Capital International Investors

Location
Los Angeles, CA
Portfolio Value
Mega $117,584,676,773
Diversification
Diversified
Filing Date
Global Rank
#23 / 8,519 ▼ 9
Top Industry
Semiconductors 12.7%
Period ended 56 days ago
Filed May 13, 2026 · 13d
25 quarters · since Mar 2020

Portfolio Concentration

392 positions · as of Mar 31, 2026 · Δ vs Dec 31, 2025
Top Position
6.4%
−2.0 pts
Top 5
21.2%
−3.6 pts
Top 10
31.1%
−5.2 pts
HHI
166
Jun 2023 → Mar 2026 · range 151 – 226
Diversified −55

Portfolio Trend

25 quarters · across all stocks

Sector Breakdown

As of Mar 31, 2026
Sector % Portfolio Value
Technology 29.1% $117,584,676,773
Industrials 13.5% $54,476,258,711
Financial Services 11.8% $47,782,798,244
Healthcare 11.1% $44,847,236,568
Consumer Cyclical 9.6% $38,820,042,141
Consumer Defensive 6.3% $25,377,244,607
Communication Services 6.1% $24,644,753,679
Energy 4.4% $17,669,523,061
Real Estate 2.8% $11,263,122,334
Basic Materials 2.7% $10,948,550,995
Utilities 2.5% $9,962,181,384
Unclassified 0.0% $55,343,283

Last Quarter's Activity

Export CSV
Mar 31, 2026 vs Dec 31, 2025

Added To

Positions the filer increased
25 positions
Ticker Δ Shares Shares Value
COMP +15,194,674 19,943,416 $145,786,370
PBR +13,605,256 44,242,564 $918,033,203
SHOP +11,716,933 50,060,088 $5,938,127,638
APH +11,653,093 35,333,842 $4,464,430,936
MSTR +10,826,893 31,441,761 $3,923,931,772
CNQ +7,501,283 9,111,146 $443,986,144
LYV +6,847,542 7,112,687 $1,084,755,894
OKE +5,137,226 13,116,823 $1,185,629,630
CSGP +4,671,743 15,513,753 $625,824,796
BAC +4,009,118 46,871,738 $2,284,997,227
RPRX +3,901,427 35,005,736 $1,679,225,155
HTHT +3,866,143 12,200,747 $613,575,566
NKE +3,696,650 11,339,032 $598,927,670
CPNG +3,178,071 44,309,107 $836,555,940
KDP +3,176,961 20,034,992 $527,521,339
TMO +2,968,583 3,888,726 $1,911,425,490
VRSK +2,865,313 6,129,636 $1,163,098,431
ABBV +2,726,228 14,418,993 $3,135,986,787
TTEK +2,368,690 11,385,267 $342,924,242
ALH +2,314,729 7,302,367 $151,451,091
PSA +2,228,822 6,363,818 $1,723,831,019
HEI +2,224,891 2,661,900 $729,892,980
V +2,193,192 23,709,563 $7,165,978,321
COST +2,109,174 2,749,541 $2,739,725,138
ZBH +1,991,309 9,119,222 $824,560,053

Trimmed

Positions the filer reduced
25 positions
Ticker Δ Shares Shares Value
OWL 60,569,475 4,833,140 $44,126,568
AVGO 57,817,288 84,046,789 $26,013,321,663
CNP 49,945,123 36,085,129 $1,557,434,167
DB 42,957,755 23,548,845 $701,284,604
MDLZ 36,923,764 50,019,822 $2,883,142,540
AAPL 35,525,866 36,296,549 $9,211,701,170
SRE 33,023,155 18,754,548 $1,822,379,429
PM 28,616,563 72,761,312 $12,030,355,326
MSFT 26,747,859 54,837,522 $20,299,205,518
IP 26,741,652 36,671,683 $1,309,179,083
NCLH 26,195,770 29,981,899 $560,661,511
ABT 25,731,218 37,498,227 $3,849,942,966
AMZN 25,645,759 43,934,071 $9,150,148,967
VALE 24,049,104 3,593,319 $57,169,705
TFC 23,845,227 84,512,937 $3,885,059,713
NFLX 23,612,960 2,848,273 $273,861,448
GE 22,665,915 19,219,409 $5,453,891,691
TRP 22,646,084 3,542,345 $221,750,797
RTX 20,601,930 23,910,379 $4,612,312,109
B 19,363,842 64,309,836 $2,623,198,210
COP 17,244,513 31,115,547 $4,107,252,204
BTI 15,573,911 48,815,570 $2,854,246,377
EQT 14,813,012 3,446,908 $219,361,225
TOST 14,788,186 30,603,273 $811,292,767
ARMK 14,539,587 10,354,916 $419,788,294

New Positions

Positions the filer opened this quarter
25 positions
Ticker Shares Value
AZN 34,393,013 $6,782,990,023
APD 9,935,678 $2,886,215,102
LIN 5,441,647 $2,697,750,916
NET 10,893,165 $2,247,695,666
HCA 3,033,612 $1,435,626,542
ATO 7,326,778 $1,353,402,432
PWR 2,252,570 $1,236,705,981
RSG 5,333,574 $1,168,159,377
CDNS 3,954,412 $1,098,812,462
IR 13,219,152 $1,059,118,458
CVNA 3,327,983 $1,046,251,295
DE 1,703,509 $959,586,619
EXC 15,345,302 $752,226,704
FIX 391,831 $540,331,030
BN 13,179,614 $533,378,978
MCD 1,562,960 $485,752,338
BIP 13,160,998 $475,375,247
LYB 5,851,711 $471,413,838
RKLB 6,701,140 $430,347,210
AMCR 8,804,864 $349,993,344
RNR 1,142,558 $339,602,514
DLR 1,732,166 $312,153,634
EOG 1,864,054 $269,486,286
AMX 10,218,787 $260,374,692
ACA 1,952,826 $207,272,951

Sold Out

Positions the filer fully exited
25 positions
Ticker Shares Value
HSY 9,106,431 $1,657,188,313
U 18,370,198 $811,411,645
SNAP 37,871,060 $305,619,454
TTWO 1,181,044 $302,382,695
NEE 2,324,163 $186,583,805
YMM 16,533,004 $177,399,132
NCNO 5,854,698 $150,114,456
DG 1,122,046 $148,974,047
FIS 1,715,044 $113,981,824
EL 1,080,468 $113,146,608
SUI 882,808 $109,388,739
BNTX 1,134,941 $108,046,383
AAON 1,328,881 $101,327,176
GGB 27,415,434 $101,162,951
SSNC 1,121,718 $98,060,587
CCI 809,166 $71,910,582
GIS 1,513,221 $70,364,776
CTVA 835,249 $55,986,740
CSX 1,482,794 $53,751,282
FLEX 864,808 $52,251,699
NSC 180,528 $52,122,044
IDA 406,728 $51,475,495
FRME 1,346,300 $50,459,324
GWRE 239,672 $48,176,468
FIG 1,200,793 $44,873,634

Portfolio Positions

Export CSV View 13F filing
56 positions · $117,584,676,773 total · Technology only · as of Mar 31, 2026
Showing 1–50 of 56 positions by value · page 1 of 2
Ticker Company Shares Value (USD) % of Portfolio Action
AVGO
Broadcom Inc.
Technology
84,046,789 $26,013,321,663 22.12% History
MSFT
Microsoft Corp
Technology
54,837,522 $20,299,205,518 17.26% History
NVDA
Nvidia Corp
Technology
97,683,264 $17,035,961,241 14.49% History
AAPL
Apple Inc.
Technology
36,296,549 $9,211,701,170 7.83% History
SHOP
Shopify Inc.
Technology
50,060,088 $5,938,127,638 5.05% History
APH
Amphenol Corp /De/
Technology
35,333,842 $4,464,430,936 3.80% History
KLAC
Kla Corp
Technology
2,728,138 $4,016,937,672 3.42% History
MSTR
Strategy Inc
Technology
31,441,761 $3,923,931,772 3.34% History
TSM
Taiwan Semiconductor Manufacturing Co Ltd
Technology
11,306,653 $3,821,083,381 3.25% History
MU
Micron Technology Inc
Technology
8,931,615 $3,017,456,811 2.57% History
PAYX
Paychex Inc
Technology
29,948,686 $2,758,872,954 2.35% History
CRM
Salesforce, Inc.
Technology
12,624,458 $2,356,607,574 2.00% History
ASML
Asml Holding Nv
Technology
1,767,447 $2,334,497,021 1.99% History
NET
Cloudflare, Inc.
Technology
10,893,165 $2,247,695,666 1.91% History
CDNS
Cadence Design Systems Inc
Technology
3,954,412 $1,098,812,462 0.93% History
SAP
Sap Se
Technology
5,011,856 $858,079,865 0.73% History
ACN
Accenture plc
Technology
4,113,245 $815,615,351 0.69% History
TOST
Toast, Inc.
Technology
30,603,273 $811,292,767 0.69% History
AMAT
Applied Materials Inc /De
Technology
2,259,191 $772,168,891 0.66% History
FICO
Fair Isaac Corp
Technology
709,120 $757,013,964 0.64% History
TEL
TE Connectivity plc
Technology
3,464,161 $724,078,932 0.62% History
MKSI
Mks Inc
Technology
1,968,770 $452,443,033 0.38% History
TXN
Texas Instruments Inc
Technology
2,043,246 $396,675,778 0.34% History
IT
Gartner Inc
Technology
2,022,839 $320,296,327 0.27% History
INTC
Intel Corp
Technology
7,180,502 $316,875,553 0.27% History
NOW
ServiceNow, Inc.
Technology
2,560,768 $267,728,294 0.23% History
KVYO
Klaviyo, Inc.
Technology
11,703,859 $227,757,096 0.19% History
UBER
Uber Technologies, Inc
Technology
3,124,656 $224,756,506 0.19% History
ARM
Arm Holdings Plc /Uk
Technology
1,165,530 $176,321,378 0.15% History
PAY
Paymentus Holdings, Inc.
Technology
6,874,791 $174,619,691 0.15% History
OSIS
Osi Systems Inc
Technology
619,479 $164,477,869 0.14% History
SONY
Sony Group Corp
Technology
7,375,593 $152,674,775 0.13% History
FN
Fabrinet
Technology
283,687 $147,948,444 0.13% History
PI
Impinj Inc
Technology
1,352,380 $138,889,426 0.12% History
ADI
Analog Devices Inc
Technology
424,545 $135,064,746 0.11% History
KLIC
Kulicke & Soffa Industries Inc
Technology
1,744,923 $114,676,339 0.10% History
GLOB
Globant S.A.
Technology
2,202,362 $101,550,911 0.09% History
TSEM
Tower Semiconductor Ltd
Technology
572,299 $100,427,028 0.09% History
CGNX
Cognex Corp
Technology
1,236,941 $60,597,739 0.05% History
POWI
Power Integrations Inc
Technology
1,112,390 $56,954,368 0.05% History
ESE
Esco Technologies Inc
Technology
200,000 $56,274,000 0.05% History
TEAM
Atlassian Corp
Technology
811,090 $55,356,892 0.05% History
NAVN
Navan, Inc.
Technology
3,783,338 $50,091,395 0.04% History
BR
Broadridge Financial Solutions, Inc.
Technology
297,785 $48,384,106 0.04% History
NATL
NCR Atleos Corp
Technology
978,077 $42,624,595 0.04% History
RELY
Remitly Global, Inc.
Technology
2,636,545 $41,314,660 0.04% History
SMTC
Semtech Corp
Technology
537,298 $41,312,843 0.04% History
TTAN
ServiceTitan, Inc.
Technology
638,572 $40,523,779 0.03% History
DDOG
Datadog, Inc.
Technology
322,570 $38,079,388 0.03% History
CLBT
Cellebrite DI Ltd.
Technology
2,278,040 $31,391,391 0.03% History
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