We are live on ! Find out more
Capital Research Global Investors

Capital Research Global Investors Portfolio holdings

AUM $717B
1-Year Est. Return 35.42%
 

Capital Research Global Investors (CRGI), a division of Capital Group established in 1931 and headquartered in Los Angeles, California, is a powerhouse in active investment management, overseeing hundreds of billions in assets with a focus on global equity portfolios. Known for its long-term, research-intensive approach, CRGI employs a unique multiple-portfolio-manager system to diversify risk and enhance returns, serving institutional clients, financial advisors, and individual investors through vehicles like the American Funds mutual fund family. The firm’s investment philosophy emphasizes fundamental analysis and a deep understanding of companies worldwide, aiming to identify growth opportunities over extended horizons. As part of Capital Group’s broader mission, CRGI has built a reputation for delivering consistent, value-driven results in the global investment landscape.

This Fund
S&P 500
This Quarter Est. Return
+17.47%
1 Year Est. Return
+35.42%
3 Year Est. Return
+133.7%
5 Year Est. Return
+183.13%
10 Year Est. Return
+734.77%
AUM
$499B
AUM Growth
+$39.6B
Cap. Flow
-$17.7B
Cap. Flow %
-3.53%
Top 10 Hldgs %
36.25%
Holding
486
New
28
Increased
213
Reduced
156
Closed
55

Top Buys

Rank Stock Value
1
NVDA icon
NVIDIA
NVDA
+$5.82B
2
LLY icon
Eli Lilly
LLY
+$3.89B
3
SBUX icon
Starbucks
SBUX
+$3.58B
4
D icon
Dominion Energy
D
+$1.19B
5
ANET icon
Arista Networks
ANET
+$1.18B

Sector Composition

Rank Sector Weight
1 Technology 28.78%
2 Consumer Discretionary 13.64%
3 Healthcare 12.72%
4 Industrials 11.43%
5 Financials 9.98%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
GEHC icon
76
GE HealthCare
GEHC
$32.6B
$1.48B 0.3%
19,974,402
-31,220,666
-61% -$2.17B
AXP icon
77
American Express
AXP
$232B
$1.41B 0.28%
4,423,329
+828,146
+23% +$233M
PG icon
78
Procter & Gamble
PG
$335B
$1.4B 0.28%
8,800,646
+521,841
+6% +$85.2M
IR icon
79
Ingersoll Rand
IR
$32.9B
$1.4B 0.28%
16,848,493
+98,840
+0.6% +$7.79M
SYY icon
80
Sysco
SYY
$40.5B
$1.39B 0.28%
18,314,667
+4,194,124
+30% +$305M
AIG icon
81
American International
AIG
$39.8B
$1.36B 0.27%
15,888,832
-10,174,420
-39% -$847M
PNW icon
82
Pinnacle West Capital
PNW
$12.2B
$1.35B 0.27%
15,095,112
+2,629,897
+21% +$241M
CVNA icon
83
Carvana
CVNA
$79.7B
$1.34B 0.27%
19,855,890
+12,661,200
+176% +$694M
AMGN icon
84
Amgen
AMGN
$225B
$1.29B 0.26%
4,608,659
+90,189
+2% +$25.6M
APO icon
85
Apollo Global Management
APO
$81.9B
$1.28B 0.26%
9,001,952
+1,887,106
+27% +$250M
MSTR icon
86
Strategy Inc
MSTR
$37.3B
$1.27B 0.25%
3,147,454
+406,180
+15% +$148M
KO icon
87
Coca-Cola
KO
$373B
$1.25B 0.25%
17,617,640
+2,402,180
+16% +$171M
FCNCA icon
88
First Citizens BancShares
FCNCA
$25.7B
$1.23B 0.25%
630,611
-1,285
-0.2% -$2.33M
SW
89
Smurfit Westrock
SW
$25.8B
$1.19B 0.24%
27,671,873
+6,239,562
+29% +$267M
SHW icon
90
Sherwin-Williams
SHW
$87.4B
$1.17B 0.24%
3,421,417
+51,763
+2% +$17.9M
SHOP icon
91
Shopify
SHOP
$194B
$1.14B 0.23%
9,857,851
-13,434,719
-58% -$1.34B
BLD
92
DELISTED
TopBuild
BLD
$1.11B 0.22%
3,434,194
+288,368
+9% +$85.5M
MCHP icon
93
Microchip Technology
MCHP
$43.1B
$1.1B 0.22%
+15,650,335
New +$860M
AMT icon
94
American Tower
AMT
$79.4B
$1.09B 0.22%
4,909,626
-1,900,729
-28% -$410M
ITW icon
95
Illinois Tool Works
ITW
$83.3B
$1.08B 0.22%
4,361,853
+124,166
+3% +$30M
STX icon
96
Seagate
STX
$199B
$1.05B 0.21%
7,293,420
-8,257,873
-53% -$855M
UNP icon
97
Union Pacific
UNP
$174B
$1.03B 0.21%
4,468,970
-4,383,250
-50% -$973M
HAL icon
98
Halliburton
HAL
$27.7B
$1.02B 0.2%
50,061,312
+50,044,791
+302,916% +$1.05B
NEE icon
99
NextEra Energy
NEE
$179B
$1.02B 0.2%
14,689,367
+11,217,272
+323% +$779M
BTI icon
100
British American Tobacco
BTI
$120B
$1.02B 0.2%
21,509,702
+3,200,350
+17% +$142M

Similar funds

Capital Research Global Investors's Q2 2025 Portfolio in Review

As of Q2 2025, Capital Research Global Investors held 486 positions worth $499B, up 8.6% from $460B the previous quarter. Its ten largest holdings account for 36% of the portfolio.

Capital Research Global Investors withdrew a net $17.7B in Q2 2025, closing 55 positions and reducing 156 holdings. Its most notable exit was Charter Communications, an estimated $600M position sold in full.

By sector, the portfolio is most concentrated in Technology at 29% of assets, up from 24% a quarter earlier, followed by Consumer Discretionary and Healthcare.

Against the trend, Capital Research Global Investors opened a new position in Microchip Technology worth $1.1B.

  • Capital Research Global Investors's largest Q2 2025 buy was Microchip Technology: 15,650,335 shares worth $1.1B.
  • Capital Research Global Investors added most to NVIDIA in Q2 2025, an estimated $5.82B increase.
  • Capital Research Global Investors's biggest Q2 2025 reduction was UnitedHealth, cutting an estimated $5.76B.
  • Capital Research Global Investors fully exited Charter Communications in Q2 2025, selling an estimated $600M.
  • Capital Research Global Investors's ten largest holdings make up 36% of its $499B portfolio in Q2 2025.
  • Capital Research Global Investors opened 28 new positions and closed 55 in Q2 2025.
  • Capital Research Global Investors's portfolio value rose 8.6% quarter-over-quarter to $499B.

Based on Capital Research Global Investors's 13F filing for Q2 2025, filed 13 Aug 2025.