
TEVA PHARMACEUTICAL INDUSTRIES LTD ADR COMMON STOCK 42 $2,010,041,000 128,191,392 0.64 0.66 6,237,109 5.11
CME GROUP INC CL A COMMON STOCK 43 $1,984,114,000 12,055,619 0.63 0.75 640,467 5.61
SERVICENOW INC COMMON STOCK 44 $1,903,310,000 7,721,650 0.60 0.38 1,676,433 27.73
AMERICAN ELECTRIC POWER CO INC COMMON STOCK 45 $1,886,812,000 22,529,098 0.60 0.57 569,960 2.60
DOMINION ENERGY INC COMMON STOCK 46 $1,878,690,000 24,506,784 0.60 0.60 421,428 1.75
ILLUMINA INC COMMON STOCK 47 $1,862,847,000 5,995,837 0.59 0.64 -87,454 -1.44
BERKSHIRE HATHAWAY INC CL B COMMON STOCK 48 $1,851,910,000 9,218,529 0.59 0.72 -863,651 -8.57
FREEPORT-MCMORAN INC COMMON STOCK 49 $1,830,195,000 141,985,681 0.58 0.22 81,665,941 135.39
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK 50 $1,828,297,000 42,459,285 0.58 0.61 -2,046,967 -4.60
QUALCOMM INC COMMON STOCK 51 $1,728,696,000 30,312,043 0.55 0.72 -5,888,085 -16.27
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