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Common stocks 93.23% Information technology 22.91% | Shares | Value (000) |
Microsoft Corp. | 30,103,781 | $4,747,667 |
Broadcom Inc. | 10,750,227 | 2,548,879 |
ASML Holding NV1 | 4,683,824 | 1,244,776 |
ASML Holding NV (New York registered) | 1,042,260 | 272,697 |
Taiwan Semiconductor Manufacturing Co., Ltd.1 | 144,201,000 | 1,287,140 |
Taiwan Semiconductor Manufacturing Co., Ltd. (ADR) | 2,547,515 | 121,746 |
Intel Corp. | 20,530,706 | 1,111,122 |
Advanced Micro Devices, Inc.2 | 16,187,238 | 736,196 |
Samsung Electronics Co., Ltd.1 | 16,805,000 | 653,111 |
Texas Instruments Inc. | 4,699,333 | 469,604 |
Mastercard Inc., Class A | 1,825,000 | 440,847 |
NortonLifeLock Inc. | 20,374,083 | 381,199 |
Visa Inc., Class A | 2,268,190 | 365,451 |
QUALCOMM Inc. | 5,251,557 | 355,268 |
Applied Materials, Inc. | 7,264,015 | 332,837 |
Autodesk, Inc.2 | 1,949,819 | 304,367 |
ServiceNow, Inc.2 | 1,018,826 | 291,975 |
SAP SE1 | 2,499,523 | 287,078 |
TE Connectivity Ltd. | 4,126,000 | 259,855 |
STMicroelectronics NV1 | 11,920,000 | 259,423 |
Arista Networks, Inc.2 | 1,224,400 | 248,002 |
SK hynix, Inc.1 | 3,370,000 | 227,974 |
Apple Inc. | 868,783 | 220,923 |
KLA Corp. | 1,508,400 | 216,817 |
HubSpot, Inc.2 | 1,562,162 | 208,064 |
RingCentral, Inc., Class A2 | 733,560 | 155,449 |
International Business Machines Corp. | 1,300,000 | 144,209 |
Adobe Inc.2 | 381,053 | 121,266 |
PayPal Holdings, Inc.2 | 1,199,771 | 114,866 |
Keyence Corp.1 | 340,000 | 109,723 |
Dell Technologies Inc., Class C2 | 2,750,000 | 108,763 |
Square, Inc., Class A2 | 2,074,738 | 108,675 |
Smartsheet Inc., Class A2 | 2,541,598 | 105,502 |
Tokyo Electron Ltd.1 | 399,900 | 75,197 |
EPAM Systems, Inc.2 | 400,932 | 74,437 |
DocuSign, Inc.2 | 800,000 | 73,920 |
NetApp, Inc. | 1,687,941 | 70,370 |
Motorola Solutions, Inc. | 500,000 | 66,460 |
Edenred SA1 | 1,550,934 | 64,912 |
Ceridian HCM Holding Inc.2 | 1,276,000 | 63,889 |
LiveRamp Holdings, Inc.2 | 1,878,542 | 61,842 |
Global Payments Inc. | 376,988 | 54,373 |
ON Semiconductor Corp.2 | 3,806,568 | 47,354 |
Lam Research Corp. | 195,663 | 46,959 |
Micron Technology, Inc.2 | 682,400 | 28,702 |
Common stocks (continued) Information technology (continued) | Shares | Value (000) |
MongoDB, Inc., Class A2 | 114,603 | $15,648 |
Micro Focus International PLC1 | 1,442,067 | 7,133 |
19,312,667 | ||
Health care 14.63% | ||
UnitedHealth Group Inc. | 10,416,818 | 2,597,746 |
Regeneron Pharmaceuticals, Inc.2 | 2,398,397 | 1,171,113 |
Centene Corp.2 | 12,110,859 | 719,506 |
Pfizer Inc. | 20,536,086 | 670,298 |
Cigna Corp. | 3,706,265 | 656,676 |
Vertex Pharmaceuticals Inc.2 | 2,647,896 | 630,067 |
Thermo Fisher Scientific Inc. | 2,114,288 | 599,612 |
Gilead Sciences, Inc. | 7,042,100 | 526,467 |
Humana Inc. | 1,511,712 | 474,708 |
Boston Scientific Corp.2 | 13,037,700 | 425,420 |
Bristol-Myers Squibb Co. | 5,800,000 | 323,292 |
Anthem, Inc. | 1,397,967 | 317,394 |
AstraZeneca PLC1 | 3,464,684 | 309,494 |
Molina Healthcare, Inc.2 | 2,180,689 | 304,664 |
Eli Lilly and Co. | 1,947,229 | 270,120 |
Daiichi Sankyo Co., Ltd.1 | 3,743,300 | 257,545 |
CVS Health Corp. | 4,284,322 | 254,189 |
Seattle Genetics, Inc.2 | 2,090,201 | 241,167 |
Biogen Inc.2 | 700,000 | 221,466 |
ResMed Inc. | 1,135,000 | 167,174 |
Illumina, Inc.2 | 544,896 | 148,822 |
Abbott Laboratories | 1,657,084 | 130,761 |
Merck & Co., Inc. | 1,526,309 | 117,434 |
Allakos Inc.2 | 2,294,373 | 102,077 |
Ultragenyx Pharmaceutical Inc.2 | 2,257,370 | 100,295 |
Neurocrine Biosciences, Inc.2 | 1,009,208 | 87,347 |
Danaher Corp. | 623,328 | 86,275 |
Edwards Lifesciences Corp.2 | 413,330 | 77,962 |
Bluebird Bio, Inc.2 | 1,172,470 | 53,887 |
Incyte Corp.2 | 672,772 | 49,267 |
Cortexyme, Inc.1,2,3 | 691,877 | 30,294 |
Cortexyme, Inc.2 | 389,795 | 17,779 |
Notre Dame Intermédica Participações SA | 4,645,000 | 40,192 |
AbbVie Inc. | 444,930 | 33,899 |
Novo Nordisk A/S, Class B1 | 461,468 | 27,836 |
GlaxoSmithKline PLC1 | 1,421,329 | 26,660 |
Teva Pharmaceutical Industries Ltd. (ADR)2 | 2,066,300 | 18,555 |
Sage Therapeutics, Inc.2 | 570,874 | 16,396 |
BioMarin Pharmaceutical Inc.2 | 176,266 | 14,895 |
Bausch Health Cos. Inc.2 | 750,000 | 11,625 |
12,330,376 | ||
Financials 12.15% | ||
Berkshire Hathaway Inc., Class A2 | 7,450 | 2,026,400 |
Berkshire Hathaway Inc., Class B2 | 1,427,815 | 261,047 |
JPMorgan Chase & Co. | 21,103,263 | 1,899,927 |
CME Group Inc., Class A | 3,122,189 | 539,858 |
The Blackstone Group Inc., Class A | 11,043,223 | 503,240 |
Citigroup Inc. | 8,398,399 | 353,741 |
Capital One Financial Corp. | 6,455,000 | 325,461 |
Common stocks (continued) Financials (continued) | Shares | Value (000) |
Intercontinental Exchange, Inc. | 4,003,737 | $323,302 |
Truist Financial Corp. | 9,598,050 | 296,004 |
Wells Fargo & Co. | 9,842,886 | 282,491 |
Goldman Sachs Group, Inc. | 1,769,663 | 273,572 |
Legal & General Group PLC1 | 109,763,993 | 262,594 |
Discover Financial Services | 7,338,604 | 261,768 |
BlackRock, Inc. | 542,997 | 238,902 |
PNC Financial Services Group, Inc. | 2,274,872 | 217,751 |
Apollo Global Management, Inc., Class A | 6,372,031 | 213,463 |
Aon PLC, Class A | 1,257,022 | 207,459 |
Chubb Ltd. | 1,670,681 | 186,598 |
HDFC Bank Ltd.1 | 14,852,000 | 167,109 |
Zurich Insurance Group AG1 | 402,500 | 142,871 |
Sberbank of Russia PJSC (ADR)1 | 13,450,041 | 127,441 |
First Republic Bank | 1,525,696 | 125,534 |
Arch Capital Group Ltd.2 | 4,350,946 | 123,828 |
Barclays PLC1 | 103,429,346 | 120,176 |
Moody’s Corp. | 389,926 | 82,469 |
Marsh & McLennan Cos., Inc. | 764,960 | 66,138 |
AIA Group Ltd.1 | 6,713,000 | 60,392 |
Synchrony Financial | 3,600,000 | 57,924 |
Kotak Mahindra Bank Ltd.1 | 3,315,000 | 56,101 |
S&P Global Inc. | 227,000 | 55,626 |
Ares Management Corp., Class A | 1,721,922 | 53,259 |
Bank of Ireland Group PLC1 | 23,127,285 | 43,707 |
Brookfield Asset Management Inc., Class A | 850,000 | 37,613 |
Toronto-Dominion Bank (CAD denominated) | 750,000 | 31,886 |
Hong Kong Exchanges and Clearing Ltd.1 | 1,059,900 | 31,830 |
Willis Towers Watson PLC | 181,000 | 30,743 |
CIT Group Inc. | 1,719,078 | 29,671 |
SVB Financial Group2 | 179,966 | 27,189 |
Ping An Insurance (Group) Co. of China, Ltd., Class H1 | 2,289,000 | 22,391 |
CenterState Bank Corp. | 1,235,783 | 21,293 |
Bank of Nova Scotia | 500,000 | 20,419 |
Bank of New York Mellon Corp. | 448,215 | 15,096 |
Bank of America Corp. | 701,400 | 14,891 |
10,239,175 | ||
Communication services 10.24% | ||
Facebook, Inc., Class A2 | 13,142,516 | 2,192,172 |
Alphabet Inc., Class C2 | 1,094,936 | 1,273,203 |
Alphabet Inc., Class A2 | 335,168 | 389,448 |
Netflix, Inc.2 | 3,415,033 | 1,282,345 |
Comcast Corp., Class A | 33,180,628 | 1,140,750 |
Charter Communications, Inc., Class A2 | 2,090,382 | 912,055 |
Activision Blizzard, Inc.2 | 10,878,063 | 647,027 |
Walt Disney Co. | 3,300,000 | 318,780 |
Verizon Communications Inc. | 2,500,000 | 134,325 |
T-Mobile US, Inc.2 | 1,360,331 | 114,132 |
HUYA, Inc. (ADR)2 | 3,030,000 | 51,358 |
SoftBank Group Corp.1 | 1,299,800 | 45,515 |
JOYY Inc., Class A (ADR)2 | 845,000 | 45,005 |
Pinterest, Inc., Class A2 | 2,669,891 | 41,223 |
Common stocks (continued) Communication services (continued) | Shares | Value (000) |
Adevinta ASA1,2 | 2,876,294 | $25,728 |
GCI Liberty, Inc., Class A2 | 311,641 | 17,754 |
8,630,820 | ||
Industrials 8.95% | ||
Boeing Co. | 7,303,297 | 1,089,214 |
TransDigm Group Inc. | 2,069,130 | 662,515 |
CSX Corp. | 9,046,299 | 518,353 |
Airbus SE, non-registered shares1 | 7,668,935 | 497,585 |
Honeywell International Inc. | 3,589,678 | 480,263 |
Union Pacific Corp. | 3,353,347 | 472,956 |
Parker-Hannifin Corp. | 3,514,090 | 455,883 |
Deere & Co. | 3,222,619 | 445,237 |
Safran SA1 | 4,711,579 | 414,129 |
Northrop Grumman Corp. | 1,013,007 | 306,485 |
Emerson Electric Co. | 4,999,047 | 238,205 |
Norfolk Southern Corp. | 1,398,903 | 204,240 |
MTU Aero Engines AG1 | 1,348,410 | 197,546 |
Lockheed Martin Corp. | 581,904 | 197,236 |
Rockwell Automation | 1,300,000 | 196,183 |
Armstrong World Industries, Inc. | 2,187,002 | 173,692 |
Westinghouse Air Brake Technologies Corp. | 2,842,520 | 136,810 |
Experian PLC1 | 4,209,197 | 117,176 |
Nidec Corp.1 | 1,901,600 | 98,638 |
FedEx Corp. | 759,355 | 92,079 |
Waste Management, Inc. | 899,500 | 83,258 |
Grafton Group PLC, units1 | 11,326,372 | 74,458 |
Waste Connections, Inc. | 749,857 | 58,114 |
United Technologies Corp. | 572,891 | 54,041 |
Johnson Controls International PLC | 1,742,205 | 46,970 |
RELX PLC1 | 1,969,624 | 42,223 |
IMCD NV1 | 500,000 | 35,559 |
Lennox International Inc. | 190,899 | 34,703 |
Illinois Tool Works Inc. | 200,000 | 28,424 |
Lifco AB, Class B1 | 725,000 | 26,651 |
Caterpillar Inc. | 171,300 | 19,878 |
United Rentals, Inc.2 | 190,000 | 19,551 |
ASSA ABLOY AB, Class B1 | 1,000,000 | 18,905 |
DSV Panalpina A/S1 | 126,495 | 11,518 |
7,548,678 | ||
Consumer discretionary 8.24% | ||
Amazon.com, Inc.2 | 1,385,315 | 2,700,976 |
Target Corp. | 3,799,295 | 353,221 |
Domino’s Pizza, Inc. | 1,084,937 | 351,596 |
Prosus NV1,2 | 4,994,000 | 346,027 |
Dollar General Corp. | 2,157,200 | 325,759 |
Marriott International, Inc., Class A | 3,925,457 | 293,663 |
Burlington Stores, Inc.2 | 1,735,000 | 274,928 |
NIKE, Inc., Class B | 3,257,857 | 269,555 |
Booking Holdings Inc.2 | 193,447 | 260,248 |
Industria de Diseño Textil, SA1 | 9,400,000 | 244,041 |
Restaurant Brands International Inc. | 6,035,000 | 241,581 |
LVMH Moët Hennessy-Louis Vuitton SE1 | 613,105 | 227,582 |
Home Depot, Inc. | 1,165,000 | 217,517 |
Common stocks (continued) Consumer discretionary (continued) | Shares | Value (000) |
Galaxy Entertainment Group Ltd.1 | 23,995,000 | $127,099 |
Wynn Resorts, Ltd. | 1,979,623 | 119,154 |
TJX Cos., Inc. | 2,000,000 | 95,620 |
Stars Group Inc.2 | 4,646,200 | 94,875 |
D.R. Horton, Inc. | 2,008,601 | 68,292 |
Evolution Gaming Group AB1 | 2,000,000 | 68,095 |
Aramark | 3,346,000 | 66,820 |
Las Vegas Sands Corp. | 1,126,838 | 47,857 |
Flutter Entertainment PLC (EUR denominated)1 | 429,400 | 38,927 |
Darden Restaurants, Inc. | 590,800 | 32,175 |
Floor & Decor Holdings, Inc., Class A2 | 800,000 | 25,672 |
Samsonite International SA1 | 26,458,500 | 25,018 |
Canada Goose Holdings Inc., subordinate voting shares2 | 898,700 | 17,875 |
Royal Caribbean Cruises Ltd. | 438,400 | 14,103 |
6,948,276 | ||
Consumer staples 7.38% | ||
Philip Morris International Inc. | 16,816,563 | 1,226,936 |
British American Tobacco PLC1 | 34,862,262 | 1,190,489 |
British American Tobacco PLC (ADR) | 286,000 | 9,778 |
Altria Group, Inc. | 27,362,571 | 1,058,111 |
Keurig Dr Pepper Inc. | 18,115,707 | 439,668 |
Walmart Inc. | 3,000,000 | 340,860 |
Nestlé SA1 | 3,284,374 | 338,515 |
Conagra Brands, Inc. | 11,484,805 | 336,964 |
Mondelez International, Inc. | 4,599,218 | 230,329 |
Procter & Gamble Co. | 1,800,000 | 198,000 |
Coca-Cola Co. | 4,099,333 | 181,396 |
Costco Wholesale Corp. | 580,866 | 165,622 |
Estée Lauder Cos. Inc., Class A | 999,828 | 159,313 |
Anheuser-Busch InBev SA/NV1 | 2,471,195 | 109,742 |
Unilever PLC1 | 1,800,000 | 90,870 |
Coca-Cola European Partners PLC | 1,606,093 | 60,277 |
Church & Dwight Co., Inc. | 649,876 | 41,709 |
Reckitt Benckiser Group PLC (ADR) | 1,861,045 | 28,669 |
ITC Ltd.1 | 7,077,011 | 15,872 |
6,223,120 | ||
Materials 3.00% | ||
Linde PLC | 1,794,658 | 310,476 |
Franco-Nevada Corp. (CAD denominated) | 2,721,871 | 271,955 |
Franco-Nevada Corp. | 183,000 | 18,212 |
Barrick Gold Corp. | 11,634,782 | 213,149 |
LyondellBasell Industries NV | 4,120,814 | 204,516 |
Royal Gold, Inc. | 2,283,565 | 200,292 |
Corteva, Inc. | 8,500,000 | 199,750 |
LafargeHolcim Ltd.1 | 4,291,273 | 156,875 |
Dow Inc. | 5,053,675 | 147,769 |
DuPont de Nemours Inc. | 4,125,392 | 140,676 |
Sherwin-Williams Co. | 275,000 | 126,368 |
Koninklijke DSM NV1 | 974,814 | 110,772 |
Rio Tinto PLC1 | 2,000,000 | 91,806 |
Packaging Corp. of America | 957,516 | 83,141 |
Norsk Hydro ASA1 | 34,980,669 | 76,002 |
First Quantum Minerals Ltd. | 13,814,374 | 70,579 |
Common stocks (continued) Materials (continued) | Shares | Value (000) |
Vale SA, ordinary nominative | 5,919,000 | $49,233 |
CCL Industries Inc., Class B, nonvoting shares | 1,095,000 | 33,294 |
Allegheny Technologies Inc.2 | 1,301,452 | 11,062 |
Wheaton Precious Metals Corp. | 376,700 | 10,371 |
2,526,298 | ||
Energy 2.54% | ||
Enbridge Inc. (CAD denominated) | 15,029,526 | 437,654 |
Chevron Corp. | 4,540,708 | 329,020 |
BP PLC1 | 58,000,000 | 246,742 |
Baker Hughes Co., Class A | 17,796,702 | 186,865 |
Royal Dutch Shell PLC, Class B1 | 10,870,647 | 182,267 |
Royal Dutch Shell PLC, Class A (GBP denominated)1 | 165,212 | 2,891 |
Suncor Energy Inc. | 10,491,740 | 167,444 |
Hess Corp. | 3,000,000 | 99,900 |
EOG Resources, Inc. | 2,223,946 | 79,884 |
Occidental Petroleum Corp. | 6,710,000 | 77,702 |
Keyera Corp. | 6,935,678 | 64,463 |
ConocoPhillips | 1,399,433 | 43,103 |
Murphy Oil Corp. | 6,780,607 | 41,565 |
Cabot Oil & Gas Corp. | 2,344,000 | 40,293 |
Pioneer Natural Resources Co. | 499,905 | 35,068 |
Concho Resources Inc. | 678,274 | 29,064 |
Canadian Natural Resources, Ltd. (CAD denominated) | 1,842,600 | 25,204 |
Noble Energy, Inc. | 3,009,826 | 18,179 |
Equitrans Midstream Corp. | 3,241,882 | 16,307 |
Schlumberger Ltd. | 1,003,309 | 13,535 |
Petróleo Brasileiro SA (Petrobras), ordinary nominative (ADR) | 1,499,749 | 8,249 |
2,145,399 | ||
Real estate 1.90% | ||
Simon Property Group, Inc. REIT | 8,282,470 | 454,376 |
Crown Castle International Corp. REIT | 2,553,549 | 368,733 |
Equinix, Inc. REIT | 465,911 | 290,994 |
American Tower Corp. REIT | 1,173,152 | 255,454 |
AGNC Investment Corp. REIT | 11,481,843 | 121,478 |
Digital Realty Trust, Inc. REIT | 583,027 | 80,988 |
Public Storage REIT | 84,600 | 16,802 |
Brookfield Property Partners LP | 1,800,000 | 14,508 |
1,603,333 | ||
Utilities 1.29% | ||
Enel SpA1 | 56,826,957 | 395,540 |
AES Corp. | 12,365,148 | 168,166 |
DTE Energy Co. | 1,579,200 | 149,977 |
Ørsted AS1 | 1,194,487 | 117,304 |
Sempra Energy | 880,347 | 99,470 |
Exelon Corp. | 2,167,933 | 79,802 |
Edison International | 1,223,567 | 67,039 |
Brookfield Infrastructure Partners LP | 317,100 | 11,514 |
Brookfield Infrastructure Corp., Class A2 | 35,233 | 1,234 |
1,090,046 | ||
Total common stocks (cost: $64,622,809,000) | 78,598,188 |
Preferred securities 0.11% Information technology 0.08% | Shares | Value (000) |
Samsung Electronics Co., Ltd., nonvoting preferred shares1 | 2,100,000 | $68,549 |
Energy 0.03% | ||
Petróleo Brasileiro SA (Petrobras), preferred nominative | 8,686,000 | 23,386 |
Total preferred securities (cost: $121,045,000) | 91,935 | |
Convertible stocks 0.16% Information technology 0.16% | ||
Broadcom Inc., Series A, cumulative convertible preferred shares, 8.00% 2022 | 141,873 | 132,560 |
Total convertible stocks (cost: $142,408,000) | 132,560 | |
Short-term securities 6.00% Money market investments 6.00% | ||
Capital Group Central Cash Fund 1.00%4 | 50,602,817 | 5,062,306 |
Total short-term securities (cost: $5,060,884,000) | 5,062,306 | |
Total investment securities 99.50% (cost: $69,947,146,000) | 83,884,989 | |
Other assets less liabilities 0.50% | 424,662 | |
Net assets 100.00% | $84,309,651 |
1 | Valued under fair value procedures adopted by authority of the board of trustees. The total value of all such securities was $11,779,564,000, which represented 13.97% of the net assets of the fund. This amount includes $11,749,270,000 related to certain securities trading outside the U.S. whose values were adjusted as a result of significant market movements following the close of local trading. |
2 | Security did not produce income during the last 12 months. |
3 | Acquired through a private placement transaction exempt from registration under the Securities Act of 1933. May be subject to legal or contractual restrictions on resale. Further details on this holding appear below. |
4 | Rate represents the seven-day yield at 3/31/2020. |
Private placement security | Acquisition date | Cost (000) | Value (000) | Percent of net assets |
Cortexyme, Inc. | 2/6/2020 | $34,594 | $30,294 | .04% |
Fixed-income class | Examples of standard inputs |
All | Benchmark yields, transactions, bids, offers, quotations from dealers and trading systems, new issues, spreads and other relationships observed in the markets among comparable securities; and proprietary pricing models such as yield measures calculated using factors such as cash flows, financial or collateral performance and other reference data (collectively referred to as “standard inputs”) |
Corporate bonds & notes; convertible securities | Standard inputs and underlying equity of the issuer |
Bonds & notes of governments & government agencies | Standard inputs and interest rate volatilities |
Mortgage-backed; asset-backed obligations | Standard inputs and cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements and specific deal information |
Investment securities | ||||
Level 1 | Level 2 | Level 3 | Total | |
Assets: | ||||
Common stocks: | ||||
Information technology | $15,096,200 | $4,216,467 | $— | $19,312,667 |
Health care | 11,678,547 | 651,829 | — | 12,330,376 |
Financials | 9,204,563 | 1,034,612 | — | 10,239,175 |
Communication services | 8,559,577 | 71,243 | — | 8,630,820 |
Industrials | 6,014,290 | 1,534,388 | — | 7,548,678 |
Consumer discretionary | 5,871,487 | 1,076,789 | — | 6,948,276 |
Consumer staples | 4,477,632 | 1,745,488 | — | 6,223,120 |
Materials | 2,090,843 | 435,455 | — | 2,526,298 |
Energy | 1,713,499 | 431,900 | — | 2,145,399 |
Real estate | 1,603,333 | — | — | 1,603,333 |
Utilities | 577,202 | 512,844 | — | 1,090,046 |
Preferred securities | 23,386 | 68,549 | — | 91,935 |
Convertible stocks | 132,560 | — | — | 132,560 |
Short-term securities | 5,062,306 | — | — | 5,062,306 |
Total | $72,105,425 | $11,779,564 | $— | $83,884,989 |
Key to abbreviations |
ADR = American Depositary Receipts |
CAD = Canadian dollars |
EUR = Euros |
GBP = British pounds |
MFGEFPX-010-0520O-S73159 | Fundamental Investors — Page 9 of 9 |