Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
CAPITAL WORLD INVESTORS 11-14-2019 09-30-2019 534 415,213,002,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
MICROSOFT CORP COMMON STOCK 1 $25,088,008,000 180,450,388 6.04 5.79 -3,718,657 -2.02 09-30-2019
HOME DEPOT INC COMMON STOCK 2 $13,501,580,000 58,191,467 3.25 2.86 -523,697 -0.89 09-30-2019
BROADCOM INC COMMON STOCK 3 $12,042,063,000 43,619,612 2.90 2.95 -10,713 -0.02 09-30-2019
UNITEDHEALTH GROUP INC COMMON STOCK 4 $9,717,124,000 44,713,443 2.34 2.63 -1,243,093 -2.70 09-30-2019
JPMORGAN CHASE AND CO COMMON STOCK 5 $9,569,849,000 81,314,033 2.30 2.05 3,166,016 4.05 09-30-2019
BOEING CO COMMON STOCK 6 $8,658,948,000 22,758,551 2.09 1.35 6,952,263 43.98 09-30-2019
FACEBOOK INC CL A COMMON STOCK 7 $7,888,034,000 44,294,899 1.90 2.07 -1,365,946 -2.99 09-30-2019
DOWDUPONT INC COMMON STOCK Liquidated $0 0 1.83 141,447,980 +Inf 06-30-2019
CME GROUP INC CL A COMMON STOCK 9 $7,520,045,000 35,582,665 1.81 1.60 434,421 1.24 09-30-2019
BERKSHIRE HATHAWAY INC CL A COMMON STOCK 10 $7,316,826,000 23,464 1.76 1.75 26 0.11 09-30-2019
AMAZON.COM INC COMMON STOCK 11 $6,779,738,000 3,905,583 1.63 1.70 72,127 1.88 09-30-2019
MERCK AND CO INC COMMON STOCK 12 $6,773,076,000 80,459,492 1.63 1.66 -3,759,196 -4.46 09-30-2019
LOCKHEED MARTIN CORP COMMON STOCK 13 $6,575,989,000 16,858,923 1.58 1.48 -517,477 -2.98 09-30-2019
PFIZER INC COMMON STOCK 14 $5,981,748,000 166,483,334 1.44 1.65 4,492,241 2.77 09-30-2019
MASTERCARD INC CL A COMMON STOCK 15 $5,764,544,000 21,226,743 1.39 1.43 -1,742,586 -7.59 09-30-2019
VISA INC CL A COMMON STOCK 16 $4,585,717,000 26,659,576 1.10 1.20 -2,707,762 -9.22 09-30-2019
THERMO FISHER SCIENTIFIC INC COMMON STOCK 17 $4,550,211,000 15,621,978 1.10 1.08 8,880 0.06 09-30-2019
PHILIP MORRIS INTERNATIONAL COMMON STOCK 18 $4,437,100,000 58,436,716 1.07 1.03 2,673,148 4.79 09-30-2019
BOSTON SCIENTIFIC CORP COMMON STOCK 19 $4,388,342,000 107,848,220 1.06 1.02 6,891,200 6.83 09-30-2019
ALPHABET INC CL C COMMON STOCK 20 $4,227,025,000 3,467,616 1.02 0.94 -243,747 -6.57 09-30-2019
GENERAL MOTORS COMPANY COMMON STOCK 21 $3,969,649,000 105,913,811 0.96 1.01 -5,911,035 -5.29 09-30-2019
COMCAST CORP CL A COMMON STOCK 22 $3,798,868,000 84,269,497 0.91 0.83 746,480 0.89 09-30-2019
CSX CORP COMMON STOCK 23 $3,695,381,000 53,347,502 0.89 0.91 3,381,354 6.77 09-30-2019
INTEL CORP COMMON STOCK 24 $3,655,089,000 70,931,354 0.88 1.58 -70,012,647 -49.67 09-30-2019
ALPHABET INC CL A COMMON STOCK 25 $3,517,605,000 2,880,590 0.85 0.75 -56,002 -1.91 09-30-2019
NETFLIX INC COMMON STOCK 26 $3,424,830,000 12,797,366 0.82 1.25 -1,757,440 -12.07 09-30-2019
BLACKROCK INC COMMON STOCK 27 $3,393,555,000 7,615,013 0.82 0.90 -528,644 -6.49 09-30-2019
ASML HOLDING NV (USD) COMMON STOCK 28 $3,342,229,000 13,454,065 0.80 0.64 356,866 2.72 09-30-2019
PNC FINANCIAL SERVICES GROUP INC COMMON STOCK 29 $3,337,110,000 23,809,286 0.80 0.81 -1,333,656 -5.30 09-30-2019
DIGITAL REALTY TRUST INC (REIT) COMMON STOCK 30 $3,313,464,000 25,525,495 0.80 0.69 439,349 1.75 09-30-2019
CAPITAL ONE FINANCIAL CORP COMMON STOCK 31 $3,247,178,000 35,691,108 0.78 0.79 -1,624,378 -4.35 09-30-2019
SIMON PROPERTY GROUP INC (REIT) COMMON STOCK 32 $3,176,046,000 20,405,040 0.76 0.85 -2,239,126 -9.89 09-30-2019
ALIBABA GROUP HOLDING LTD ADR COMMON STOCK 33 $3,066,653,000 18,337,977 0.74 0.73 -98,210 -0.53 09-30-2019
EXXON MOBIL CORP COMMON STOCK 34 $3,054,503,000 43,258,752 0.74 0.57 11,294,961 35.34 09-30-2019
CIGNA CORP COMMON STOCK 35 $3,052,509,000 20,110,096 0.74 0.75 -84,553 -0.42 09-30-2019
NIKE INC CL B COMMON STOCK 36 $3,049,582,000 32,470,022 0.73 0.83 -9,671,916 -22.95 09-30-2019
VERIZON COMMUNICATIONS INC COMMON STOCK 37 $3,048,625,000 50,507,378 0.73 0.79 -8,559,234 -14.49 09-30-2019
CHARTER COMMUNICATIONS INC CL A COMMON STOCK 38 $2,877,742,000 6,982,778 0.69 0.69 -492,001 -6.58 09-30-2019
ACTIVISION BLIZZARD INC COMMON STOCK 39 $2,868,791,000 54,209,961 0.69 0.62 -1,835,352 -3.27 09-30-2019
ALTRIA GROUP INC COMMON STOCK 40 $2,725,581,000 66,640,111 0.66 0.83 -7,997,876 -10.72 09-30-2019
TAIWAN SEMICONDUCTOR MFG CO ADR COMMON STOCK 41 $2,565,725,000 55,201,383 0.62 0.49 2,366,384 4.48 09-30-2019
DUPONT DE NEMOURS INC COMMON STOCK 42 $2,556,126,000 35,845,291 0.62 0.76 -7,480,711 -17.27 09-30-2019
COSTCO WHOLESALE CORP COMMON STOCK 43 $2,555,531,000 8,869,989 0.62 0.57 -260,884 -2.86 09-30-2019
NORTHROP GRUMMAN CORP COMMON STOCK 44 $2,538,845,000 6,774,051 0.61 0.51 -16,680 -0.25 09-30-2019
PUBLIC SERVICE ENTERPRISE GROUP INC COMMON STOCK 45 $2,525,274,000 40,677,735 0.61 0.59 -2,001,471 -4.69 09-30-2019
AMERICAN TOWER CORP (REIT) COMMON STOCK 46 $2,521,149,000 11,401,206 0.61 0.59 -945,257 -7.66 09-30-2019
TESLA INC COMMON STOCK 47 $2,466,549,000 10,240,162 0.59 0.51 450,744 4.60 09-30-2019
DTE ENERGY CO COMMON STOCK 48 $2,447,655,000 18,408,956 0.59 0.55 7,064 0.04 09-30-2019
AUTODESK INC COMMON STOCK 49 $2,395,372,000 16,217,827 0.58 0.45 4,387,121 37.08 09-30-2019
T-MOBILE US INC COMMON STOCK 50 $2,339,620,000 29,701,912 0.56 0.44 4,221,503 16.57 09-30-2019
REGENERON PHARMACEUTICALS COMMON STOCK 51 $2,276,523,000 8,206,647 0.55 0.59 106,813 1.32 09-30-2019
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