0001145549-20-031999.txt : 20200529 0001145549-20-031999.hdr.sgml : 20200529 20200529121227 ACCESSION NUMBER: 0001145549-20-031999 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200529 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN FUNDS FUNDAMENTAL INVESTORS CENTRAL INDEX KEY: 0000039473 IRS NUMBER: 221557722 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-00032 FILM NUMBER: 20925490 BUSINESS ADDRESS: STREET 1: 6455 IRVINE CENTER DRIVE CITY: IRVINE STATE: CA ZIP: 92618 BUSINESS PHONE: 213-486-9501 MAIL ADDRESS: STREET 1: 333 S HOPE ST - 55TH FLOOR (GYR) CITY: LOS ANGELES STATE: CA ZIP: 90071 FORMER COMPANY: FORMER CONFORMED NAME: FUNDAMENTAL INVESTORS INC DATE OF NAME CHANGE: 19920703 0000039473 S000009227 AMERICAN FUNDS FUNDAMENTAL INVESTORS C000025050 Class A ANCFX C000025051 Class R-1 RFNAX C000025052 Class R-2 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Fundamental Investors®
Investment portfolio
March 31, 2020
unaudited
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
Fundamental Investors — Page 1 of 9

unaudited
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
Fundamental Investors — Page 2 of 9

unaudited
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
Fundamental Investors — Page 3 of 9

unaudited
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
Fundamental Investors — Page 4 of 9

unaudited
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
Fundamental Investors — Page 5 of 9

unaudited
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
Fundamental Investors — Page 6 of 9

unaudited
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%
Valuation disclosures

Capital Research and Management Company (“CRMC”), the fund’s investment adviser, values the fund’s investments at fair value as defined by accounting principles generally accepted in the United States of America. The net asset value of each share class of the fund is generally determined as of approximately 4:00 p.m. New York time each day the New York Stock Exchange is open. Security transactions are recorded by the fund as of the date the trades are executed with brokers. Assets and liabilities, including investment securities, denominated in currencies other than U.S. dollars are translated into U.S. dollars at the exchange rates supplied by one or more pricing vendors on the valuation date.
Methods and inputs — The fund’s investment adviser uses the following methods and inputs to establish the fair value of the fund’s assets and liabilities. Use of particular methods and inputs may vary over time based on availability and relevance as market and economic conditions evolve.
Equity securities are generally valued at the official closing price of, or the last reported sale price on, the exchange or market on which such securities are traded, as of the close of business on the day the securities are being valued or, lacking any sales, at the last available bid price. Prices for each security are taken from the principal exchange or market on which the security trades.
Fundamental Investors — Page 7 of 9

unaudited
Fixed-income securities, including short-term securities, are generally valued at prices obtained from one or more pricing vendors. Vendors value such securities based on one or more of the inputs described in the following table. The table provides examples of inputs that are commonly relevant for valuing particular classes of fixed-income securities in which the fund is authorized to invest. However, these classifications are not exclusive, and any of the inputs may be used to value any other class of fixed-income security.
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
When the fund’s investment adviser deems it appropriate to do so (such as when vendor prices are unavailable or deemed to be not representative), fixed-income securities will be valued in good faith at the mean quoted bid and ask prices that are reasonably and timely available (or bid prices, if ask prices are not available) or at prices for securities of comparable maturity, quality and type.
Securities with both fixed-income and equity characteristics, or equity securities traded principally among fixed-income dealers, are generally valued in the manner described for either equity or fixed-income securities, depending on which method is deemed most appropriate by the fund’s investment adviser. The Capital Group Central Cash Fund (“CCF”), a fund within the Capital Group Central Fund Series (“Central Funds“), is valued based upon a floating net asset value, which fluctuates with changes in the value of CCF’s portfolio securities. The underlying securities are valued based on the policies and procedures in CCF’s statement of additional information.
Securities and other assets for which representative market quotations are not readily available or are considered unreliable by the fund’s investment adviser are fair valued as determined in good faith under fair valuation guidelines adopted by authority of the fund’s board of trustees as further described. The investment adviser follows fair valuation guidelines, consistent with U.S. Securities and Exchange Commission rules and guidance, to consider relevant principles and factors when making fair value determinations. The investment adviser considers relevant indications of value that are reasonably and timely available to it in determining the fair value to be assigned to a particular security, such as the type and cost of the security; contractual or legal restrictions on resale of the security; relevant financial or business developments of the issuer; actively traded similar or related securities; conversion or exchange rights on the security; related corporate actions; significant events occurring after the close of trading in the security; and changes in overall market conditions. In addition, the closing prices of equity securities that trade in markets outside U.S. time zones may be adjusted to reflect significant events that occur after the close of local trading but before the net asset value of each share class of the fund is determined. Fair valuations and valuations of investments that are not actively trading involve judgment and may differ materially from valuations that would have been used had greater market activity occurred.
Processes and structure — The fund’s board of trustees has delegated authority to the fund’s investment adviser to make fair value determinations, subject to board oversight. The investment adviser has established a Joint Fair Valuation Committee (the “Fair Valuation Committee”) to administer, implement and oversee the fair valuation process, and to make fair value decisions. The Fair Valuation Committee regularly reviews its own fair value decisions, as well as decisions made under its standing instructions to the investment adviser’s valuation teams. The Fair Valuation Committee reviews changes in fair value measurements from period to period and may, as deemed appropriate, update the fair valuation guidelines to better reflect the results of back testing and address new or evolving issues. The Fair Valuation Committee reports any changes to the fair valuation guidelines to the board of trustees. The fund’s board and audit committee also regularly review reports that describe fair value determinations and methods.
The fund’s investment adviser has also established a Fixed-Income Pricing Review Group to administer and oversee the fixed-income valuation process, including the use of fixed-income pricing vendors. This group regularly reviews pricing vendor information and market data. Pricing decisions, processes and controls over security valuation are also subject to additional internal reviews, including an annual control self-evaluation program facilitated by the investment adviser’s compliance group.
Fundamental Investors — Page 8 of 9

unaudited
Classifications — The fund’s investment adviser classifies the fund’s assets and liabilities into three levels based on the inputs used to value the assets or liabilities. Level 1 values are based on quoted prices in active markets for identical securities. Level 2 values are based on significant observable market inputs, such as quoted prices for similar securities and quoted prices in inactive markets. Certain securities trading outside the U.S. may transfer between Level 1 and Level 2 due to valuation adjustments resulting from significant market movements following the close of local trading. Level 3 values are based on significant unobservable inputs that reflect the investment adviser’s determination of assumptions that market participants might reasonably use in valuing the securities. The valuation levels are not necessarily an indication of the risk or liquidity associated with the underlying investment. For example, U.S. government securities are reflected as Level 2 because the inputs used to determine fair value may not always be quoted prices in an active market. The following table presents the fund’s valuation levels as of March 31, 2020 (dollars in thousands):
  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
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary prospectus, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the Capital Group website at capitalgroup.com.
All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.
American Funds Distributors, Inc., member FINRA.
© 2020 Capital Group. All rights reserved.
MFGEFPX-010-0520O-S73159 Fundamental Investors — Page 9 of 9