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Holdings of American Funds Corporate Bond Fund

ISIN US02629H8108

American Funds Corporate Bond Fund · Compare with another fund · Report an error

Net assets
2B $
Bond lines
422 from 103 companies

The bonds it holds

103 companies, 422 bond lines; the 100 largest follow. Only issuers whose shares this site already serves appear here.

RankCompanyBond linesValueWeight
1Morgan Stanley954.2M $2.73 %
2Bank of America Corp1152.4M $2.64 %
3JPMorgan Chase & Co1251M $2.57 %
4Amgen Inc1248.5M $2.44 %
5Oracle Corp1341.8M $2.10 %
6AbbVie Inc737.5M $1.89 %
7Philip Morris International Inc.1335.9M $1.81 %
8UnitedHealth Group Inc1131.9M $1.61 %
9Goldman Sachs Group Inc/The930.2M $1.52 %
10AT&T Inc928M $1.41 %
11Verizon Communications Inc1427.4M $1.38 %
12CVS Health Corp1226.2M $1.32 %
13Home Depot Inc/The723.9M $1.21 %
14Wells Fargo & Co1023.5M $1.19 %
15Boeing Co/The1221.7M $1.09 %
16Marsh & McLennan Cos Inc621M $1.06 %
17Abbott Laboratories219.9M $1.00 %
18Broadcom Inc1018.7M $0.94 %
19Amphenol Corp418.2M $0.92 %
20Citigroup Inc617.9M $0.90 %
21American Express Co617.4M $0.88 %
22Eli Lilly & Co617.1M $0.86 %
23HSBC Holdings PLC616M $0.81 %
24Bristol-Myers Squibb Co515.1M $0.76 %
25Johnson & Johnson414.8M $0.74 %
26Amazon.com Inc414.8M $0.74 %
27PNC Financial Services Group Inc/The814.1M $0.71 %
28Gilead Sciences Inc413.8M $0.70 %
29Baxter International Inc413.8M $0.70 %
30Intel Corp313.2M $0.67 %
31Norfolk Southern Corp512.5M $0.63 %
32Synopsys Inc311.7M $0.59 %
33CSX Corp811.5M $0.58 %
34BAE Systems PLC111.3M $0.57 %
35Brown & Brown Inc411.3M $0.57 %
36Royal Caribbean Cruises Ltd211M $0.55 %
37Comcast Corp610.7M $0.54 %
38GE Vernova Inc310.4M $0.53 %
39Thermo Fisher Scientific Inc410.1M $0.51 %
40Alphabet Inc410M $0.50 %
41Meta Platforms Inc510M $0.50 %
42Arthur J Gallagher & Co39.5M $0.48 %
43Constellation Brands Inc99.5M $0.48 %
44Royal Bank of Canada39.4M $0.47 %
45Orange SA39.3M $0.47 %
46Edison International49.1M $0.46 %
47Starbucks Corp39.1M $0.46 %
48Humana Inc48.6M $0.43 %
49Sherwin-Williams Co/The28.4M $0.42 %
50Microchip Technology Inc28.3M $0.42 %
51Union Pacific Corp78.2M $0.41 %
52General Electric Co27.8M $0.39 %
53RTX Corp97.8M $0.39 %
54Bank of New York Mellon Corp/The27.7M $0.39 %
55Cigna Group/The26.3M $0.32 %
56Bank of Montreal16M $0.30 %
57Mastercard Inc46M $0.30 %
58Northrop Grumman Corp15.6M $0.28 %
59American International Group Inc35.5M $0.28 %
60Elevance Health Inc55.1M $0.26 %
61Toyota Motor Corp.14.8M $0.24 %
62UBS Group AG44.8M $0.24 %
63Exxon Mobil Corp24.5M $0.23 %
64Sumitomo Mitsui Financial Group Inc14.3M $0.22 %
65Capital One Financial Corp34.3M $0.22 %
66Toronto-Dominion Bank/The24.1M $0.21 %
67Marriott International Inc/MD14M $0.20 %
68Mondelez International Inc24M $0.20 %
69US Bancorp33.8M $0.19 %
70Truist Financial Corp13.8M $0.19 %
71Coty Inc13.7M $0.19 %
72Canadian National Railway Co13.7M $0.19 %
73Intesa Sanpaolo SpA23.3M $0.17 %
74Stryker Corp13.2M $0.16 %
75AIB Group PLC13.2M $0.16 %
76EOG Resources Inc43.2M $0.16 %
77Visa Inc13.1M $0.16 %
78Travelers Cos Inc/The23.1M $0.15 %
79FirstEnergy Corp33M $0.15 %
80Crown Castle Inc12.6M $0.13 %
81Mitsubishi UFJ Financial Group Inc12.5M $0.13 %
82MetLife Inc42.5M $0.13 %
83Eversource Energy22.3M $0.12 %
84McDonald's Corp.22.3M $0.11 %
85Waste Management Inc22.2M $0.11 %
86Centene Corp12.2M $0.11 %
87Cencora Inc21.8M $0.09 %
88Intercontinental Exchange Inc11.7M $0.09 %
89L3Harris Technologies Inc11.5M $0.08 %
90Corebridge Financial Inc11.4M $0.07 %
91Keurig Dr Pepper Inc11.4M $0.07 %
92Saudi Arabian Oil Co11.1M $0.06 %
93Howmet Aerospace Inc11M $0.05 %
94Walmart Inc1999.9K $0.05 %
95Bank of Ireland Group PLC1790.9K $0.04 %
96General Motors Co1734.8K $0.04 %
97NatWest Group PLC2709.8K $0.04 %
98Walt Disney Co/The1701.6K $0.04 %
99Xcel Energy Inc2488.9K $0.02 %
100Carrier Global Corp1477.3K $0.02 %
Cite this page

Titelia. "Holdings of American Funds Corporate Bond Fund". https://titelia.com/en/funds/S000039110