AMCAP Fund - All Holdings | American Funds



238 Total Holdings:
As of 6/30/18
All Holdings: 1 - 15 of 238
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Netflix, Inc. Equity 7,781,000 $3,045,716,830.00 4.65%
AbbVie Inc. Equity 18,121,000 $1,678,910,650.00 2.57%
UnitedHealth Group Inc. Equity 6,004,406 $1,473,120,968.00 2.25%
EOG Resources, Inc. Equity 11,747,300 $1,461,716,539.00 2.23%, Inc. Equity 821,300 $1,396,045,740.00 2.13%
Abbott Laboratories Equity 22,050,454 $1,344,857,189.00 2.06%
Microsoft Corp. Equity 13,202,000 $1,301,849,220.00 1.99%
Amgen Inc. Equity 6,319,605 $1,166,535,887.00 1.78%
Thermo Fisher Scientific Inc. Equity 5,548,500 $1,149,316,290.00 1.76%
Accenture PLC, Class A Equity 6,328,700 $1,035,312,033.00 1.58%
BioMarin Pharmaceutical Inc. Equity 10,345,500 $974,546,100.00 1.49%
Alphabet Inc., Class C Equity 833,879 $930,317,106.00 1.42%
CSX Corp. Equity 14,568,359 $929,169,937.00 1.42%
Booking Holdings Inc. Equity 454,875 $922,072,564.00 1.41%
Broadcom Inc. Equity 3,589,848 $871,040,719.00 1.33%
All Holdings: 1 - 15 of 238

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  1. Excludes certain securities in initial period of acquisition.

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