Capital Research Global Investors
CIK 0001422848 · SEC 13F-HR filings · 50 holdings · Q1 2026
| Issuer | Ticker | Shares | Value (USD) ↓ | Δ Shares | Δ Value | Type |
|---|---|---|---|---|---|---|
| AVGO | 116,025,298 | $35.9B | +29.7M | $6.0B | Shares | |
| MSFT | 96,093,061 | $35.6B | +22.8M | $106M | Shares | |
| NVDA | 193,037,700 | $33.7B | +21.5M | $1.7B | Shares | |
| AMZN | 118,434,267 | $24.7B | +28.4M | $3.9B | Shares | |
| LLY | 24,632,647 | $22.7B | +66K | $-3.7B | Shares | |
| META | 30,909,975 | $17.7B | +13.0M | $5.9B | Shares | |
| GOOGL | 57,546,747 | $16.5B | +5.5M | $254M | Shares | |
| AAPL | 64,035,728 | $16.3B | +8.6M | $1.2B | Shares | |
| PM | 79,823,025 | $13.2B | +25.3M | $4.4B | Shares | |
| GOOG | 40,305,350 | $11.6B | +12.2M | $2.7B | Shares | |
| RTX | 52,337,386 | $10.1B | -23.8M | $-3.9B | Shares | |
| AMAT | 29,455,424 | $10.1B | -3.3M | $1.7B | Shares | |
| GE | 34,724,628 | $9.9B | +10.0M | $2.2B | Shares | |
| VRTX | 21,125,964 | $9.4B | +3.8M | $1.6B | Shares | |
| SBUX | 102,348,519 | $9.2B | +20.2M | $2.2B | Shares | |
| UBER | 116,339,639 | $8.4B | +2.9M | $-903M | Shares | |
| JPM | 27,413,395 | $8.1B | +5.5M | $997M | Shares | |
| CNQ | 164,432,659 | $8.0B | +18.1M | $3.1B | Shares | |
| LIN | 16,051,934 | $8.0B | +5.9M | $3.6B | Shares | |
| RCL | 28,255,701 | $7.8B | +8.1M | $2.1B | Shares | |
| MA | 13,884,582 | $6.9B | +3.1M | $776M | Shares | |
| ABBV | 31,254,786 | $6.8B | +5.8M | $992M | Shares | |
| CARR | 116,392,662 | $6.6B | +41.7M | $2.6B | Shares | |
| NFLX | 68,045,981 | $6.5B | +25.7M | $2.6B | Shares | |
| WFC | 72,893,582 | $5.8B | +35.5M | $2.3B | Shares | |
| XOM | 33,701,474 | $5.7B | +243K | $1.7B | Shares | |
| ABT | 49,775,362 | $5.1B | +10.6M | $203M | Shares | |
| CSCO | 63,949,104 | $5.0B | New | $5.0B | NEW POSITIONShares | |
| HD | 14,986,308 | $4.9B | +4.8M | $1.4B | Shares | |
| ORCL | 32,139,254 | $4.7B | +2.0M | $-1.1B | Shares | |
| MELI | 2,717,172 | $4.7B | +492K | $216M | Shares | |
| UNH | 17,112,218 | $4.6B | New | $4.6B | NEW POSITIONShares | |
| PGR | 22,574,142 | $4.5B | +11.4M | $1.9B | Shares | |
| BLK | 4,610,418 | $4.4B | +771K | $325M | Shares | |
| UNP | 16,906,409 | $4.1B | +5.9M | $1.6B | Shares | |
| MDLZ | 68,304,166 | $3.9B | New | $3.9B | NEW POSITIONShares | |
| GILD | 27,127,533 | $3.8B | +1.8M | $675M | Shares | |
| EOG | 26,056,870 | $3.8B | +1.6M | $1.2B | Shares | |
| TDG | 3,143,509 | $3.6B | +667K | $349M | Shares | |
| MDT | 41,926,590 | $3.6B | +7.4M | $312M | Shares | |
| INTC | 77,301,863 | $3.4B | New | $3.4B | NEW POSITIONShares | |
| CVNA | 10,850,505 | $3.4B | +5.1M | $1.0B | Shares | |
| TSM | 9,989,672 | $3.4B | New | $3.4B | NEW POSITIONShares | |
| APH | 26,630,629 | $3.4B | +10.2M | $1.1B | Shares | |
| MS | 20,270,720 | $3.3B | +4.8M | $596M | Shares | |
| NEE | 35,659,943 | $3.3B | +6.1M | $940M | Shares | |
| TSLA | 8,624,813 | $3.2B | +418K | $-485M | Shares | |
| ALNY | 9,471,181 | $3.1B | +2.7M | $438M | Shares | |
| CNP | 72,275,884 | $3.1B | New | $3.1B | NEW POSITIONShares | |
| D | 48,976,047 | $3.0B | -10.8M | $-475M | Shares |