Capital Income Builder - CIB - All Holdings | American Funds



1321 Total Holdings:
As of 9/30/18
All Holdings: 1 - 15 of 1321
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
AbbVie Inc. Equity 33,429,000 $3,161,714,820.00 3.03%
Verizon Communications Inc. Equity 35,016,559 $1,869,534,085.00 1.79%
Microsoft Corp. Equity 14,524,940 $1,661,217,388.00 1.59%
Novartis AG Equity 18,881,700 $1,623,818,504.00 1.55%
Royal Dutch Shell PLC, Class B Equity 46,204,955 $1,619,410,952.00 1.55%
Coca-Cola Co. Equity 33,915,700 $1,566,566,183.00 1.5%
Altria Group, Inc. Equity 25,896,300 $1,561,805,853.00 1.49%
Amgen Inc. Equity 7,373,680 $1,528,490,127.00 1.46%
Broadcom Inc. Equity 6,121,100 $1,510,259,003.00 1.45%
Sampo Oyj, Class A Equity 28,803,825 $1,491,543,574.00 1.43%
Exxon Mobil Corp. Equity 15,933,815 $1,354,692,951.00 1.3%
Philip Morris International Inc. Equity 16,366,100 $1,334,491,794.00 1.28%
Lockheed Martin Corp. Equity 3,776,974 $1,306,681,925.00 1.25%
British American Tobacco PLC Equity 25,479,111 $1,190,393,574.00 1.14%
Crown Castle International Corp. REIT Equity 10,066,938 $1,120,752,208.00 1.07%
All Holdings: 1 - 15 of 1321

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  1. Excludes certain securities in initial period of acquisition.

Securities offered through American Funds Distributors, Inc.

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