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
-13.01%
1 Year Return
+30.87%
3 Year Return
+131.94%
5 Year Return
+208.22%
10 Year Return
+564.75%
AUM
$287B
AUM Growth
+$287B
Cap. Flow
-$6.75B
Cap. Flow %
-2.35%
Top 10 Hldgs %
28.85%
Holding
457
New
21
Increased
164
Reduced
167
Closed
40

Sector Composition

1 Healthcare 22.85%
2 Technology 15.62%
3 Communication Services 12.89%
4 Consumer Discretionary 11.83%
5 Industrials 7.47%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MOH icon
151
Molina Healthcare
MOH
$9.8B
$365M 0.13% 3,136,620 -579,608 -16% -$67.4M
MIDD icon
152
Middleby
MIDD
$6.94B
$364M 0.13% 3,546,353 -173,199 -5% -$17.8M
IQV icon
153
IQVIA
IQV
$32.4B
$355M 0.12% 3,055,965 +107 +0% +$12.4K
GWPH
154
DELISTED
GW Pharmaceuticals Plc American Depositary Shares
GWPH
$351M 0.12% 3,607,168 +231,588 +7% +$22.6M
WM icon
155
Waste Management
WM
$91.2B
$350M 0.12% 3,935,681 -70 -0% -$6.23K
PRAH
156
DELISTED
PRA Health Sciences, Inc.
PRAH
$345M 0.12% 3,749,244 -204,778 -5% -$18.8M
EXR icon
157
Extra Space Storage
EXR
$30.5B
$343M 0.12% 3,793,717 +1,417 +0% +$128K
VRTX icon
158
Vertex Pharmaceuticals
VRTX
$100B
$342M 0.12% 2,065,018 -590,000 -22% -$97.8M
PODD icon
159
Insulet
PODD
$23.9B
$340M 0.12% 4,290,819 +102,005 +2% +$8.09M
EFX icon
160
Equifax
EFX
$30.3B
$340M 0.12% 3,654,361 +682,619 +23% +$63.6M
HLT icon
161
Hilton Worldwide
HLT
$64.9B
$334M 0.12% +4,650,000 New +$334M
SIX
162
DELISTED
Six Flags Entertainment Corp.
SIX
$334M 0.12% 5,995,425 +823,771 +16% +$45.8M
JCI icon
163
Johnson Controls International
JCI
$69.9B
$328M 0.11% 11,062,169 -1,524,129 -12% -$45.2M
ESNT icon
164
Essent Group
ESNT
$6.18B
$327M 0.11% 9,567,821 +427,811 +5% +$14.6M
TXRH icon
165
Texas Roadhouse
TXRH
$11.5B
$325M 0.11% 5,440,654 +80 +0% +$4.78K
NEE icon
166
NextEra Energy, Inc.
NEE
$148B
$295M 0.1% 1,698,679 +238,708 +16% +$41.5M
DISCA
167
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
$291M 0.1% 11,743,943 -366,392 -3% -$9.06M
ZBRA icon
168
Zebra Technologies
ZBRA
$16.1B
$288M 0.1% 1,811,623 -650,154 -26% -$104M
V icon
169
Visa
V
$683B
$288M 0.1% 2,185,348 -2,322,003 -52% -$306M
MAT icon
170
Mattel
MAT
$5.9B
$288M 0.1% 28,801,123 +17,938,135 +165% +$179M
FTV icon
171
Fortive
FTV
$16.2B
$286M 0.1% 4,232,048 -840,832 -17% -$56.9M
DISCK
172
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$286M 0.1% 12,391,166 +2,156,055 +21% +$49.8M
AME icon
173
Ametek
AME
$42.7B
$284M 0.1% 4,201,804 -25 -0% -$1.69K
EXC icon
174
Exelon
EXC
$44.1B
$278M 0.1% 6,160,360 -1,161,438 -16% -$52.4M
DUK icon
175
Duke Energy
DUK
$95.3B
$274M 0.1% 3,177,854 +975 +0% +$84.1K