Filed: 8/12/2026ACC: 0001422849-26-000113
📋 What this filing means
CAPITAL WORLD INVESTORS filed this quarterly 13F‑HR report disclosing 637 equity positions with a total reported market value of $846.43B. This filing provides a transparent view of the manager's long equity holdings as of the quarter end.
637
Positions
$846.43B
Total AUM (reported)
6.35B
Total Shares
Allocation by class
COM$597.81B70.6%
CL A$46.26B5.5%
COM NEW$32.08B3.8%
CAP STK CL A$26.21B3.1%
SPONSORED ADS$21.99B2.6%
COM CL A$21.46B2.5%
CAP STK CL C$15.00B1.8%
Portfolio Concentration
Top 3$106.27B12.6%
4–10$144.24B17.0%
11–25$159.09B18.8%
Rest$436.83B51.6%
Top 3 weight
12.6%
Top 10 weight
29.6%
Voting Authority Distribution
Total shares with voting rights: 6.35B
Sole
Full voting authority
6.33B
shares
% of voting shares99.7%
Shared
Joint voting authority
0.00
shares
% of voting shares0.0%
None
No voting authority
17.54M
shares
% of voting shares0.3%
Investment Discretion (by position count)
Sole0
Shared0
Other637
Dominant voting typeSole · 99.7% of voting shares
Institutional Holdings637
Rows:
BROADCOM INC
DFNDShares121.89M
TypeSH
Market value$46.04B
5.44%
Sole
121.54M
Shared
0.00
None
357.25K
MICRON TECHNOLOGY INC
DFNDShares29.47M
TypeSH
Market value$34.02B
4.02%
Sole
29.45M
Shared
0.00
None
16.26K
ALPHABET INC
DFNDShares73.35M
TypeSH
Market value$26.21B
3.10%
Sole
73.17M
Shared
0.00
None
177.41K
PHILIP MORRIS INTL INC
DFNDShares133.15M
TypeSH
Market value$24.09B
2.85%
Sole
132.70M
Shared
0.00
None
453.94K
META PLATFORMS INC
DFNDShares40.88M
TypeSH
Market value$23.03B
2.72%
Sole
40.79M
Shared
0.00
None
90.13K
NVIDIA CORPORATION
DFNDShares109.13M
TypeSH
Market value$21.83B
2.58%
Sole
108.87M
Shared
0.00
None
255.47K
MICROSOFT CORP
DFNDShares55.14M
TypeSH
Market value$20.57B
2.43%
Sole
54.87M
Shared
0.00
None
271.43K
TESLA INC
DFNDShares45.74M
TypeSH
Market value$19.24B
2.27%
Sole
45.65M
Shared
0.00
None
90.39K
ELI LILLY & CO
DFNDShares15.90M
TypeSH
Market value$19.08B
2.25%
Sole
15.84M
Shared
0.00
None
62.61K
TAIWAN SEMICONDUCTOR MANUFAC
DFNDShares34.37M
TypeSH
Market value$16.41B
1.94%
Sole
34.18M
Shared
0.00
None
192.32K
ALPHABET INC
DFNDShares42.45M
TypeSH
Market value$15.00B
1.77%
Sole
42.38M
Shared
0.00
None
68.26K
AMAZON COM INC
DFNDShares61.21M
TypeSH
Market value$14.59B
1.72%
Sole
61.07M
Shared
0.00
None
134.72K
KLA CORP
DFNDShares45.32M
TypeSH
Market value$13.67B
1.61%
Sole
45.09M
Shared
0.00
None
230.93K
VERTEX PHARMACEUTICALS INC
DFNDShares26.12M
TypeSH
Market value$12.97B
1.53%
Sole
26.08M
Shared
0.00
None
37.77K
UNITEDHEALTH GROUP INC
DFNDShares29.89M
TypeSH
Market value$12.42B
1.47%
Sole
29.78M
Shared
0.00
None
108.02K
APPLE INC
DFNDShares39.34M
TypeSH
Market value$11.38B
1.34%
Sole
39.13M
Shared
0.00
None
217.63K
WESTERN DIGITAL CORP
DFNDShares16.60M
TypeSH
Market value$10.60B
1.25%
Sole
16.59M
Shared
0.00
None
6.39K
AMGEN INC
DFNDShares29.08M
TypeSH
Market value$10.53B
1.24%
Sole
28.94M
Shared
0.00
None
135.85K
VISA INC
DFNDShares28.27M
TypeSH
Market value$9.70B
1.15%
Sole
28.18M
Shared
0.00
None
88.09K
STARBUCKS CORP
DFNDShares91.48M
TypeSH
Market value$9.35B
1.10%
Sole
91.11M
Shared
0.00
None
363.18K
CANADIAN NAT RES LTD MED TER
DFNDShares217.96M
TypeSH
Market value$8.62B
1.02%
Sole
216.92M
Shared
0.00
None
1.04M
CVS HEALTH CORP
DFNDShares74.95M
TypeSH
Market value$7.75B
0.92%
Sole
74.53M
Shared
0.00
None
420.98K
INTEL CORP
DFNDShares55.21M
TypeSH
Market value$7.71B
0.91%
Sole
55.07M
Shared
0.00
None
138.76K
ASML HLDG NV
DFNDShares3.73M
TypeSH
Market value$7.41B
0.88%
Sole
3.67M
Shared
0.00
None
55.62K
UNION PAC CORP
DFNDShares27.14M
TypeSH
Market value$7.38B
0.87%
Sole
27.01M
Shared
0.00
None
129.22K
| Issuer | Class | Shares | Type | Value / Portfolio % | Voting — Sole | Shared | None |
|---|---|---|---|---|---|---|---|
BROADCOM INCDFND | COM | 121.89M | SH | $46.04B 5.44% | 121.54M | 0.00 | 357.25K |
MICRON TECHNOLOGY INCDFND | COM | 29.47M | SH | $34.02B 4.02% | 29.45M | 0.00 | 16.26K |
ALPHABET INCDFND | CAP STK CL A | 73.35M | SH | $26.21B 3.10% | 73.17M | 0.00 | 177.41K |
PHILIP MORRIS INTL INCDFND | COM | 133.15M | SH | $24.09B 2.85% | 132.70M | 0.00 | 453.94K |
META PLATFORMS INCDFND | CL A | 40.88M | SH | $23.03B 2.72% | 40.79M | 0.00 | 90.13K |
NVIDIA CORPORATIONDFND | COM | 109.13M | SH | $21.83B 2.58% | 108.87M | 0.00 | 255.47K |
MICROSOFT CORPDFND | COM | 55.14M | SH | $20.57B 2.43% | 54.87M | 0.00 | 271.43K |
TESLA INCDFND | COM | 45.74M | SH | $19.24B 2.27% | 45.65M | 0.00 | 90.39K |
ELI LILLY & CODFND | COM | 15.90M | SH | $19.08B 2.25% | 15.84M | 0.00 | 62.61K |
TAIWAN SEMICONDUCTOR MANUFACDFND | SPONSORED ADS | 34.37M | SH | $16.41B 1.94% | 34.18M | 0.00 | 192.32K |
ALPHABET INCDFND | CAP STK CL C | 42.45M | SH | $15.00B 1.77% | 42.38M | 0.00 | 68.26K |
AMAZON COM INCDFND | COM | 61.21M | SH | $14.59B 1.72% | 61.07M | 0.00 | 134.72K |
KLA CORPDFND | COM NEW | 45.32M | SH | $13.67B 1.61% | 45.09M | 0.00 | 230.93K |
VERTEX PHARMACEUTICALS INCDFND | COM | 26.12M | SH | $12.97B 1.53% | 26.08M | 0.00 | 37.77K |
UNITEDHEALTH GROUP INCDFND | COM | 29.89M | SH | $12.42B 1.47% | 29.78M | 0.00 | 108.02K |
APPLE INCDFND | COM | 39.34M | SH | $11.38B 1.34% | 39.13M | 0.00 | 217.63K |
WESTERN DIGITAL CORPDFND | COM | 16.60M | SH | $10.60B 1.25% | 16.59M | 0.00 | 6.39K |
AMGEN INCDFND | COM | 29.08M | SH | $10.53B 1.24% | 28.94M | 0.00 | 135.85K |
VISA INCDFND | COM CL A | 28.27M | SH | $9.70B 1.15% | 28.18M | 0.00 | 88.09K |
STARBUCKS CORPDFND | COM | 91.48M | SH | $9.35B 1.10% | 91.11M | 0.00 | 363.18K |
CANADIAN NAT RES LTD MED TERDFND | COM | 217.96M | SH | $8.62B 1.02% | 216.92M | 0.00 | 1.04M |
CVS HEALTH CORPDFND | COM | 74.95M | SH | $7.75B 0.92% | 74.53M | 0.00 | 420.98K |
INTEL CORPDFND | COM | 55.21M | SH | $7.71B 0.91% | 55.07M | 0.00 | 138.76K |
ASML HLDG NVDFND | N Y REGISTRY SHS | 3.73M | SH | $7.41B 0.88% | 3.67M | 0.00 | 55.62K |
UNION PAC CORPDFND | COM | 27.14M | SH | $7.38B 0.87% | 27.01M | 0.00 | 129.22K |
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