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LOS ANGELES, CA · CIK 0001422848
New positions
35
Added to
173
Trimmed
214
Exited
68
Source: SEC 13F-HR filing filed on 2026-08-12 ·View on SEC.gov →
Top 30 holdings by portfolio weight. Block width = holding percentage. Green = new/increased, red = reduced, gray = unchanged.
| # | Stock | Value↓ | Weight | Change |
|---|---|---|---|---|
| 1 | AVGOBROADCOM INC | $42.73B | 5.96% | -2.5% |
| 2 | NVDANVIDIA CORPORATION | $40.56B | 5.66% | +5.0% |
| 3 | MSFTMICROSOFT CORP | $35.34B | 4.93% | -1.4% |
| 4 | AMZNAMAZON COM INC | $28.75B | 4.01% | +1.8% |
| 5 | LLYELI LILLY & CO | $25.04B | 3.49% | -15.3% |
| 6 | GOOGLALPHABET INC | $22.35B | 3.12% | +8.7% |
| 7 | METAMETA PLATFORMS INC | $22.32B | 3.11% | +28.2% |
| 8 | AAPLAPPLE INC | $17.18B | 2.40% | -7.2% |
| 9 | AMATAPPLIED MATLS INC | $16.02B | 2.23% | -24.8% |
| 10 | PMPHILIP MORRIS INTL INC | $15.24B | 2.13% | +5.6% |
| Stock | Value | Shares |
|---|---|---|
| SPCXSPACE EXPLORATION TECHN CORP | $1.78B | 10,438,223 |
| GOOGL 6.25 05/15/29 AALPHABET INC | $932.85M | 18,330,677 |
| GOOGL 6.25 05/15/29 BALPHABET INC | $922.03M | 18,330,577 |
| HONHONEYWELL INTL INC | $738.86M | 3,299,891 |
| HONAHONEYWELL AEROSPACE INC | $729.53M | 3,299,870 |
| MSIMOTOROLA SOLUTIONS INC | $543.22M | 1,308,049 |
| INNIO NV | $339.56M | 8,585,662 |
| CBRSCEREBRAS SYSTEMS INC | $195.14M | 883,000 |
| FRVOFERVO ENERGY CO | $175.52M | 6,004,702 |
| RKTROCKET COS INC | $168.58M | 10,703,415 |
As of Q2 2026, Capital Research Global Investors reported a portfolio value of $716.87B across 426 positions in their 13F filing.
Capital Research Global Investors's largest holding is AVGO with a position worth $42.73B. Their top holdings include AVGO, NVDA, MSFT, AMZN, LLY.
In Q2 2026, Capital Research Global Investors made the following changes to their portfolio: 35 new positions, 68 positions sold out, 173 positions increased, 214 positions reduced.
Capital Research Global Investors files quarterly 13F reports with the SEC, disclosing their long positions in U.S. equities. These filings are due within 45 days of the quarter end and provide transparency into their investment strategy and portfolio allocation.
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Sectors derived from SEC SIC codes, value-weighted. Positions without a resolvable ticker are shown as Unclassified.