Capital Research Global Investors

Capital Research Global Investors Portfolio holdings

AUM $499B
1-Year Return 30.87%
 

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 Quarter Return
+10.41%
1 Year Return
+30.87%
3 Year Return
+131.94%
5 Year Return
+208.22%
10 Year Return
+564.75%
AUM
$270B
AUM Growth
+$16.7B
Cap. Flow
-$8.08B
Cap. Flow %
-2.99%
Top 10 Hldgs %
24.91%
Holding
473
New
27
Increased
129
Reduced
142
Closed
44

Sector Composition

1 Healthcare 20.83%
2 Technology 12.2%
3 Industrials 11.56%
4 Communication Services 11.27%
5 Consumer Discretionary 9.31%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RESI
251
DELISTED
Front Yard Residential Corporation Common Stock
RESI
$124M 0.05%
4,120,425
+654,540
+19% +$19.7M
MET icon
252
MetLife
MET
$53.7B
$123M 0.05%
2,567,697
+2,395,470
+1,391% +$115M
SHW icon
253
Sherwin-Williams
SHW
$89.8B
$121M 0.04%
1,980,000
PODD icon
254
Insulet
PODD
$24.1B
$120M 0.04%
3,238,966
-30,110
-0.9% -$1.12M
BIG
255
DELISTED
Big Lots, Inc.
BIG
$119M 0.04%
3,699,800
+233,600
+7% +$7.54M
ENH
256
DELISTED
Endurance Specialty Holdings Ltd
ENH
$119M 0.04%
2,036,000
+88,000
+5% +$5.16M
S
257
DELISTED
Sprint Corporation
S
$117M 0.04%
10,866,885
+2,849,556
+36% +$30.6M
NUVA
258
DELISTED
NuVasive, Inc.
NUVA
$116M 0.04%
3,590,522
-200,448
-5% -$6.48M
BRCM
259
DELISTED
BROADCOM CORP CL-A
BRCM
$115M 0.04%
3,890,000
SVC
260
Service Properties Trust
SVC
$476M
$115M 0.04%
4,279,750
+1,258,750
+42% +$33.8M
SIAL
261
DELISTED
SIGMA - ALDRICH CORP
SIAL
$113M 0.04%
1,200,000
AGO icon
262
Assured Guaranty
AGO
$3.93B
$113M 0.04%
4,775,000
RDS.B
263
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$112M 0.04%
1,494,800
-281,474
-16% -$21.1M
MMM icon
264
3M
MMM
$84.1B
$112M 0.04%
956,800
-490,360
-34% -$57.5M
TFX icon
265
Teleflex
TFX
$5.76B
$110M 0.04%
1,169,900
AAMC
266
DELISTED
Altisource Asset Mgmt Corp
AAMC
$110M 0.04%
200,359
SEE icon
267
Sealed Air
SEE
$4.99B
$109M 0.04%
3,200,000
MGM icon
268
MGM Resorts International
MGM
$9.4B
$109M 0.04%
4,625,500
FDS icon
269
Factset
FDS
$13.7B
$105M 0.04%
964,200
-1,910,000
-66% -$207M
CNC icon
270
Centene
CNC
$16.3B
$103M 0.04%
6,958,792
+1,022,800
+17% +$15.1M
ASPS icon
271
Altisource Portfolio Solutions
ASPS
$123M
$102M 0.04%
80,354
-7,318
-8% -$9.29M
WEN icon
272
Wendy's
WEN
$1.84B
$101M 0.04%
11,583,000
-1,635,000
-12% -$14.3M
ARTC
273
DELISTED
ARTHROCARE CORP
ARTC
$97M 0.04%
2,409,379
+64,329
+3% +$2.59M
MCK icon
274
McKesson
MCK
$88.5B
$96.8M 0.04%
600,000
EAT icon
275
Brinker International
EAT
$6.84B
$94.6M 0.04%
2,042,500
+80,000
+4% +$3.71M