CMLCX
American Mutual Fund
American Mutual Fund

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
160
Top-10 weight
32.49%
Effective holdings ?
56
Crowding ?
1426.1

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MICROSOFT CORP 14,542,132 $6.26B 5.51%
2 CAPITAL GROUP CENTRAL CASH FUND CMQXX 50,490,708 $5.05B 4.45%
3 BROADCOM INC 12,840,095 $4.25B 3.75%
4 RTX CORP 21,049,117 $4.23B 3.73%
5 PHILIP MORRIS INTL INC 20,121,204 $3.61B 3.18%
6 LILLY ELI and CO 3,373,101 $3.50B 3.08%
7 APPLE INC 10,647,325 $2.76B 2.43%
8 ABBVIE INC 10,972,838 $2.45B 2.16%
9 GENERAL ELECTRIC CO 7,663,206 $2.35B 2.07%
10 META PLATFORMS INC CL A 3,269,062 $2.34B 2.06%
11 JPMORGAN CHASE and CO 7,324,266 $2.24B 1.97%
12 STARBUCKS CORP 24,039,886 $2.21B 1.95%
13 MONDELEZ INTL INC 35,928,344 $2.10B 1.85%
14 EXXON MOBIL CORP 13,746,755 $1.94B 1.71%
15 HOME DEPOT INC 5,186,561 $1.94B 1.71%
16 APPLIED MATERIALS INC 5,286,828 $1.70B 1.50%
17 GILEAD SCIENCES INC 11,631,175 $1.65B 1.45%
18 TAIWAN SEMIC MFG CO LTD SP ADR 4,912,093 $1.62B 1.43%
19 CENTERPOINT ENERGY INC 38,360,848 $1.52B 1.34%
20 WELLS FARGO & CO 16,816,281 $1.52B 1.34%
21 NEXTERA ENERGY INC 16,709,353 $1.47B 1.29%
22 COCA-COLA CO/THE 19,247,160 $1.44B 1.27%
23 CARRIER GLOBAL CORP 23,848,011 $1.42B 1.25%
24 INTL PAPER CO 34,938,367 $1.41B 1.24%
25 SPONSORED ADR BTI 22,644,679 $1.37B 1.21%
26 ABBOTT LABS 12,376,508 $1.35B 1.19%
27 ACCENTURE PLC CL A 4,933,433 $1.30B 1.15%
28 LINDE PLC 2,808,921 $1.28B 1.13%
29 JOHNSON&JOHNSON 5,314,548 $1.21B 1.06%
30 ALPHABET INC CL A 3,332,235 $1.13B 0.99%
31 MEDTRONIC PLC 10,659,754 $1.10B 0.97%
32 AMGEN INC 3,107,044 $1.06B 0.94%
33 PNC FINANCIAL SERVICES GRP INC 4,216,235 $941.49M 0.83%
34 BLACKROCK INC 824,765 $922.86M 0.81%
35 PROGRESSIVE CORP OHIO 4,400,608 $915.33M 0.81%
36 UNION PACIFIC CORP 3,877,039 $911.49M 0.80%
37 AIR PRODUCTS and CHEMICALS INC 3,324,305 $905.87M 0.80%
38 TEXAS INSTRUMENTS INC 4,135,409 $891.39M 0.79%
39 DOMINION ENERGY INC 14,159,077 $851.95M 0.75%
40 AUTOMATIC DATA PROCESSING INC 3,417,475 $843.50M 0.74%
41 AMPHENOL CORPORATION CL A 5,848,540 $842.66M 0.74%
42 CVS HEALTH CORP 11,210,986 $835.44M 0.74%
43 DTE ENERGY CO 5,585,437 $750.57M 0.66%
44 CONSTELLATION ENERGY CORP 2,651,433 $744.20M 0.66%
45 CHUBB LTD 2,371,826 $734.22M 0.65%
46 PROCTER & GAMBLE 4,836,048 $733.97M 0.65%
47 ROLLS ROYCE HOLDINGS SPONS ADR RYCEY 43,358,582 $729.29M 0.64%
48 MCDONALDS CORP 2,242,289 $706.32M 0.62%
49 PUB SERV ENTERP 8,486,783 $698.97M 0.62%
50 FIDELITY NATL INFORM SVCS INC 12,292,603 $679.17M 0.60%
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