Titelia

Holdings of Washington Mutual Investors Fund

ISIN US9393307759

Washington Mutual Investors Fund · Original filing · Compare with another fund · Report an error

Net assets
214.6B $ including 204.7B $ in equities, 95.4 %
Positions
195 in 9 countries
Top ten
28.2 % of net assets
Filed on
Apr 30, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
101Siemens AG 3,392,244503.6M $0.23 %
102Prologis Inc 3,515,373499.3M $0.23 %
103Citigroup Inc 3,650,000467.1M $0.22 %
104Walt Disney Co/The 4,330,088449.2M $0.21 %
105General Motors Co 5,735,437441M $0.21 %
106ITT Inc 2,047,999439M $0.20 %
107CenterPoint Energy Inc 9,976,107435.5M $0.20 %
108AT&T Inc 16,541,419432.2M $0.20 %
109TC Energy Corp 6,440,060431M $0.20 %
110Merck & Co Inc 3,933,495429.5M $0.20 %
111Royal Gold Inc 1,815,713423.8M $0.20 %
112Johnson Controls International plc 2,790,814407.5M $0.19 %
113Accenture PLC 2,171,773388.1M $0.18 %
114Church & Dwight Co Inc 3,935,686382M $0.18 %
115TE Connectivity PLC 1,782,732377.3M $0.18 %
116Texas Instruments Inc 1,341,713377.1M $0.18 %
117Booking Holdings Inc 2,237,475376.7M $0.18 %
118Procter & Gamble Co/The 2,544,383374.3M $0.17 %
119Waste Connections Inc 2,262,759372.7M $0.17 %
120Zimmer Biomet Holdings Inc 4,428,930365.1M $0.17 %
121American Express Co 1,121,874362.4M $0.17 %
122Nestle SA 3,538,412359.1M $0.17 %
123Marriott International Inc/MD 959,200346.9M $0.16 %
124Ingersoll Rand Inc 4,307,360344M $0.16 %
125Entergy Corp 2,912,451343.4M $0.16 %
126Walmart Inc 2,593,505342.2M $0.16 %
127Ventas Inc 3,787,657332.8M $0.16 %
128Cisco Systems, Inc. 3,447,076315.4M $0.15 %
129Texas Roadhouse Inc 1,936,749311.8M $0.15 %
130Vail Resorts Inc 2,402,780305.6M $0.14 %
131International Paper Co 9,904,027301.3M $0.14 %
132American Tower Corp 1,647,083300.9M $0.14 %
133Brookfield Asset Management Ltd 6,105,079293.1M $0.14 %
134Halliburton Co 6,924,829292.9M $0.14 %
135Netflix Inc 3,110,019291.1M $0.14 %
136Goldman Sachs Group Inc/The 306,483283.1M $0.13 %
137Carlyle Group Inc/The 5,515,753276.2M $0.13 %
138BAE Systems PLC 2,396,610267.6M $0.12 %
139Public Service Enterprise Group Inc 3,243,509264.9M $0.12 %
140ONEOK Inc 2,850,974263.6M $0.12 %
141Elevance Health Inc 686,979258.6M $0.12 %
142IDEXX Laboratories Inc 454,667255M $0.12 %
143Illumina Inc 1,900,000240.8M $0.11 %
144Hewlett Packard Enterprise Co 8,000,000230.2M $0.11 %
145CSX Corp 5,000,000227.2M $0.11 %
146Novo Nordisk A/S 5,338,458225.4M $0.11 %
147Tractor Supply Co 6,410,175225M $0.10 %
148Atmos Energy Corp 1,174,133223.1M $0.10 %
149Equitable Holdings Inc 5,230,896220.7M $0.10 %
150KeyCorp 9,883,983218.5M $0.10 %
151SLB Ltd 3,750,443213.3M $0.10 %
152HEICO Corp 770,068207.9M $0.10 %
153Toll Brothers Inc 1,394,857198.3M $0.09 %
154Humana Inc 830,534196.4M $0.09 %
155RELX PLC 5,363,298196.2M $0.09 %
156Equifax Inc 1,071,846186.4M $0.09 %
157Fair Isaac Corp 172,615176.9M $0.08 %
158Huntington Bancshares Inc/OH 10,441,600175M $0.08 %
159Bunge Global SA 1,336,864169.9M $0.08 %
160Kraft Heinz Co/The 6,991,915158.4M $0.07 %
161Fifth Third Bancorp 3,027,607153.7M $0.07 %
162Intercontinental Exchange Inc 875,532138.4M $0.06 %
163Waste Management Inc 573,973133.5M $0.06 %
164Trane Technologies PLC 248,973122.6M $0.06 %
165Adobe Inc 477,181117.4M $0.05 %
166LyondellBasell Industries NV 1,495,171111.5M $0.05 %
167TotalEnergies SE 1,147,464106.4M $0.05 %
168FedEx Corp 262,813106M $0.05 %
169Extra Space Storage Inc 731,902104.9M $0.05 %
170Baker Hughes Co 1,466,571102.2M $0.05 %
171Bristol-Myers Squibb Co 1,681,744101.9M $0.05 %
172Rexford Industrial Realty Inc 2,729,52598M $0.05 %
173Chipotle Mexican Grill Inc 2,787,98494.8M $0.04 %
174Charles Schwab Corp/The 1,009,68092.5M $0.04 %
175Sony Group Corp 4,549,51491.4M $0.04 %
176Berkshire Hathaway Inc 190,86990.4M $0.04 %
177Applied Industrial Technologies Inc 290,91088.9M $0.04 %
178HB Fuller Co 1,442,23787.3M $0.04 %
179Motorola Solutions Inc 180,37379.2M $0.04 %
180ASM INTERNATIONAL NV 74,91473M $0.03 %
181McKesson Corp 83,12667.8M $0.03 %
182Capital Group Central Cash Fund 61,198,59661.2M $0.03 %
183Align Technology Inc 275,29948.5M $0.02 %
184PNC Financial Services Group Inc/The 155,25534.6M $0.02 %
185BLACKROCK FEDFUND 29,000,00029M $0.01 %
186MORGAN STANLEY INVST MGT INC - MORGAN STANLEY INSTL LIQUIDITY FUND - GOVT PRTFLO 29,000,00029M $0.01 %
187Cardinal Health, Inc. 118,75622.9M $0.01 %
188Mosaic Co/The 961,18622.4M $0.01 %
189CoStar Group Inc 402,33613.9M $0.01 %
190DREYFUS CASH MANAGEMENT FUNDS - DREYFUS TREASURY AND AGENCY CASH MANAGEMENT 13,600,00013.6M $0.01 %
191FIDELITY INSTITUTIONAL MONEY MARKET FUNDS - GOVERNMENT PORTFOLIO 10,200,00010.2M $0.00 %
192Goldman Sachs Financial Square Government Fund 10,200,00010.2M $0.00 %
193State Street Institutional US Government Money Market Fund 10,200,00010.2M $0.00 %
194INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO 4,275,9094.3M $0.00 %
195US GOVERNMENT MONEY MARKET FUND 3,400,0003.4M $0.00 %

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Sector breakdown

  • Technology 22.9 %
  • Financials 15.3 %
  • Industrials 12.7 %
  • Health care 11.3 %
  • Consumer staples 8.9 %
  • Consumer discretionary 6.8 %
  • Communication 6.5 %
  • Utilities 3.9 %
  • Energy 3.7 %
  • Real estate 2.6 %
  • Materials 2.5 %
  • Unattributed 2.7 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 94.5 %
  • United Kingdom 1.9 %
  • Canada 1.3 %
  • Netherlands 1.2 %
  • Germany 0.5 %
  • Ireland 0.2 %
  • Switzerland 0.2 %
  • Denmark 0.1 %
  • France 0.1 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States179193.3B $94.45 %
2United Kingdom43.9B $1.91 %
3Canada32.8B $1.35 %
4Netherlands32.5B $1.23 %
5Germany21.1B $0.53 %
6Ireland1407.5M $0.20 %
7Switzerland1359.1M $0.18 %
8Denmark1225.4M $0.11 %
9France1106.4M $0.05 %
Cite this page

Titelia. "Holdings of Washington Mutual Investors Fund". https://titelia.com/en/funds/S000009388