Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
CAPITAL WORLD INVESTORS 08-14-2019 06-30-2019 536 426,286,316,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
MICROSOFT CORP COMMON STOCK 1 $24,671,285,000 184,169,045 5.79 5.41 -4,897,100 -2.59
BROADCOM INC COMMON STOCK 2 $12,559,425,000 43,630,325 2.95 3.07 1,518,651 3.61
HOME DEPOT INC COMMON STOCK 3 $12,210,992,000 58,715,164 2.86 2.66 1,573,529 2.75
UNITEDHEALTH GROUP INC COMMON STOCK 4 $11,213,855,000 45,956,536 2.63 2.50 4,231,367 10.14
FACEBOOK INC CL A COMMON STOCK 5 $8,812,543,000 45,660,845 2.07 1.80 1,163,347 2.61
JPMORGAN CHASE AND CO COMMON STOCK 6 $8,736,947,000 78,148,017 2.05 1.88 1,371,404 1.79
DOWDUPONT INC COMMON STOCK Liquidated $0 0 1.83 2.03 1,418,450 1.01
BERKSHIRE HATHAWAY INC CL A COMMON STOCK 8 $7,461,487,000 23,438 1.75 1.60 1,586 7.26
AMAZON.COM INC COMMON STOCK 9 $7,259,147,000 3,833,456 1.70 1.69 -90,566 -2.31
MERCK AND CO INC COMMON STOCK 10 $7,061,737,000 84,218,688 1.66 1.81 -5,346,246 -5.97
PFIZER INC COMMON STOCK 11 $7,017,454,000 161,991,093 1.65 1.53 13,656,468 9.21
CME GROUP INC CL A COMMON STOCK 12 $6,822,626,000 35,148,244 1.60 1.32 2,073,970 6.27
INTEL CORP COMMON STOCK 13 $6,746,989,000 140,944,001 1.58 1.71 9,645,615 7.35
LOCKHEED MARTIN CORP COMMON STOCK 14 $6,317,016,000 17,376,400 1.48 1.33 -887,976 -4.86
MASTERCARD INC CL A COMMON STOCK 15 $6,076,076,000 22,969,329 1.43 1.30 195,235 0.86
BOEING CO COMMON STOCK 16 $5,753,647,000 15,806,288 1.35 1.39 764,611 5.08
NETFLIX INC COMMON STOCK 17 $5,346,271,000 14,554,806 1.25 1.09 1,987,532 15.82
VISA INC CL A COMMON STOCK 18 $5,096,701,000 29,367,338 1.20 1.11 151,953 0.52
THERMO FISHER SCIENTIFIC INC COMMON STOCK 19 $4,585,255,000 15,613,098 1.08 1.03 76,074 0.49
PHILIP MORRIS INTERNATIONAL COMMON STOCK 20 $4,379,113,000 55,763,568 1.03 1.10 4,377,107 8.52
BOSTON SCIENTIFIC CORP COMMON STOCK 21 $4,339,132,000 100,957,020 1.02 0.90 3,941,867 4.06
GENERAL MOTORS COMPANY COMMON STOCK 22 $4,308,611,000 111,824,846 1.01 0.95 5,769,980 5.44
ALPHABET INC CL C COMMON STOCK 23 $4,011,649,000 3,711,363 0.94 1.20 -505,143 -11.98
CSX CORP COMMON STOCK 24 $3,865,881,000 49,966,148 0.91 0.82 4,606,853 10.16
BLACKROCK INC COMMON STOCK 25 $3,821,818,000 8,143,657 0.90 0.83 124,376 1.55
SIMON PROPERTY GROUP INC (REIT) COMMON STOCK 26 $3,617,632,000 22,644,166 0.85 0.91 2,126,479 10.36
NIKE INC CL B COMMON STOCK 27 $3,537,816,000 42,141,938 0.83 1.32 -22,694,926 -35.00
ALTRIA GROUP INC COMMON STOCK 28 $3,534,109,000 74,637,987 0.83 0.95 6,714,555 9.89
COMCAST CORP CL A COMMON STOCK 29 $3,531,353,000 83,523,017 0.83 0.81 29,145 0.03
PNC FINANCIAL SERVICES GROUP INC COMMON STOCK 30 $3,451,623,000 25,142,942 0.81 0.75 27,346 0.11
CAPITAL ONE FINANCIAL CORP COMMON STOCK 31 $3,386,007,000 37,315,486 0.79 0.73 225,903 0.61
VERIZON COMMUNICATIONS INC COMMON STOCK 32 $3,374,476,000 59,066,612 0.79 0.89 -2,905,262 -4.69
DUPONT DE NEMOURS INC COMMON STOCK 33 $3,252,483,000 43,326,002 0.76 43,326,002 +Inf
CIGNA CORP COMMON STOCK 34 $3,181,667,000 20,194,649 0.75 0.79 5,984 0.03
ALPHABET INC CL A COMMON STOCK 35 $3,179,742,000 2,936,592 0.75 1.02 -640,503 -17.91
ALIBABA GROUP HOLDING LTD ADR COMMON STOCK 36 $3,124,012,000 18,436,187 0.73 0.76 1,153,244 6.67
ROYAL DUTCH SHELL PLC B ADR COMMON STOCK 37 $3,029,979,000 46,090,341 0.71 0.78 -4,419,147 -8.75
DIGITAL REALTY TRUST INC (REIT) COMMON STOCK 38 $2,954,897,000 25,086,146 0.69 0.69 1,180,004 4.94
CHARTER COMMUNICATIONS INC CL A COMMON STOCK 39 $2,953,883,000 7,474,779 0.69 0.63 2,562 0.03
ASML HOLDING NV (USD) COMMON STOCK 40 $2,723,300,000 13,097,199 0.64 0.01 231,042 1.80
SERVICENOW INC COMMON STOCK 41 $2,700,889,000 9,836,797 0.63 0.62 -608,979 -5.83
ACTIVISION BLIZZARD INC COMMON STOCK 42 $2,645,339,000 56,045,313 0.62 0.55 6,413,438 12.92
REGENERON PHARMACEUTICALS COMMON STOCK 43 $2,535,248,000 8,099,834 0.59 0.75 608,166 8.12
AMERICAN TOWER CORP (REIT) COMMON STOCK 44 $2,524,234,000 12,346,463 0.59 0.64 -1,087,792 -8.10
PUBLIC SERVICE ENTERPRISE GROUP INC COMMON STOCK 45 $2,510,391,000 42,679,206 0.59 0.61 164,529 0.39
LINDE PLC COMMON STOCK 46 $2,481,902,000 12,359,295 0.58 0.79 -6,264,413 -33.64
EXXON MOBIL CORP COMMON STOCK 47 $2,449,385,000 31,963,791 0.57 0.61 635,343 2.03
COSTCO WHOLESALE CORP COMMON STOCK 48 $2,412,925,000 9,130,873 0.57 0.54 9,233 0.10
DTE ENERGY CO COMMON STOCK 49 $2,353,234,000 18,401,892 0.55 0.56 3,769 0.02
JOHNSON AND JOHNSON COMMON STOCK 50 $2,217,327,000 15,919,920 0.52 0.45 2,585,542 19.39
ENBRIDGE INC COMMON STOCK 51 $2,198,574,000 60,898,006 0.52 0.85 -35,535,133 -36.85
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