TIBGX
Thornburg Investment Income Builder Fund
THORNBURG INVESTMENT TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
328
Top-10 weight
41.87%
Effective holdings ?
37
Crowding ?
638.6

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ORANGE 72,111,380 $1.48B 7.01%
2 Thornburg Capital Management Fund 120,949,115 $1.21B 5.73%
3 TSMC 17,649,261 $1.02B 4.84%
4 CITIGROUP INC 6,986,967 $792.39M 3.76%
5 AT&T INC 27,002,773 $782.81M 3.71%
6 TOTALENERGIES SE 8,285,200 $760.37M 3.60%
7 BNP PARIBAS 7,892,300 $751.85M 3.56%
8 NN GROUP 9,581,916 $748.31M 3.55%
9 SAMSUNG ELECTRONICS CO LTD 5,529,200 $646.70M 3.07%
10 BROADCOM INC 2,029,364 $628.11M 2.98%
11 ZEGONA COMMUNICATIONS PLC ZEG 27,593,000 $607.10M 2.88%
12 ENEL SPA 54,735,431 $598.41M 2.84%
13 DEUTSCHE TELEKOM 15,821,300 $590.50M 2.80%
14 TESCO PLC 83,026,330 $521.82M 2.47%
15 Vodafone Group Public Limited Company VODPF 327,785,324 $494.42M 2.34%
16 ENDESA 10,955,857 $456.89M 2.17%
17 MERCK & CO 3,559,942 $428.23M 2.03%
18 BANK OF IRELAND GROUP PLC 19,129,250 $347.07M 1.65%
19 BAE SYSTEMS PLC 11,749,400 $344.47M 1.63%
20 KPN (KONIN) NV 59,231,000 $330.13M 1.56%
21 CME GROUP INC CL A 1,063,223 $314.02M 1.49%
22 ASTRAZENECA PLC 1,545,700 $302.25M 1.43%
23 AXA 6,551,100 $301.03M 1.43%
24 TC ENERGY CORP 4,549,089 $284.86M 1.35%
25 DHL GROUP 5,217,600 $275.00M 1.30%
26 SINGAPORE TELECO (LOT SIZE 100) 65,130,000 $250.78M 1.19%
27 BHP GROUP LTD 6,902,000 $249.73M 1.18%
28 ROCHE HOLDING AG 618,500 $246.84M 1.17%
29 Novartis AG (Registered) NVSEF 1,390,208 $213.39M 1.01%
30 CISCO SYSTEMS INC 2,613,737 $202.80M 0.96%
31 GENERALI ASSIC 4,639,547 $186.66M 0.88%
32 CK HUTCHISON HOLDINGS LTD COMMON STOCK HKD1.0 CKHUF 23,928,000 $183.67M 0.87%
33 ENBRIDGE INC 3,309,521 $179.41M 0.85%
34 EQUITABLE HOLDINGS INC 4,814,078 $178.65M 0.85%
35 E.ON SE 8,053,300 $176.38M 0.84%
36 HOME DEPOT INC 505,482 $166.25M 0.79%
37 GLENCORE PLC 21,342,700 $161.65M 0.77%
38 MEDTRONIC PLC 1,829,695 $158.54M 0.75%
39 REGIONS FINANCIAL CORP 5,862,414 $153.13M 0.73%
40 NESTLE SA (REG) 1,451,300 $142.36M 0.67%
41 DAIMLER TRUCK HO 2,629,400 $129.49M 0.61%
42 SHELL PLC 2,735,600 $126.70M 0.60%
43 SWISSCOM AG-REG 143,600 $120.50M 0.57%
44 SNAM SPA 15,827,000 $119.90M 0.57%
45 MERCEDES-BENZ GR 1,903,100 $116.97M 0.55%
46 ASR NEDERLAND NV 1,670,500 $115.01M 0.55%
47 SOUTH BOW CORP 3,421,560 $113.83M 0.54%
48 ENI SPA 3,846,400 $109.37M 0.52%
49 ABBVIE INC 476,780 $103.69M 0.49%
50 Midea Group Company, Ltd. 333 9,034,630 $100.64M 0.48%
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