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Institutional 13F data

Capital World Investors

Quarterly holding changes are displayed with primary SEC 13F sources.

2026-03-31 · AVGO · decreased -5.7%

Shares
116,188,483
Share change
-7,023,058
Value
$35,955,619,875
Filed
2026-05-13
AVGOSEC EDGAR ↗

2026-03-31 · CIEN · decreased -7.7%

Shares
1,724,807
Share change
-143,890
Value
$669,621,822
Filed
2026-05-13
CIENSEC EDGAR ↗

2026-03-31 · CRM · decreased -15.1%

Shares
16,711,525
Share change
-2,972,250
Value
$3,119,501,341
Filed
2026-05-13
CRMSEC EDGAR ↗

2026-03-31 · DOCU · increased +21.0%

Shares
7,039,805
Share change
1,221,784
Value
$333,757,155
Filed
2026-05-13
DOCUSEC EDGAR ↗

2026-03-31 · FUL · unchanged

Shares
2,593,465
Share change
Value
$159,964,921
Filed
2026-05-13
FULSEC EDGAR ↗

2026-03-31 · GLBE · increased +14.1%

Shares
6,955,665
Share change
859,552
Value
$214,582,265
Filed
2026-05-13
GLBESEC EDGAR ↗

2026-03-31 · GOOGL · increased +21.3%

Shares
65,347,108
Share change
11,474,801
Value
$18,789,110,940
Filed
2026-05-13
GOOGLSEC EDGAR ↗

2026-03-31 · HIMS · sold out

Shares
14,322,912
Share change
Value
$465,068,856
Filed
2026-05-13
HIMSSEC EDGAR ↗

2026-03-31 · HPE · increased +56.3%

Shares
58,667,233
Share change
21,132,215
Value
$1,396,866,818
Filed
2026-05-13
HPESEC EDGAR ↗

2026-03-31 · IBM · decreased -22.5%

Shares
17,062,453
Share change
-4,953,615
Value
$4,135,308,934
Filed
2026-05-13
IBMSEC EDGAR ↗

2026-03-31 · INTC · decreased -23.2%

Shares
79,877,133
Share change
-24,129,551
Value
$3,524,920,638
Filed
2026-05-13
INTCSEC EDGAR ↗

2026-03-31 · LLY · increased +3.9%

Shares
15,621,813
Share change
586,382
Value
$14,366,511,228
Filed
2026-05-13
LLYSEC EDGAR ↗

2026-03-31 · MELI · increased +28.6%

Shares
2,194,481
Share change
488,042
Value
$3,793,911,466
Filed
2026-05-13
MELISEC EDGAR ↗

2026-03-31 · META · increased +3.8%

Shares
41,055,422
Share change
1,502,992
Value
$23,485,842,950
Filed
2026-05-13
METASEC EDGAR ↗

2026-03-31 · MU · decreased -27.8%

Shares
42,054,392
Share change
-16,192,688
Value
$14,207,287,527
Filed
2026-05-13
MUSEC EDGAR ↗

2026-03-31 · NET · decreased -36.5%

Shares
22,735,569
Share change
-13,068,477
Value
$4,690,530,038
Filed
2026-05-13
NETSEC EDGAR ↗

2026-03-31 · NFLX · increased +10.9%

Shares
99,103,552
Share change
9,740,566
Value
$9,528,354,460
Filed
2026-05-13
NFLXSEC EDGAR ↗

2026-03-31 · RDDT · decreased -21.4%

Shares
4,422,613
Share change
-1,204,121
Value
$595,486,665
Filed
2026-05-13
RDDTSEC EDGAR ↗

2026-03-31 · RKLB · decreased -55.3%

Shares
7,242,084
Share change
-8,959,446
Value
$465,061,401
Filed
2026-05-13
RKLBSEC EDGAR ↗

2026-03-31 · SNAP · sold out

Shares
88,452,006
Share change
Value
$713,807,690
Filed
2026-05-13
SNAPSEC EDGAR ↗

2026-03-31 · TSLA · increased +1.0%

Shares
42,904,073
Share change
424,793
Value
$15,948,144,653
Filed
2026-05-13
TSLASEC EDGAR ↗

2026-03-31 · TSM · increased +20.0%

Shares
32,886,937
Share change
5,481,156
Value
$11,109,756,005
Filed
2026-05-13
TSMSEC EDGAR ↗

2026-03-31 · V · increased +2.9%

Shares
25,178,201
Share change
709,590
Value
$7,609,631,813
Filed
2026-05-13
VSEC EDGAR ↗