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Portfolio (Quarterly) Guide ↗

Capital World Investors

· CIK 0001422849
13F Portfolio $735.3B AUM Filed Feb 11, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 574 New
Page 8 of 29  ·  574 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
141 ABT ABBOTT LABS Healthcare 8,466,861.0 $1.06B 0.14% NEW $125.29 -29.9%
142 BLK BLACKROCK INC Financial Services 983,617.0 $1.05B 0.14% NEW $1070.62 -0.6%
143 BLOCK INC 16,023,441.0 $1.04B 0.14% NEW $65.09
144 ECL ECOLAB INC Basic Materials 3,894,309.0 $1.02B 0.14% NEW $262.52 -4.7%
145 STZ CONSTELLATION BRANDS INC Consumer Defensive 7,238,575.0 $998.7M 0.14% NEW $137.97 +9.6%
146 LYV LIVE NATION ENTERTAINMENT IN Communication Services 6,919,979.0 $986.1M 0.13% NEW $142.50 +16.5%
147 RBLX ROBLOX CORP Technology 12,136,732.0 $983.5M 0.13% NEW $81.03 -43.5%
148 USFD US FOODS HLDG CORP Consumer Defensive 12,862,100.0 $968.8M 0.13% NEW $75.32 +7.7%
149 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 6,505,165.0 $953.5M 0.13% NEW $146.58 -10.3%
150 EXR EXTRA SPACE STORAGE INC Real Estate 7,091,003.0 $923.4M 0.13% NEW $130.22 +10.5%
151 SCCO SOUTHERN COPPER CORP Basic Materials 6,378,267.0 $915.1M 0.12% NEW $143.47 +21.3%
152 ADBE ADOBE INC Technology 2,606,421.0 $912.2M 0.12% NEW $349.99 -30.3%
153 HPE HEWLETT PACKARD ENTERPRISE C Technology 37,541,672.0 $901.8M 0.12% NEW $24.02 +41.4%
154 SLB SLB LIMITED Energy 23,374,144.0 $897.1M 0.12% NEW $38.38 +49.2%
155 LMT LOCKHEED MARTIN CORP Industrials 1,817,586.0 $879.1M 0.12% NEW $483.67 +8.1%
156 KO COCA COLA CO Consumer Defensive 12,573,527.0 $879.0M 0.12% NEW $69.91 +16.1%
157 ATI ATI INC Industrials 7,355,793.0 $844.2M 0.12% NEW $114.76 +39.8%
158 KKR KKR & CO INC Financial Services 6,566,669.0 $837.1M 0.11% NEW $127.48 -25.7%
159 COOPER COS INC 10,208,203.0 $836.7M 0.11% NEW $81.96
160 CEG CONSTELLATION ENERGY CORP Utilities 2,345,331.0 $828.6M 0.11% NEW $353.30 -19.1%
Page 8 of 29  ·  574 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 27.1%
Financial Services 13.5%
Healthcare 13.3%
Consumer Cyclical 12.1%
Communication Services 10.5%
Industrials 9.5%
Consumer Defensive 5.3%
Energy 3.1%
Basic Materials 2.9%
Utilities 2.0%