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Portfolio holdings

Washington Mutual Investors FundSM

As of March 31, 2014 (updated quarterly, upon availability)

Equity securities* Shares or principal amount Market value Percent of net assets
ABBVIE INC 3,723,600 $191,393,040 0.27%
ACE LTD 3,860,000 $382,371,600 0.53%
AIR PRODUCTS & CHEMICALS INC 1,800,000 $214,272,000 0.30%
ALLSTATE CORP (THE) 4,000,000 $226,320,000 0.32%
AMAZON.COM INC 3,440,000 $1,157,628,800 1.62%
AMERICAN EXPRESS CO 21,550,000 $1,940,146,500 2.71%
ANALOG DEVICES INC 1,200,000 $63,768,000 0.09%
APPLE INC 1,114,700 $598,304,078 0.83%
ASTRAZENECA PLC ADR 310,000 $20,112,800 0.03%
AT&T INC 26,240,000 $920,236,800 1.28%
AUTOMATIC DATA PROCESSING INC 3,742,700 $289,161,002 0.40%
AVON PRODUCTS INC 20,000,000 $292,800,000 0.41%
BOEING CO 24,320,000 $3,051,916,800 4.25%
BRISTOL-MYERS SQUIBB CO 16,436,200 $853,860,590 1.19%
CAPITAL ONE FINANCIAL CORP 4,450,000 $343,362,000 0.48%
CATERPILLAR INC 10,260,000 $1,019,536,200 1.42%
CBS CORP CL B N/V 4,280,000 $264,504,000 0.37%
CHARLES SCHWAB CORP 7,260,000 $198,415,800 0.28%
CHEVRON CORP 16,585,000 $1,972,122,350 2.75%
CHUBB CORP 2,750,000 $245,575,000 0.34%
CITIGROUP INC 5,000,000 $238,000,000 0.33%
CME GROUP INC CL A 8,718,389 $645,247,970 0.90%
COCA-COLA CO 28,329,200 $1,095,206,872 1.53%
COLGATE-PALMOLIVE CO 3,720,000 $241,316,400 0.34%
COMCAST CORP CL A 20,132,739 $1,007,039,605 1.40%
CONOCOPHILLIPS 10,745,100 $755,917,785 1.05%
COSTCO WHOLESALE CORP 1,660,000 $185,388,800 0.26%
CUMMINS INC 1,020,000 $151,969,800 0.21%
DOMINION RESOURCES INC 3,930,000 $278,990,700 0.39%
DOW CHEMICAL CO 21,410,000 $1,040,311,900 1.45%
DUKE ENERGY CORP 5,695,700 $405,647,754 0.57%
E.I. DU PONT DE NEMOURS AND CO 1,220,000 $81,862,000 0.11%
EDISON INTERNATIONAL 409,000 $23,153,490 0.03%
EDWARDS LIFESCIENCES CORP 1,394,000 $103,392,980 0.14%
EMERSON ELECTRIC CO 4,574,700 $305,589,960 0.43%
ENBRIDGE INC (USD) 23,535,000 $1,071,077,850 1.49%
EXELON CORPORATION 6,625,000 $222,335,000 0.31%
FIRSTENERGY CORP 10,486,100 $356,841,983 0.50%
FMC TECHNOLOGIES INC 2,755,000 $144,058,950 0.20%
GENERAL DYNAMICS CORP 3,188,400 $347,280,528 0.48%
GENERAL ELECTRIC CO 37,724,000 $976,674,360 1.36%
GILEAD SCIENCES INC 3,603,000 $255,308,580 0.36%
GOLDMAN SACHS GROUP INC 2,214,900 $362,911,365 0.51%
GOOGLE INC CL A 531,600 $592,473,516 0.83%
HESS CORP 2,140,000 $177,363,200 0.25%
HOME DEPOT INC 36,216,000 $2,865,772,080 4.00%
HONDA MOTOR CO LTD ADR 550,000 $19,437,000 0.03%
HONEYWELL INTERNATIONAL INC 600,000 $55,656,000 0.08%
HUMANA INC 7,620,000 $858,926,400 1.20%
JOHNSON & JOHNSON 13,930,000 $1,368,343,900 1.91%
JOHNSON CONTROLS INC 10,863,800 $514,075,016 0.72%
JPMORGAN CHASE & CO 27,682,400 $1,680,598,504 2.34%
KEYCORP 19,160,000 $272,838,400 0.38%
KIMBERLY-CLARK CORP 5,555,000 $612,438,750 0.85%
LINEAR TECHNOLOGY CORP 3,635,000 $176,988,150 0.25%
LOCKHEED MARTIN CORP 12,425,000 $2,028,257,000 2.83%
LOWES COMPANIES INC 5,500,000 $268,950,000 0.38%
MARSH & MCLENNAN COMPANIES INC 6,398,700 $315,455,910 0.44%
MCGRAW HILL FINANCIAL INC 7,708,855 $588,185,637 0.82%
MEADWESTVACO CORP 3,995,000 $150,371,800 0.21%
MERCK & CO INC 46,687,400 $2,650,443,698 3.70%
MICROSOFT CORP 85,071,800 $3,487,093,082 4.85%
MOODYS CORP 2,420,000 $191,954,400 0.27%
NATIONAL GRID PLC ADR 2,570,000 $176,661,800 0.25%
NESTLE SA ADR 9,570,192 $719,869,842 1.00%
NORTHROP GRUMMAN CORP 4,290,000 $529,300,200 0.74%
NUCOR CORP 9,493,100 $479,781,274 0.67%
OCCIDENTAL PETROLEUM CORP 1,140,000 $108,630,600 0.15%
ORACLE CORP 900,000 $36,819,000 0.05%
PARKER-HANNIFIN CORP 2,400,000 $287,304,000 0.40%
PAYCHEX INC 1,180,000 $50,268,000 0.07%
PEPSICO INC 12,060,000 $1,007,010,000 1.40%
PFIZER INC 23,000,000 $738,760,000 1.03%
PG&E CORP 19,957,300 $862,155,360 1.20%
PIONEER NATURAL RESOURCES CO 4,250,000 $795,345,000 1.11%
POTASH CORP OF SASKATCHEWAN INC (USD) 8,082,800 $292,759,016 0.41%
PRAXAIR INC 3,370,000 $441,368,900 0.62%
PRECISION CASTPARTS 150,000 $37,914,000 0.05%
PROCTER & GAMBLE CO 14,685,500 $1,183,651,300 1.65%
QUEST DIAGNOSTICS INC 2,908,895 $168,483,198 0.24%
ROCKWELL AUTOMATION INC 3,578,924 $445,754,984 0.62%
ROCKWELL COLLINS INC 5,994,600 $477,589,782 0.67%
ROYAL DUTCH SHELL PLC B ADR 29,240,000 $2,283,936,400 3.18%
SCHLUMBERGER LTD 2,842,400 $277,134,000 0.39%
SPECTRA ENERGY CORP 3,010,000 $111,189,400 0.16%
STEEL DYNAMICS INC 1,500,000 $26,685,000 0.04%
SUMITOMO MITSUI FINANCIAL GROUP ADR 11,000,000 $95,150,000 0.13%
TEXAS INSTRUMENTS INC 19,370,700 $913,328,505 1.27%
TIFFANY & CO 970,000 $83,565,500 0.12%
TIME WARNER INC 2,800,000 $182,924,000 0.26%
TORONTO DOMINION BANK (THE) (USD) 1,400,000 $65,730,000 0.09%
TWENTY-FIRST CENTURY FOX INC CL A (LIMITED VOTING) 10,149,100 $324,466,727 0.45%
UNILEVER NV NY SHRS 9,587,900 $394,254,448 0.55%
UNION PACIFIC CORP 10,760,000 $2,019,221,600 2.82%
UNITED TECHNOLOGIES CORP 7,620,000 $890,320,800 1.24%
UNITEDHEALTH GROUP INC 3,085,000 $252,939,150 0.35%
US BANCORP 12,355,000 $529,535,300 0.74%
VERIZON COMMUNICATIONS INC 36,563,293 $1,739,315,848 2.43%
VF CORP 12,250,000 $758,030,000 1.06%
VODAFONE GROUP PLC ADR 1,652,727 $60,836,881 0.08%
W.W. GRAINGER INC 525,000 $132,646,500 0.19%
WAL-MART STORES INC 4,100,000 $313,363,000 0.44%
WALT DISNEY COMPANY (THE) 6,083,900 $487,137,873 0.68%
WASTE MANAGEMENT INC 15,360,200 $646,203,614 0.90%
WELLS FARGO & CO 49,560,200 $2,465,124,348 3.44%
Fixed-income securities* Shares or principal amount Market value
ABBOTT LABORATORIES 4(2) CP 5/19/2014 28,600,000 $28,598,024
ABBOTT LABORATORIES 4(2) CP 6/10/2014 30,000,000 $29,997,390
ABBOTT LABORATORIES 4(2) CP 6/24/2014 69,000,000 $68,992,203
ARMY& AIR FORCE EXCHANGE SERVICE 4(2) CP 4/1/2014 30,000,000 $29,999,883
CHEVRON USCP 4(2) CP 4/10/2014 4,400,000 $4,399,927
CHEVRON USCP 4(2) CP 5/13/2014 22,100,000 $22,096,277
CHEVRON USCP 4(2) CP 5/16/2014 50,000,000 $49,990,873
COCA-COLA CO 4(2) CP 5/19/2014 50,000,000 $49,994,497
COCA-COLA CO 4(2) CP 5/30/2014 50,000,000 $49,994,095
DISNEY WALT CO 4(2) CP 4/16/2014 38,500,000 $38,498,619
EMERSON ELECTRIC 4(2) CP 5/14/2014 22,800,000 $22,797,747
EMERSON ELECTRIC 4(2) CP 5/21/2014 20,000,000 $19,997,709
EMERSON ELECTRIC 4(2) CP 5/27/2014 23,000,000 $22,997,442
FED FARM CR DISC NT 12/19/2014 30,000,000 $29,969,100
FED HM LN BK DISC NT 12/23/2014 25,000,000 $24,973,500
FED HM LN BK DISC NT 4/30/2014 38,000,000 $37,998,100
FED HM LN BK DISC NT 5/2/2014 41,800,000 $41,797,860
FED HM LN BK DISC NT 5/21/2014 16,300,000 $16,298,228
FED HM LN BK DISC NT 5/28/2014 23,300,000 $23,298,006
FED HM LN BK DISC NT 5/5/2014 35,500,000 $35,497,929
FED HM LN BK DISC NT 6/6/2014 31,000,000 $30,996,590
FED HM LN BK DISC NT 7/16/2014 21,100,000 $21,096,202
FED HM LN MTG CORP DISC NT 05-05-14 4,500,000 $4,499,690
FED HM LN MTG CORP DISC NT 1/26/2015 54,600,000 $54,532,842
FED NAT MTG DISC NT 04-01-14 25,100,000 $25,099,959
FED NAT MTG DISC NT 7/2/2014 118,700,000 $118,682,195
GENERAL ELECTRIC CP 4/1/2014 19,200,000 $19,199,973
JOHN DEERE CANADA ULC 4(2) CP 4/10/2014 15,800,000 $15,799,605
JOHN DEERE CAPITAL CORP 4(2) CP 4/3/2014 27,200,000 $27,199,841
MEDTRONIC INC 4(2) CP 4/1/2014 38,000,000 $37,999,926
MERCK & CO INC 4(2) CP 5/23/2014 40,000,000 $39,995,289
NAT RURL UTIL CP 4/10/2014 13,800,000 $13,799,655
NAT RURL UTIL CP 4/25/2014 6,000,000 $5,999,625
NAT RURL UTIL CP 4/9/2014 53,400,000 $53,398,798
PACCAR FINL CORP CP 5/15/2014 34,200,000 $34,192,652
PACCAR FINL CORP CP 6/4/2014 10,800,000 $10,796,587
PACCAR FINL CORP CP 6/5/2014 26,200,000 $26,191,537
PRIVATE EXPORT FUND CORP 4(2) CP 10/9/2014 40,000,000 $39,958,600
PROCTER & GAMBLE 4(2) CP 5/14/2014 50,000,000 $49,996,898
PROCTER & GAMBLE 4(2) CP 5/27/2014 35,600,000 $35,597,738
PROCTER & GAMBLE 4(2) CP 6/19/2014 30,000,000 $29,996,880
PROCTER & GAMBLE 4(2) CP 6/9/2014 30,000,000 $29,997,480
U S TREASURY BILL 04-24-14 100,000,000 $99,997,293
UNIVERSITY OF CALIFORNIA CP 5/12/2014 76,800,000 $76,787,837
US BANK NA CP 4/1/2014 50,000,000 $49,999,917

*Excludes certain securities in initial period of acquisition.


Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectuses, summary prospectuses and CollegeAmerica Program Description, which can be obtained from a financial professional and should be read carefully before investing. CollegeAmerica is distributed by American Funds Distributors® and sold through unaffiliated intermediaries.