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Capital Research Global Investors

CIK 0001422848 · SEC 13F-HR filings · 50 holdings · Q2 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
BROADCOM INCAVGO113,126,312$42.7B-2.9M$6.8BShares
NVIDIA CORPORATIONNVDA202,740,420$40.6B+9.7M$6.9BShares
MICROSOFT CORPMSFT94,750,369$35.3B-1.3M$-225MShares
AMAZON COM INCAMZN120,603,873$28.7B+2.2M$4.1BShares
ELI LILLY & COLLY20,873,140$25.0B-3.8M$2.4BShares
ALPHABET INCGOOGL62,527,250$22.3B+5.0M$5.8BShares
META PLATFORMS INCMETA39,619,778$22.3B+8.7M$4.6BShares
APPLE INCAAPL59,393,712$17.2B-4.6M$934MShares
APPLIED MATLS INCAMAT22,159,097$16.0B-7.3M$6.0BShares
PHILIP MORRIS INTL INCPM84,253,663$15.2B+4.4M$2.0BShares
ALPHABET INCGOOG42,891,466$15.2B+2.6M$3.6BShares
GE AEROSPACEGE30,942,708$11.6B-3.8M$1.7BShares
STARBUCKS CORPSBUX109,649,535$11.2B+7.3M$2.0BShares
ROYAL CARIBBEAN GROUPRCL34,256,274$10.9B+6.0M$3.1BShares
INTEL CORPINTC73,749,883$10.3B-3.6M$6.9BShares
RTX CORPORATIONRTX52,346,255$9.9B+9K$-164MShares
VERTEX PHARMACEUTICALS INCVRTX19,490,637$9.7B-1.6M$248MShares
UBER TECHNOLOGIES INCUBER130,662,156$9.4B+14.3M$1.1BShares
JPMORGAN CHASE & COJPM27,746,323$9.1B+333K$1.0BShares
LINDE PLCLIN17,430,716$9.0B+1.4M$1.1BShares
CISCO SYS INCCSCO67,174,294$7.9B+3.2M$2.9BShares
CARRIER GLOBAL CORPORATIONCARR106,065,347$7.8B-10.3M$1.2BShares
ABBVIE INCABBV30,101,551$7.6B-1.2M$777MShares
WELLS FARGO & COWFC76,395,745$6.3B+3.5M$510MShares
CORNING INCGLW24,698,700$6.3BNew$6.3BNEW POSITIONShares
MASTERCARD INCORPORATEDMA11,626,317$6.0B-2.3M$-966MShares
HOME DEPOT INCHD16,802,396$5.9B+1.8M$997MShares
ORACLE CORPORCL39,746,237$5.8B+7.6M$1.1BShares
PROGRESSIVE CORPPGR26,549,107$5.8B+4.0M$1.3BShares
MERCADOLIBRE INCMELI3,138,040$5.3B+421K$629MShares
AMPHENOL CORPAPH29,487,845$5.2B+2.9M$1.8BShares
DOMINION ENERGY INCD73,855,890$5.0B+24.9M$2.0BShares
TAIWAN SEMICONDUCTOR MANUFACTSM10,474,198$5.0B+485K$1.6BShares
NETFLIX INC.NFLX68,701,246$4.9B+655K$-1.6BShares
UNION PAC CORPUNP17,112,417$4.7B+206K$553MShares
CANADIAN NAT RES LTD MED TERCNQ116,067,730$4.6B-48.4M$-3.4BShares
EXXON MOBIL CORPXOM33,342,063$4.6B-359K$-1.2BShares
MICRON TECHNOLOGY INCMU3,827,473$4.4BNew$4.4BNEW POSITIONShares
UNITEDHEALTH GROUP INCUNH10,534,177$4.4B-6.6M$-251MShares
BLACKROCK INCBLK4,458,212$4.3B-152K$-147MShares
ALTRIA GROUP INCMO58,653,624$4.2BNew$4.2BNEW POSITIONShares
SEAGATE TECHNOLOGY HLDNGS PLSTX4,326,781$4.2BNew$4.2BNEW POSITIONShares
CARVANA COCVNA63,423,386$4.2B+52.6M$763MShares
TRANSDIGM GROUP INCTDG3,119,490$4.2B-24K$512MShares
MONDELEZ INTL INCMDLZ69,663,227$4.0B+1.4M$93MShares
MORGAN STANLEYMS18,070,606$3.8B-2.2M$442MShares
TESLA INCTSLA8,499,204$3.6B-126K$369MShares
ABBOTT LABORATORIESABT36,908,990$3.3B-12.9M$-1.8BShares
CENTERPOINT ENERGY INCCNP71,382,073$3.1B-894K$25MShares
AIR PRODUCTS AND CHEMICALS IAPD10,602,157$3.1BNew$3.1BNEW POSITIONShares