RWIAX
Capital World Growth & Income Fund
Capital World Growth & Income Fund

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
327
Top-10 weight
25.59%
Effective holdings ?
86
Crowding ?
1073.3

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 130,599,639 $8.32B 5.57%
2 BROADCOM INC 16,230,188 $5.19B 3.47%
3 CAPITAL GROUP CENTRAL CASH FUND CMQXX 40,955,935 $4.10B 2.74%
4 MICROSOFT CORP 8,694,488 $3.41B 2.29%
5 NVIDIA CORP 18,656,885 $3.31B 2.21%
6 PHILIP MORRIS INTL INC 16,675,298 $3.12B 2.09%
7 ALPHABET INC CL C 9,038,715 $2.81B 1.88%
8 ALPHABET INC CL A 8,937,216 $2.79B 1.87%
9 AMAZON.COM INC 12,251,738 $2.57B 1.72%
10 APPLE INC 9,716,610 $2.57B 1.72%
11 LILLY ELI and CO 2,309,197 $2.43B 1.63%
12 MICRON TECHNOLOGY INC 5,706,649 $2.35B 1.58%
13 META PLATFORMS INC CL A 3,088,570 $2.00B 1.34%
14 CAN NATURAL RES 44,777,059 $1.96B 1.31%
15 ASML Holding NV 1,260,379 $1.84B 1.23%
16 BAE SYSTEMS PLC 61,144,171 $1.74B 1.17%
17 FREEPORT MCMORAN INC 23,738,219 $1.62B 1.08%
18 VALE SA 89,823,808 $1.55B 1.04%
19 GENERAL ELECTRIC CO 4,368,551 $1.50B 1.00%
20 ENGIE 42,681,149 $1.46B 0.98%
21 Airbus SE 6,493,913 $1.41B 0.95%
22 DEERE & CO 2,042,064 $1.29B 0.86%
23 SOFTBANK GROUP CORP 45,675,180 $1.20B 0.80%
24 VERTEX PHARMACEUTICALS INC 2,273,163 $1.13B 0.76%
25 RTX CORP 5,353,639 $1.08B 0.73%
26 BRITISH AMERICAN TOBACCO PLC 16,564,949 $1.04B 0.69%
27 VOLVO AB-B 26,386,796 $1.03B 0.69%
28 TRANSDIGM GROUP INC 784,220 $1.02B 0.68%
29 SHELL PLC 24,441,469 $1.01B 0.68%
30 APPLIED MATERIALS INC 2,591,645 $964.87M 0.65%
31 MEDTRONIC PLC 9,875,546 $964.45M 0.65%
32 CAMECO CORP 8,119,788 $960.65M 0.64%
33 UNION PACIFIC CORP 3,595,705 $952.79M 0.64%
34 NESTLE SA (REG) 8,330,953 $909.97M 0.61%
35 NOVO NORDISK-B 23,970,016 $901.78M 0.60%
36 NETFLIX INC 9,162,793 $881.83M 0.59%
37 INTEL CORP 18,864,952 $860.43M 0.58%
38 BPER BANCA SPA 60,567,263 $859.51M 0.58%
39 TOKYO ELECTRON 3,003,391 $846.41M 0.57%
40 SIEMENS AG-REG 2,858,232 $835.54M 0.56%
41 IMPERIAL BRANDS 17,835,258 $799.19M 0.54%
42 LEONARDO SPA 11,361,434 $762.52M 0.51%
43 TESLA INC 1,851,504 $745.25M 0.50%
44 FIRST QUANTUM 24,725,850 $740.30M 0.50%
45 INDITEX SA 10,912,775 $732.67M 0.49%
46 CITIGROUP INC 6,543,777 $721.06M 0.48%
47 ABBOTT LABS 6,139,710 $714.36M 0.48%
48 CIE FINANCI-REG 3,491,388 $714.08M 0.48%
49 EOG RESOURCES INC 5,662,672 $702.62M 0.47%
50 MASTERCARD INC CL A 1,303,205 $674.03M 0.45%
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