CLBCX
American Balanced Fund
American Balanced Fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
3959
Top-10 weight
25.75%
Effective holdings ?
87
Crowding ?
891.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 CAPITAL GROUP CENTRAL CASH FUND CMQXX 178,755,134 $17.87B 6.77%
2 BROADCOM INC 28,610,233 $8.86B 3.36%
3 CAPITAL GROUP CENTRAL CORPORATE BOND FUND CL M (CCBF CL M) CCBFX 879,411,295 $7.37B 2.79%
4 TAIWAN SEMIC MFG CO LTD SP ADR 18,182,509 $6.14B 2.33%
5 PHILIP MORRIS INTL INC 35,604,152 $5.89B 2.23%
6 NVIDIA CORP 30,216,304 $5.27B 2.00%
7 MICROSOFT CORP 14,150,185 $5.24B 1.99%
8 ALPHABET INC CL A 15,945,939 $4.59B 1.74%
9 ALPHABET INC CL C 13,123,410 $3.76B 1.43%
10 LILLY ELI and CO 3,811,606 $3.51B 1.33%
11 MICRON TECHNOLOGY INC 10,013,580 $3.38B 1.28%
12 VISA INC-CLASS A 8,983,143 $2.72B 1.03%
13 CAN NATURAL RES 55,163,774 $2.69B 1.02%
14 VERTEX PHARMACEUTICALS INC 5,930,918 $2.65B 1.00%
15 STARBUCKS CORP 29,254,744 $2.62B 0.99%
16 US TREASURY N/B 2,505,808,400 $2.46B 0.93%
17 AMGEN INC 6,940,187 $2.44B 0.93%
18 UNION PACIFIC CORP 9,924,865 $2.41B 0.91%
19 UNITEDHEALTH GRP 8,363,915 $2.26B 0.86%
20 US TREASURY N/B 2,194,211,500 $2.19B 0.83%
21 US TREASURY N/B 2,280,524,300 $2.18B 0.83%
22 AMAZON.COM INC 10,129,538 $2.11B 0.80%
23 NORTHROP GRUMMAN CORP 2,926,320 $2.00B 0.76%
24 SK HYNIX INC 3,540,995 $1.93B 0.73%
25 META PLATFORMS INC CL A 3,322,693 $1.90B 0.72%
26 HOME DEPOT INC 5,702,063 $1.88B 0.71%
27 WHEATON PRECIOUS METALS CORP 14,285,698 $1.87B 0.71%
28 DEERE & CO 3,113,013 $1.75B 0.66%
29 TRANSDIGM GROUP INC 1,474,445 $1.71B 0.65%
30 APPLE INC 6,557,167 $1.66B 0.63%
31 EOG RESOURCES INC 11,022,449 $1.59B 0.60%
32 US TREASURY N/B 1,560,618,000 $1.54B 0.58%
33 U.S. Treasury Inflation-Protected Indexed Notes TII 1,500,903,360 $1.52B 0.58%
34 US TREASURY N/B 1,446,237,400 $1.45B 0.55%
35 DR HORTON INC 10,212,264 $1.40B 0.53%
36 SYNCHRONY FINANCIAL 20,361,152 $1.38B 0.52%
37 GILEAD SCIENCES INC 9,837,660 $1.37B 0.52%
38 CVS HEALTH CORP 18,524,992 $1.33B 0.50%
39 BAKER HUGHES CO 20,900,000 $1.28B 0.48%
40 INTEL CORP 28,398,195 $1.25B 0.47%
41 COMCAST CORP CL A 42,238,815 $1.21B 0.46%
42 Boeing Co. (The), Conv. Pfd. 18,519,213 $1.20B 0.46%
43 BROOKFIELD CORP CL A 29,261,531 $1.18B 0.45%
44 GLENCORE PLC 155,407,634 $1.18B 0.45%
45 INTL BUS MACH CORP 4,843,859 $1.17B 0.44%
46 SALESFORCE INC 6,023,253 $1.12B 0.43%
47 U.S. Treasury Notes 1,113,850,000 $1.12B 0.43%
48 ROYAL GOLD INC 4,225,228 $1.08B 0.41%
49 NESTLE SA (REG) 10,716,321 $1.06B 0.40%
50 TSMC 18,672,000 $1.05B 0.40%
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