TMWMX
Washington Mutual Investors Fund
Washington Mutual Investors Fund

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
197
Top-10 weight
29.26%
Effective holdings ?
61
Crowding ?
1461.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BROADCOM INC 40,268,155 $13.34B 6.32%
2 MICROSOFT CORP 24,526,281 $10.55B 5.00%
3 PHILIP MORRIS INTL INC 45,151,609 $8.10B 3.84%
4 CAPITAL GROUP CENTRAL CASH FUND CMQXX 60,872,706 $6.09B 2.88%
5 APPLE INC 19,782,045 $5.13B 2.43%
6 LILLY ELI and CO 4,007,572 $4.16B 1.97%
7 MARSH & MCLENNAN 20,033,566 $3.77B 1.79%
8 NVIDIA CORP 18,678,727 $3.57B 1.69%
9 ROYAL CARIBBEAN CRUISES LTD 10,828,787 $3.52B 1.67%
10 ALPHABET INC CL A 10,296,737 $3.48B 1.65%
11 RTX CORP 17,312,385 $3.48B 1.65%
12 AMGEN INC 9,794,581 $3.35B 1.59%
13 NORTHROP GRUMMAN CORP 4,690,752 $3.25B 1.54%
14 META PLATFORMS INC CL A 4,409,434 $3.16B 1.50%
15 UNITEDHEALTH GRP 10,972,584 $3.15B 1.49%
16 WELLTOWER INC 16,515,575 $3.11B 1.47%
17 BANK OF AMERICA CORPORATION 58,372,808 $3.11B 1.47%
18 JPMORGAN CHASE and CO 9,876,276 $3.02B 1.43%
19 ALPHABET INC CL C 8,907,339 $3.02B 1.43%
20 SPONSORED ADR BTI 49,252,367 $2.99B 1.42%
21 VISA INC-CLASS A 8,565,498 $2.76B 1.31%
22 GENERAL ELECTRIC CO 8,676,280 $2.66B 1.26%
23 ASML HOLDING-NY 1,856,094 $2.64B 1.25%
24 KLA CORP 1,725,808 $2.46B 1.17%
25 CVS HEALTH CORP 31,734,083 $2.36B 1.12%
26 TRUIST FINL CORP 40,147,254 $2.06B 0.98%
27 BLACKROCK INC 1,764,327 $1.97B 0.94%
28 CAPITAL ONE FINANCIAL CORP 8,725,777 $1.91B 0.90%
29 COMCAST CORP CL A 61,946,446 $1.84B 0.87%
30 ABBOTT LABS 16,068,099 $1.76B 0.83%
31 MASTERCARD INC CL A 3,231,306 $1.74B 0.82%
32 DEERE & CO 3,242,836 $1.71B 0.81%
33 HOME DEPOT INC 4,569,735 $1.71B 0.81%
34 CONSTELLATION ENERGY CORP 6,083,422 $1.71B 0.81%
35 INTL BUS MACH CORP 5,535,887 $1.70B 0.80%
36 GILEAD SCIENCES INC 11,903,058 $1.69B 0.80%
37 SEMPRA ENERGY 19,361,105 $1.68B 0.80%
38 EXXON MOBIL CORP 11,794,857 $1.67B 0.79%
39 CATERPILLAR INC 2,498,323 $1.64B 0.78%
40 STARBUCKS CORP 17,712,787 $1.63B 0.77%
41 UNION PACIFIC CORP 6,629,843 $1.56B 0.74%
42 ABBVIE INC 6,789,092 $1.51B 0.72%
43 CONOCOPHILLIPS 14,481,036 $1.51B 0.71%
44 BOEING CO/THE 6,439,889 $1.51B 0.71%
45 AIR PRODUCTS and CHEMICALS INC 5,464,985 $1.49B 0.71%
46 PAYCHEX INC 13,589,220 $1.40B 0.66%
47 SOUTHERN CO 15,547,674 $1.39B 0.66%
48 L3HARRIS TECHNOLOGIES INC 4,015,024 $1.38B 0.65%
49 KEURIG DR PEPPER INC 49,671,155 $1.36B 0.65%
50 YUM! BRANDS INC 8,710,632 $1.35B 0.64%
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