FWMMX
Washington Mutual Investors Fund
Washington Mutual Investors Fund

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
The Southern Company 0 7,011,132 7,011,132 0.17% $359.32M
VENTAS INC REIT 0 3,787,657 3,787,657 0.14% $294.19M
EQUITABLE HOLDINGS INC 0 4,825,683 4,825,683 0.11% $223.91M
WESTERN DIGITAL CORP 0 762,046 762,046 0.09% $190.69M
HEWLETT PACKARD ENTERPRISE CO 0 8,000,000 8,000,000 0.08% $172.16M
HUMANA INC 0 830,534 830,534 0.08% $162.12M
Relx PLC SPON ADS EACH REPR 1 ORD 0 4,045,202 4,045,202 0.07% $144.82M
ATMOS ENERGY CORP 0 674,290 674,290 0.05% $112.16M
REXFORD INDUSTRIAL REALTY INC 0 2,729,525 2,729,525 0.05% $110.63M
SCHWAB CHARLES CORP 0 1,009,680 1,009,680 0.05% $104.93M
TRANE TECHNOLOGIES PLC 0 248,973 248,973 0.05% $104.71M
IDEXX LABS INC 0 148,971 148,971 0.05% $99.88M
BRISTOL-MYERS SQUIBB CO 0 1,681,744 1,681,744 0.04% $92.58M
BERKSHIRE HATH-B 0 190,869 190,869 0.04% $91.72M
TOTALENERGIES SE 0 1,147,464 1,147,464 0.04% $83.08M
MCKESSON CORP 0 83,126 83,126 0.03% $69.10M
ITT INC 0 364,777 364,777 0.03% $66.50M
ALIGN TECHNOLOGY INC 0 275,299 275,299 0.02% $44.88M
CARDINAL HEALTH INC 0 118,756 118,756 0.01% $25.52M
COSTAR GROUP INC 0 402,336 402,336 0.01% $24.74M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
CARRIER GLOBAL CORP 8,874,048 0 -8,874,048 0.00% -$527.92M
MID AMERICA APT CMNTY INC 2,222,179 0 -2,222,179 0.00% -$284.95M
COMMSTCK 6,270,422 0 -6,270,422 0.00% -$272.14M
PACCAR INC 2,545,565 0 -2,545,565 0.00% -$250.48M
REPUBLIC SVCS 1,168,345 0 -1,168,345 0.00% -$243.30M
KIMBERLY CLARK CORP 1,793,588 0 -1,793,588 0.00% -$214.71M
VERIZON COMMUNICATIONS INC 4,508,594 0 -4,508,594 0.00% -$179.17M
NEXTERA ENERGY INC 2,133,007 0 -2,133,007 0.00% -$173.63M
DEUTSCHE TELEKOM AG SPON ADR ADR 3,225,561 0 -3,225,561 0.00% -$100.25M
COOPER COS INC 1,358,647 0 -1,358,647 0.00% -$94.98M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PHILIP MORRIS INTL INC 43,921,309 45,151,609 1,230,300 3.84% $1.76B
APPLE INC 17,957,472 19,782,045 1,824,573 2.43% $277.88M
MARSH & MCLENNAN 19,593,395 20,033,566 440,171 1.79% $279.55M
ROYAL CARIBBEAN CRUISES LTD 10,274,338 10,828,787 554,449 1.67% $568.58M
ALPHABET INC CL A 10,243,156 10,296,737 53,581 1.65% $600.02M
AMGEN INC 9,027,317 9,794,581 767,264 1.59% $654.55M
META PLATFORMS INC CL A 4,206,269 4,409,434 203,165 1.50% $432.22M
UNITEDHEALTH GRP 10,590,910 10,972,584 381,674 1.49% -$469.07M
WELLTOWER INC 16,500,343 16,515,575 15,232 1.47% $123.65M
BANK OF AMERICA CORPORATION 52,501,089 58,372,808 5,871,719 1.47% $299.25M
SPONSORED ADR 42,532,367 49,252,367 6,720,000 1.42% $811.40M
VISA INC-CLASS A 8,080,260 8,565,498 485,238 1.31% $3.37M
CVS HEALTH CORP 30,669,879 31,734,083 1,064,204 1.12% -$32.03M
TRUIST FINL CORP 30,265,854 40,147,254 9,881,400 0.98% $713.61M
COMCAST CORP CL A 51,477,602 61,946,446 10,468,844 0.87% $410.03M
MASTERCARD INC CL A 3,153,644 3,231,306 77,662 0.83% $215.41K
DEERE & CO 1,799,228 3,242,836 1,443,608 0.81% $881.64M
HOME DEPOT INC 4,348,185 4,569,735 221,550 0.81% $61.25M
INTL BUS MACH CORP 4,128,817 5,535,887 1,407,070 0.80% $428.62M
EXXON MOBIL CORP 11,607,076 11,794,857 187,781 0.79% $340.41M
CATERPILLAR INC 2,145,153 2,498,323 353,170 0.78% $403.99M
UNION PACIFIC CORP 6,383,384 6,629,843 246,459 0.74% $151.97M
ABBVIE INC 5,511,799 6,789,092 1,277,293 0.72% $312.24M
CONOCOPHILLIPS 12,830,078 14,481,036 1,650,958 0.72% $369.28M
AIR PRODUCTS and CHEMICALS INC 3,412,469 5,464,985 2,052,516 0.71% $661.38M
PAYCHEX INC 9,108,169 13,589,220 4,481,051 0.66% $335.53M
KEURIG DR PEPPER INC 38,318,068 49,671,155 11,353,087 0.65% $322.26M
YUM! BRANDS INC 7,532,183 8,710,632 1,178,449 0.64% $313.48M
MONDELEZ INTL INC 14,739,722 22,044,441 7,304,719 0.61% $441.99M
PARKER HANNIFIN CORP 1,015,516 1,286,939 271,423 0.57% $419.55M
ACCENTURE PLC CL A 4,476,643 4,501,823 25,180 0.56% $67.25M
ARTHUR J GALLAGHAR AND CO 4,322,920 4,580,964 258,044 0.54% $63.83M
DR HORTON INC 6,337,424 7,262,396 924,972 0.51% $136.15M
KKR & CO INC 7,989,172 8,677,421 688,249 0.47% $46.12M
COCA-COLA CO/THE 10,090,271 13,179,545 3,089,274 0.47% $290.74M
JOHNSON&JOHNSON 1,375,464 4,277,687 2,902,223 0.46% $712.32M
DELTA AIR LI 13,229,299 14,088,617 859,318 0.44% $169.20M
PROGRESSIVE CORP OHIO 4,035,126 4,323,729 288,603 0.43% $68.10M
INTL PAPER CO 21,558,212 21,817,024 258,812 0.42% $46.65M
AMERICAN EXPRESS CO 1,903,372 2,420,426 517,054 0.40% $165.80M
COSTCO WHOLESALE CORP 581,766 881,094 299,328 0.39% $298.20M
DANAHER CORP 3,174,418 3,777,591 603,173 0.39% $143.17M
Boeing Co. (The), Conv. Pfd. 7,764,417 10,730,247 2,965,830 0.38% $299.25M
LENNOX INTL INC 666,754 1,563,217 896,463 0.37% $437.21M
INTEL CORP 15,480,454 16,545,970 1,065,516 0.36% $149.83M
PUBLIC STORAGE 360,068 2,745,197 2,385,129 0.36% $657.90M
CME GROUP INC CL A 2,315,656 2,360,618 44,962 0.32% $67.58M
KKR & Company, Inc., Convertible, 6.250% 9,519,372 13,274,895 3,755,523 0.31% $183.03M
WATSCO INC 1,457,359 1,672,366 215,007 0.31% $109.96M
VERISK ANALYTICS INC 1,233,421 2,769,627 1,536,206 0.29% $332.46M
NIKE INC CL B 5,950,203 9,378,206 3,428,003 0.27% $195.34M
S&P GLOBAL INC 521,576 1,005,184 483,608 0.25% $276.41M
SIEMENS AG-SPONS ADR DEPOSITARY RECEIPT 2,280,000 3,392,244 1,112,244 0.24% $190.26M
EXELON CORP 9,228,906 10,878,910 1,650,004 0.23% $61.52M
AMPHENOL CORPORATION CL A 957,207 2,889,568 1,932,361 0.20% $282.95M
GENERAL MOTORS CO 3,837,155 4,867,628 1,030,473 0.19% $143.77M
ROYAL GOLD INC 754,966 1,408,328 653,362 0.18% $238.87M
CHEVRON CORP 1,886,616 1,999,410 112,794 0.17% $56.14M
PNC FINANCIAL SERVICES GRP INC 1,173,468 1,578,228 404,760 0.17% $138.20M
TRACTOR SUPPLY CO. 5,852,538 6,410,175 557,637 0.15% $9.47M
WALMART INC 1,118,459 2,593,505 1,475,046 0.15% $195.82M
TE CONNECTIVITY PLC 764,252 1,060,857 296,605 0.11% $47.56M
WASTE MANAGEMENT INC 573,973 694,458 120,485 0.07% $39.67M
AT&T INC 3,554,226 5,526,426 1,972,200 0.07% $56.88M
APOLLO GLOBAL MANAGEMENT PFD 904,695 2,000,263 1,095,568 0.07% $79.65M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BROADCOM INC 46,426,597 40,268,155 -6,158,442 6.33% -$3.82B
MICROSOFT CORP 24,786,706 24,526,281 -260,425 5.00% -$2.28B
CAPITAL GROUP CENTRAL CASH FUND 94,263,313 70,379,759 -23,883,554 2.89% -$814.90M
LILLY ELI and CO 4,337,870 4,007,572 -330,298 1.97% $413.48M
NVIDIA CORP 23,110,502 18,678,727 -4,431,775 1.69% -$1.11B
RTX CORP 19,862,796 17,312,385 -2,550,411 1.65% -$66.93M
NORTHROP GRUMMAN CORP 5,095,896 4,690,752 -405,144 1.54% $274.02M
JPMORGAN CHASE and CO 11,085,290 9,876,276 -1,209,014 1.43% -$427.80M
ALPHABET INC CL C 9,973,630 8,907,339 -1,066,291 1.43% $204.63M
GENERAL ELECTRIC CO 9,871,721 8,676,280 -1,195,441 1.26% -$388.07M
ASML HOLDING-NY 1,899,323 1,856,094 -43,229 1.25% $629.40M
KLA CORP 1,911,565 1,725,808 -185,757 1.17% $153.77M
BLACKROCK INC 2,349,068 1,764,327 -584,741 0.94% -$569.42M
CAPITAL ONE FINANCIAL CORP 9,427,486 8,725,777 -701,709 0.91% -$163.62M
ABBOTT LABS 19,305,943 16,068,099 -3,237,844 0.83% -$630.36M
CONSTELLATION ENERGY CORP 6,143,138 6,083,422 -59,716 0.81% -$608.47M
SEMPRA ENERGY 21,701,827 19,361,105 -2,340,722 0.80% -$310.66M
SOUTHERN CO 16,164,933 15,547,674 -617,259 0.66% -$131.59M
AMAZON.COM INC 5,931,824 4,941,717 -990,107 0.56% -$266.12M
CITIZENS FINANCIAL GROUP INC 24,467,662 17,872,299 -6,595,363 0.53% -$119.07M
DARDEN RESTAURANTS INC 6,223,585 5,547,269 -676,316 0.52% -$15.33M
WELLS FARGO & CO 14,445,072 10,794,734 -3,650,338 0.46% -$279.47M
TJX COS INC 6,557,015 6,030,243 -526,772 0.43% -$15.51M
MORGAN STANLEY 8,328,978 4,400,884 -3,928,094 0.38% -$561.47M
EOG RESOURCES INC 11,021,946 7,090,887 -3,931,059 0.38% -$371.46M
INGERSOLL RAND INC 8,592,568 7,934,577 -657,991 0.32% $27.22M
CHUBB LTD 3,250,714 2,119,417 -1,131,297 0.31% -$244.17M
BAKER HUGHES CO 10,135,534 10,001,011 -134,523 0.27% $69.80M
ASTRAZENECA PLC SPONS ADR 14,506,868 5,780,486 -8,726,382 0.25% -$659.11M
LINDE PLC 2,785,219 1,122,197 -1,663,022 0.24% -$652.25M
PROLOGIS INC REIT 5,313,353 3,515,373 -1,797,980 0.22% -$200.37M
HERSHEY CO/THE 2,230,166 2,160,239 -69,927 0.20% $42.40M
APPLIED MATERIALS INC 1,477,227 1,204,738 -272,489 0.18% $43.97M
SAP SE 2,314,549 1,895,964 -418,585 0.18% -$220.64M
PROCTER & GAMBLE 3,693,451 2,377,650 -1,315,801 0.17% -$194.53M
MARRIOTT INTL-A 1,535,758 1,100,143 -435,615 0.16% -$53.31M
ZIMMER BIOMET HO 4,285,413 3,872,902 -412,511 0.16% -$93.73M
CORTEVA INC 8,460,098 4,615,319 -3,844,779 0.16% -$183.79M
GOLDMAN SACHS GROUP INC 376,240 342,804 -33,436 0.15% $23.67M
VAIL RESORTS INC 2,551,935 2,402,780 -149,155 0.15% -$58.79M
BROOKFIELD ASSET MANAGEMENT LTD A 8,324,413 6,105,079 -2,219,334 0.14% -$146.53M
CENTERPOINT ENERGY INC 9,515,715 7,623,082 -1,892,633 0.14% -$61.32M
ESTEE LAUDER COS INC CL A 2,609,415 2,273,788 -335,627 0.12% $9.82M
ENTERGY CORP 3,689,492 2,656,496 -1,032,996 0.12% -$99.79M
OPTION 8,742,993 4,128,358 -4,614,635 0.12% -$187.08M
ELEVANCE HEALTH INC 1,483,917 686,979 -796,938 0.11% -$233.18M
EQUIFAX INC 2,396,999 1,071,846 -1,325,153 0.10% -$290.14M
FEDEX CORP 1,364,753 500,840 -863,913 0.08% -$185.01M
WALT DISNEY CO/T 5,696,889 947,369 -4,749,520 0.05% -$534.72M
APPLIED INDU TEC 390,677 290,910 -99,767 0.04% -$24.68M
MOTOROLA SOLUTIONS INC 2,973,286 180,373 -2,792,913 0.03% -$1.14B
ASM INTERNATIONAL NV REG SHS ADR 286,359 74,914 -211,445 0.03% -$123.07M
Invesco Government & Agency Portfolio, Institutional Class 5,086,176 4,964,348 -121,828 0.00% -$121.83K
Short-Term Investment 4,000,000 3,600,000 -400,000 0.00% -$400.00K
MONEYMKT 4,000,000 3,600,000 -400,000 0.00% -$400.00K
BlackRock Liquidity FedFund - Institutional Class 4,000,000 3,600,000 -400,000 0.00% -$400.00K
US GOVERNMENT MONEY MARKET FUND 4,000,000 2,800,000 -1,200,000 0.00% -$1.20M
State Street Navigator Securities Lending Portfolio II 4,000,000 2,800,000 -1,200,000 0.00% -$1.20M
MSILF-GOVT-INS 4,000,000 2,800,000 -1,200,000 0.00% -$1.20M
MONEYMKT 4,000,000 2,500,000 -1,500,000 0.00% -$1.50M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
GILEAD SCIENCES INC 11,903,058 11,903,058 0 0.80% $263.77M
STARBUCKS CORP 17,712,787 17,712,787 0 0.77% $196.26M
BOEING CO/THE 6,439,889 6,439,889 0 0.71% $210.58M
L3HARRIS TECHNOLOGIES INC 4,015,024 4,015,024 0 0.65% $215.81M
WHEATON PRECIOUS METALS CORP 9,693,619 9,693,619 0 0.61% $342.67M
VERTEX PHARMACEUTICALS INC 2,392,362 2,392,362 0 0.53% $106.05M
CAN NATURAL RES 28,814,473 28,814,473 0 0.51% $149.55M
SALESFORCE INC 5,000,952 5,000,952 0 0.50% -$240.65M
3M CO 6,810,457 6,810,457 0 0.49% -$90.85M
FIRSTENERGY CORP 21,233,984 21,233,984 0 0.48% $32.06M
APOLLO GLOBAL MANAGEMENT INC 6,738,789 6,738,789 0 0.43% $68.94M
THERMO FISHER SCIENTIFIC INC 1,477,134 1,477,134 0 0.41% $16.57M
CONSTELLATION BRANDS INC CL A 4,943,675 4,943,675 0 0.37% $125.17M
DEUTSCHE POST AG ADR 12,012,852 12,012,852 0 0.32% $120.13M
ALTRIA GROUP INC 10,171,559 10,171,559 0 0.30% $57.06M
BLACKSTONE INC 4,268,342 4,268,342 0 0.29% -$18.01M
AON PLC 1,680,799 1,680,799 0 0.28% $15.06M
SIMON PROPERTY 2,774,266 2,774,266 0 0.25% $43.14M
DTE ENERGY CO 3,868,743 3,868,743 0 0.25% -$4.49M
TC ENERGY CORP 7,410,060 7,410,060 0 0.21% $63.06M
CITIGROUP INC 3,650,000 3,650,000 0 0.20% $52.85M
TEXAS INSTRUMENTS INC 1,876,751 1,876,751 0 0.19% $101.51M
KEYCORP 18,396,323 18,396,323 0 0.19% $72.30M
WASTE CONNECTIONS INC 2,262,759 2,262,759 0 0.18% -$181.02K
CHURCH & DWIGHT 3,935,686 3,935,686 0 0.18% $33.69M
NESTLE S A SPONSORED ADR 3,538,412 3,538,412 0 0.16% -$1.63M
JOHNSON CONTROLS INTERNATIONAL PLC 2,790,814 2,790,814 0 0.16% $13.59M
AMERICAN TOWER CORP 1,647,083 1,647,083 0 0.14% $494.12K
CARLYLE GROUP INC (THE) 4,694,362 4,694,362 0 0.13% $25.63M
ILLUMINA INC 1,900,000 1,900,000 0 0.13% $40.41M
PUB SERV ENTERP 3,243,509 3,243,509 0 0.13% $5.84M
COMMSTCK 2,396,610 2,396,610 0 0.12% $23.41M
SYNOPSYS INC 553,677 553,677 0 0.12% $6.25M
HEICO CORP 770,068 770,068 0 0.12% $10.12M
HALLIBURTON CO 6,924,829 6,924,829 0 0.11% $46.26M
FAIR ISAAC CORP 138,418 138,418 0 0.10% -$27.18M
TOLL BROTHERS INC 1,394,857 1,394,857 0 0.10% $13.31M
CSX CORP 5,000,000 5,000,000 0 0.09% $8.70M
TARGET CORP 1,734,775 1,734,775 0 0.09% $22.12M
SLB LTD 3,750,443 3,750,443 0 0.09% $46.21M
ADOBE INC 594,608 594,608 0 0.08% -$27.98M
KRAFT HEINZ CO/T 6,991,915 6,991,915 0 0.08% -$6.92M
BUNGE GLOBAL SA 1,336,864 1,336,864 0 0.07% $25.77M
INTERCONTINENTAL EXCHANGE INC 875,532 875,532 0 0.07% $24.07M
FIFTH THIRD BANCORP 3,027,607 3,027,607 0 0.07% $26.04M
TEXAS ROADHOUSE INC 754,716 754,716 0 0.06% $12.29M
HB FULLER CO 2,017,637 2,017,637 0 0.06% $5.51M
CHIPOTLE MEXICAN GRILL INC 2,787,984 2,787,984 0 0.05% $20.02M
EXTRA SPACE STORAGE INC 731,902 731,902 0 0.05% $3.24M
Sony Group Corp. SPON ADR EACH REPR 1 ORD 4,549,514 4,549,514 0 0.05% -$26.34M
ORACLE CORP 355,995 355,995 0 0.03% -$34.90M
NUCOR CORP 290,993 290,993 0 0.02% $8.05M

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