Capital Research Global Investors

Capital Research Global Investors Portfolio holdings

AUM $499B
 

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
+8.55%
1 Year Return
+30.87%
3 Year Return
+131.94%
5 Year Return
+208.22%
10 Year Return
+564.75%
AUM
$430B
AUM Growth
+$430B
Cap. Flow
-$5.52B
Cap. Flow %
-1.28%
Top 10 Hldgs %
28.77%
Holding
461
New
36
Increased
174
Reduced
186
Closed
25

Sector Composition

1 Technology 19.95%
2 Healthcare 14.72%
3 Communication Services 14.69%
4 Consumer Discretionary 13.44%
5 Financials 9.74%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SWT
276
DELISTED
Stanley Black & Decker, Inc.
SWT
$136M 0.03% 1,122,699 -2,300 -0.2% -$278K
LNW icon
277
Light & Wonder
LNW
$7.76B
$132M 0.03% +1,705,758 New +$132M
BOKF icon
278
BOK Financial
BOKF
$7.09B
$132M 0.03% 1,520,476 +433,613 +40% +$37.6M
LOB icon
279
Live Oak Bancshares
LOB
$1.77B
$131M 0.03% 2,214,243
CNMD icon
280
CONMED
CNMD
$1.68B
$130M 0.03% 945,995 +113,900 +14% +$15.7M
PEGA icon
281
Pegasystems
PEGA
$9.27B
$130M 0.03% 933,902 +222,286 +31% +$30.9M
BTI icon
282
British American Tobacco
BTI
$124B
$130M 0.03% 3,299,020 -2,454,939 -43% -$96.5M
KR icon
283
Kroger
KR
$44.9B
$128M 0.03% 3,330,468 +681 +0% +$26.1K
MATX icon
284
Matsons
MATX
$3.31B
$127M 0.03% 1,982,674 -341,726 -15% -$21.9M
ILMN icon
285
Illumina
ILMN
$15.8B
$125M 0.03% 263,277 +5,449 +2% +$2.58M
QNCX icon
286
Quince Therapeutics
QNCX
$85.9M
$123M 0.03% 2,315,839 -289,914 -11% -$15.4M
AGL icon
287
Agilon Health
AGL
$530M
$122M 0.03% +3,003,338 New +$122M
GLOB icon
288
Globant
GLOB
$2.96B
$121M 0.03% 553,491 -19,801 -3% -$4.34M
FTDR icon
289
Frontdoor
FTDR
$4.43B
$121M 0.03% 2,425,500 +295,800 +14% +$14.7M
PSA icon
290
Public Storage
PSA
$51.7B
$120M 0.03% 400,000
EEFT icon
291
Euronet Worldwide
EEFT
$3.82B
$120M 0.03% 883,216
NFH
292
DELISTED
New Frontier Health Corporation Ordinary Shares
NFH
$119M 0.03% 10,613,421 -1,559,965 -13% -$17.4M
LSPD icon
293
Lightspeed Commerce
LSPD
$1.67B
$119M 0.03% 1,417,571 -280,815 -17% -$23.5M
ALB icon
294
Albemarle
ALB
$9.99B
$117M 0.03% +695,948 New +$117M
NEE.PRO
295
DELISTED
NextEra Energy, Inc. 4.872% Corporate Units
NEE.PRO
$117M 0.03% 2,080,680 +1,300 +0.1% +$73K
SU icon
296
Suncor Energy
SU
$50.1B
$117M 0.03% 4,865,538 +94,070 +2% +$2.25M
RBLX icon
297
Roblox
RBLX
$86.4B
$113M 0.03% 1,259,723
MTSI icon
298
MACOM Technology Solutions
MTSI
$9.54B
$113M 0.03% 1,767,000
ATCO
299
DELISTED
Atlas Corp.
ATCO
$113M 0.03% 7,920,619
AZPN
300
DELISTED
ASPEN TECHNOLOGY INC
AZPN
$113M 0.03% 818,083 -564,899 -41% -$77.7M