Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
CAPITAL RESEARCH GLOBAL INVESTORS 11-14-2019 09-30-2019 414 304,850,699,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
FACEBOOK INC CL A COMMON STOCK 1 $12,946,727,000 72,701,753 4.25 4.46 -129,220 -0.18 09-30-2019
MICROSOFT CORP COMMON STOCK 2 $12,915,037,000 92,893,893 4.24 4.01 -1,360,741 -1.44 09-30-2019
ABBOTT LABORATORIES COMMON STOCK 3 $9,460,819,000 113,073,038 3.10 3.12 -3,716,315 -3.18 09-30-2019
NETFLIX INC COMMON STOCK 4 $9,443,999,000 35,288,840 3.10 3.31 6,921,397 24.40 09-30-2019
ABBVIE INC COMMON STOCK 5 $7,618,542,000 100,614,672 2.50 2.54 -9,509,347 -8.64 09-30-2019
BROADCOM INC COMMON STOCK 6 $7,505,836,000 27,188,163 2.46 2.48 62,450 0.23 09-30-2019
AMAZON.COM INC COMMON STOCK 7 $7,017,870,000 4,042,762 2.30 2.47 -62,641 -1.53 09-30-2019
AMGEN INC COMMON STOCK 8 $6,500,883,000 33,594,555 2.13 1.73 4,036,798 13.66 09-30-2019
UNITEDHEALTH GROUP INC COMMON STOCK 9 $4,909,227,000 22,589,858 1.61 1.71 496,961 2.25 09-30-2019
GILEAD SCIENCES INC COMMON STOCK 10 $4,866,888,000 76,789,022 1.60 1.75 -4,959,665 -6.07 09-30-2019
MASTERCARD INC CL A COMMON STOCK 11 $4,818,280,000 17,742,313 1.58 1.48 148,654 0.84 09-30-2019
GENERAL DYNAMICS CORP COMMON STOCK 12 $4,792,905,000 26,229,439 1.57 1.42 1,600,721 6.50 09-30-2019
ALIBABA GROUP HOLDING LTD ADR COMMON STOCK 13 $4,555,111,000 27,238,650 1.49 1.63 -3,040,969 -10.04 09-30-2019
EXXON MOBIL CORP COMMON STOCK 14 $4,357,671,000 61,714,641 1.43 1.49 512,601 0.84 09-30-2019
ALPHABET INC CL A COMMON STOCK 15 $4,189,727,000 3,430,996 1.37 1.23 -138,636 -3.88 09-30-2019
HOME DEPOT INC COMMON STOCK 16 $3,803,243,000 16,391,876 1.25 1.11 -379,618 -2.26 09-30-2019
EOG RESOURCES INC COMMON STOCK 17 $3,723,211,000 50,164,518 1.22 1.41 2,433,354 5.10 09-30-2019
ALPHABET INC CL C COMMON STOCK 18 $3,680,337,000 3,019,144 1.21 1.14 -295,153 -8.91 09-30-2019
CSX CORP COMMON STOCK 19 $3,634,882,000 52,474,122 1.19 1.11 7,152,936 15.78 09-30-2019
THERMO FISHER SCIENTIFIC INC COMMON STOCK 20 $3,505,333,000 12,034,654 1.15 1.20 -825,981 -6.42 09-30-2019
COCA-COLA CO COMMON STOCK 21 $3,259,995,000 59,882,343 1.07 1.00 -2,027,471 -3.27 09-30-2019
INTEL CORP COMMON STOCK 22 $3,155,196,000 61,230,290 1.03 1.33 -26,456,700 -30.17 09-30-2019
LINDE PLC COMMON STOCK 23 $3,130,571,000 16,159,487 1.03 1.03 -40,208 -0.25 09-30-2019
ACCENTURE PLC CL A COMMON STOCK 24 $3,058,242,000 15,899,364 1.00 0.98 -806,448 -4.83 09-30-2019
FIDELITY NATIONAL INFORMATION SVS INC COMMON STOCK 25 $3,039,572,000 22,895,290 1.00 22,895,290 +Inf 09-30-2019
JPMORGAN CHASE AND CO COMMON STOCK 26 $3,032,306,000 25,765,199 0.99 0.93 -348,515 -1.33 09-30-2019
PHILIP MORRIS INTERNATIONAL COMMON STOCK 27 $2,940,887,000 38,731,554 0.96 0.94 1,190,516 3.17 09-30-2019
NIKE INC CL B COMMON STOCK 28 $2,933,012,000 31,228,846 0.96 0.99 -6,008,709 -16.14 09-30-2019
WORLDPAY INC CL A COMMON STOCK Liquidated $0 0 0.93 0.87 -387,383 -1.60 09-30-2019
CME GROUP INC CL A COMMON STOCK 30 $2,820,395,000 13,345,296 0.93 0.85 -474,643 -3.43 09-30-2019
STRYKER CORP COMMON STOCK 31 $2,613,642,000 12,083,412 0.86 0.83 -594,624 -4.69 09-30-2019
VALE SA ON ADR COMMON STOCK 32 $2,555,570,000 222,223,883 0.84 0.96 -3,842,610 -1.70 09-30-2019
DOMINION ENERGY INC COMMON STOCK 33 $2,521,316,000 31,112,000 0.83 0.66 4,110,345 15.22 09-30-2019
MCDONALDS CORP COMMON STOCK 34 $2,479,760,000 11,549,345 0.81 0.77 -71,456 -0.61 09-30-2019
ILLUMINA INC COMMON STOCK 35 $2,405,651,000 7,907,604 0.79 0.76 1,400,204 21.52 09-30-2019
CANADIAN NATURAL RESOURCES LTD COMMON STOCK 36 $2,345,601,000 88,156,913 0.77 0.70 5,967,091 7.26 09-30-2019
LOCKHEED MARTIN CORP COMMON STOCK 37 $2,340,378,000 6,000,047 0.77 0.83 -1,180,999 -16.45 09-30-2019
COSTCO WHOLESALE CORP COMMON STOCK 38 $2,288,131,000 7,941,866 0.75 0.85 -2,177,940 -21.52 09-30-2019
VERIZON COMMUNICATIONS INC COMMON STOCK 39 $2,192,199,000 36,318,746 0.72 0.66 15,806 0.04 09-30-2019
TEXAS INSTRUMENTS INC COMMON STOCK 40 $2,175,552,000 16,833,428 0.71 0.68 -1,725,202 -9.30 09-30-2019
AMERICAN ELECTRIC POWER CO INC COMMON STOCK 41 $2,106,467,000 22,483,367 0.69 0.66 -1,091,184 -4.63 09-30-2019
MARRIOTT INTERNATIONAL INC CL A COMMON STOCK 42 $1,957,927,000 15,742,765 0.64 0.95 -5,644,284 -26.39 09-30-2019
CONSTELLATION BRANDS INC CL A COMMON STOCK 43 $1,880,521,000 9,072,372 0.62 0.55 275,219 3.13 09-30-2019
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK 44 $1,824,361,000 32,753,331 0.60 0.58 -1,677,197 -4.87 09-30-2019
HUMANA INC COMMON STOCK 45 $1,737,421,000 6,795,562 0.57 0.59 -177,358 -2.54 09-30-2019
HASBRO INC COMMON STOCK 46 $1,702,333,000 14,342,686 0.56 0.51 -911,066 -5.97 09-30-2019
TC ENERGY CORP COMMON STOCK 47 $1,694,042,000 32,716,227 0.56 0.47 2,651,764 8.82 09-30-2019
FLEETCOR TECHNOLOGIES INC COMMON STOCK 48 $1,654,843,000 5,770,426 0.54 0.51 71,991 1.26 09-30-2019
AUTODESK INC COMMON STOCK 49 $1,652,026,000 11,185,008 0.54 0.41 3,222,772 40.48 09-30-2019
SERVICENOW INC COMMON STOCK 50 $1,645,925,000 6,483,850 0.54 0.59 -313,499 -4.61 09-30-2019
CONCHO RESOURCES INC COMMON STOCK 51 $1,640,496,000 24,160,463 0.54 0.76 873,276 3.75 09-30-2019
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