RGAEX
Growth Fund of America
Growth Fund of America

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
321
Top-10 weight
36.68%
Effective holdings ?
53
Crowding ?
1496.2

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 112,267,821 $19.89B 6.06%
2 BROADCOM INC 43,939,996 $14.04B 4.28%
3 META PLATFORMS INC CL A 21,509,092 $13.94B 4.25%
4 MICROSOFT CORP 33,690,788 $13.23B 4.03%
5 CAPITAL GROUP CENTRAL CASH FUND CMQXX 113,236,110 $11.32B 3.45%
6 LILLY ELI and CO 10,370,697 $10.91B 3.33%
7 ALPHABET INC CL C 30,780,237 $9.59B 2.92%
8 ALPHABET INC CL A 30,713,101 $9.58B 2.92%
9 AMAZON.COM INC 44,639,133 $9.37B 2.86%
10 TESLA INC 21,101,101 $8.49B 2.59%
11 TSMC 117,696,875 $7.50B 2.29%
12 VERTEX PHARMACEUTICALS INC 13,767,050 $6.84B 2.09%
13 APPLE INC 22,701,863 $6.00B 1.83%
14 MICRON TECHNOLOGY INC 14,092,650 $5.81B 1.77%
15 NETFLIX INC 58,664,017 $5.65B 1.72%
16 ROYAL CARIBBEAN CRUISES LTD 17,858,269 $5.55B 1.69%
17 UBER TECHNOLOGIES INC 53,378,750 $4.03B 1.23%
18 SHOPIFY INC CL A 31,978,112 $3.86B 1.18%
19 GENERAL ELECTRIC CO 10,523,785 $3.60B 1.10%
20 TRANSDIGM GROUP INC 2,674,254 $3.48B 1.06%
21 STRATEGY INC CL A 23,842,322 $3.09B 0.94%
22 PHILIP MORRIS INTL INC 16,233,748 $3.03B 0.92%
23 CLOUDFLARE INC-A 17,203,502 $2.96B 0.90%
24 MASTERCARD INC CL A 5,712,317 $2.95B 0.90%
25 VISA INC-CLASS A 8,385,891 $2.68B 0.82%
26 ALNYLAM PHARMACEUTICALS INC 8,024,520 $2.67B 0.81%
27 APPLIED MATERIALS INC 7,165,218 $2.67B 0.81%
28 SK HYNIX INC 3,385,523 $2.50B 0.76%
29 AMPHENOL CORPORATION CL A 16,271,600 $2.38B 0.72%
30 HCA HEALTHCARE INC 4,004,292 $2.12B 0.65%
31 DR HORTON INC 11,975,453 $1.92B 0.59%
32 STARBUCKS CORP 19,208,343 $1.88B 0.57%
33 FTAI AVIATION LTD 6,116,114 $1.87B 0.57%
34 MERCADOLIBRE INC 1,031,812 $1.81B 0.55%
35 BOEING CO/THE 7,860,802 $1.79B 0.55%
36 KLA CORP 1,119,199 $1.71B 0.52%
37 AMGEN INC 4,263,491 $1.65B 0.50%
38 ORACLE CORP 11,350,918 $1.65B 0.50%
39 CATERPILLAR INC 2,190,033 $1.63B 0.50%
40 INTEL CORP 35,229,465 $1.61B 0.49%
41 COSTCO WHOLESALE CORP 1,582,109 $1.60B 0.49%
42 ASML Holding NV 1,036,424 $1.51B 0.46%
43 INTUITIVE SURGICAL INC 2,689,313 $1.35B 0.41%
44 ANTHROPIC PBC SERIES F PC PP 5,075,585 $1.32B 0.40%
45 QUANTA SVCS INC 2,238,269 $1.26B 0.38%
46 BURLINGTON STORES INC 4,087,695 $1.25B 0.38%
47 PROGRESSIVE CORP OHIO 5,817,314 $1.24B 0.38%
48 SALESFORCE INC 6,338,436 $1.23B 0.38%
49 WELLTOWER INC 5,921,166 $1.23B 0.37%
50 EOG RESOURCES INC 9,820,694 $1.22B 0.37%
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