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Capital International Investors

Capital International Investors Portfolio holdings

AUM $484B
1-Year Est. Return 34.9%
 

Capital International, established in 1968 as a division of the Los Angeles-based Capital Group, is a global investment management firm focused on delivering equity investment solutions for institutional and individual clients worldwide. Operating as part of one of the oldest and largest asset managers, founded in 1931, it leverages Capital Group’s signature research-driven, long-term investment philosophy, managing billions in assets through a multi-manager system that diversifies risk and enhances performance. Headquartered in Los Angeles with a presence across North America, Europe, and Asia, Capital International specializes in international and global equity strategies, often through mutual funds like those in the American Funds family. Known for its rigorous fundamental analysis and commitment to client outcomes, it plays a key role in Capital Group’s mission to provide consistent, superior returns in global markets.

This Fund
S&P 500
This Quarter Est. Return
+4.03%
1 Year Est. Return
+34.9%
3 Year Est. Return
+137.52%
5 Year Est. Return
+174.34%
10 Year Est. Return
+599.87%
AUM
$638B
AUM Growth
+$18.6B
Cap. Flow
+$5.11B
Cap. Flow %
0.8%
Top 10 Hldgs %
35.6%
Holding
486
New
37
Increased
233
Reduced
142
Closed
32

Top Buys

Rank Stock Value
1
AAPL icon
Apple
AAPL
+$4.24B
2
TTE icon
TotalEnergies
TTE
+$3.11B
3
BAC icon
Bank of America
BAC
+$2.27B
4
PM icon
Philip Morris
PM
+$1.89B
5
PAYX icon
Paychex
PAYX
+$1.32B

Top Sells

Rank Stock Value
1
CEG icon
Constellation Energy
CEG
+$3.38B
2
URI icon
United Rentals
URI
+$2.39B
3
EA
Electronic Arts
EA
+$1.96B
4
GEV icon
GE Vernova
GEV
+$1.85B
5
CARR icon
Carrier Global
CARR
+$1.84B

Sector Composition

Rank Sector Weight
1 Technology 30.28%
2 Financials 12.24%
3 Industrials 11.93%
4 Communication Services 10.45%
5 Healthcare 9.13%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
KO icon
76
Coca-Cola
KO
$376B
$1.66B 0.26%
23,726,183
+2,347,385
+11% +$164M
HSY icon
77
Hershey
HSY
$37.4B
$1.66B 0.26%
9,106,431
+169,660
+2% +$31M
AJG icon
78
Arthur J. Gallagher & Co
AJG
$65B
$1.63B 0.25%
6,280,455
-914,288
-13% -$242M
TOST icon
79
Toast
TOST
$20.4B
$1.61B 0.25%
45,391,459
-3,036,601
-6% -$109M
NOW icon
80
ServiceNow
NOW
$132B
$1.59B 0.25%
10,393,373
-84,402
-0.8% -$14.5M
SPGI icon
81
S&P Global
SPGI
$125B
$1.59B 0.25%
3,037,912
+922,433
+44% +$456M
WSO icon
82
Watsco Inc
WSO
$12.9B
$1.56B 0.25%
4,642,893
+2,356,998
+103% +$842M
ONC
83
BeOne Medicines Ltd
ONC
$40.3B
$1.55B 0.24%
5,113,866
+67,808
+1% +$22.2M
JNJ icon
84
Johnson & Johnson
JNJ
$632B
$1.55B 0.24%
7,471,031
+3,605,981
+93% +$713M
ITT icon
85
ITT
ITT
$19.4B
$1.53B 0.24%
8,797,165
+258,936
+3% +$46.4M
CGHM
86
Capital Group Municipal High-Income ETF
CGHM
$3.3B
$1.51B 0.24%
59,363,041
+883,760
+2% +$22.6M
HUM icon
87
Humana
HUM
$46.2B
$1.49B 0.23%
5,818,008
+3,097,571
+114% +$812M
TRP icon
88
TC Energy
TRP
$65.8B
$1.44B 0.23%
26,188,429
-3,569,740
-12% -$190M
APO icon
89
Apollo Global Management
APO
$84.8B
$1.44B 0.23%
9,956,181
-748,312
-7% -$99.4M
EFX icon
90
Equifax
EFX
$21.8B
$1.4B 0.22%
6,438,868
-3,995,916
-38% -$875M
LII icon
91
Lennox International
LII
$14.5B
$1.39B 0.22%
2,853,658
+1,361,570
+91% +$682M
MTD icon
92
Mettler-Toledo International
MTD
$28.7B
$1.35B 0.21%
969,067
+109,508
+13% +$153M
AZN icon
93
AstraZeneca
AZN
$244B
$1.34B 0.21%
7,260,539
-5,265,721
-42% -$924M
GEV icon
94
GE Vernova
GEV
$279B
$1.33B 0.21%
2,036,234
-3,037,665
-60% -$1.85B
SBUX icon
95
Starbucks
SBUX
$124B
$1.33B 0.21%
15,758,440
+1,066,668
+7% +$90M
CARR icon
96
Carrier Global
CARR
$52.2B
$1.32B 0.21%
24,902,054
-33,080,248
-57% -$1.84B
MAR icon
97
Marriott International
MAR
$91.9B
$1.27B 0.2%
4,107,531
+272,250
+7% +$77.8M
CGMU icon
98
Capital Group Municipal Income ETF
CGMU
$6.59B
$1.27B 0.2%
46,328,510
+743,875
+2% +$20.4M
NCLH icon
99
Norwegian Cruise Line
NCLH
$8.98B
$1.25B 0.2%
56,177,669
+3,728,929
+7% +$78.7M
CAT icon
100
Caterpillar
CAT
$393B
$1.23B 0.19%
+2,138,909
New +$1.19B

Similar funds

Capital International Investors's Q4 2025 Portfolio in Review

As of Q4 2025, Capital International Investors held 486 positions worth $638B, up 3% from $619B the previous quarter. Its ten largest holdings account for 36% of the portfolio.

Capital International Investors's Q4 2025 filing shows 37 new, 233 increased, 142 reduced and 32 closed positions. Its largest new stake was Bank of America: 42,862,620 shares worth $2.36B. The largest sale was Constellation Energy, an estimated $3.38B.

By sector, the portfolio is most concentrated in Technology at 30% of assets, up from 30% a quarter earlier, followed by Financials and Industrials.

  • Capital International Investors's largest Q4 2025 buy was Bank of America: 42,862,620 shares worth $2.36B.
  • Capital International Investors added most to Apple in Q4 2025, an estimated $4.24B increase.
  • Capital International Investors's biggest Q4 2025 reduction was Constellation Energy, cutting an estimated $3.38B.
  • Capital International Investors fully exited Dayforce in Q4 2025, selling an estimated $1.32B.
  • Capital International Investors's ten largest holdings make up 36% of its $638B portfolio in Q4 2025.
  • Capital International Investors opened 37 new positions and closed 32 in Q4 2025.
  • Capital International Investors's portfolio value rose 3% quarter-over-quarter to $638B.

Based on Capital International Investors's 13F filing for Q4 2025, filed 11 Feb 2026.