Titelia

Holdings of Washington Mutual Investors Fund

AMERICAN FUNDS INSURANCE SERIES · 185 declared positions · as of Mar 31, 2026

Original filing · Net assets 11.4B $ · Ten largest lines: 27.7 % of the equity sleeve

Country breakdown

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US 16910.3B $94.21 %
GB 4223.3M $2.05 %
CA 3160.7M $1.47 %
NL 3136.5M $1.25 %
DE 253.6M $0.49 %
IE 120.7M $0.19 %
CH 119.9M $0.18 %
DK 111.1M $0.10 %
FR 16M $0.05 %

Sector breakdown is published in no regulatory filing: neither Form N-PORT nor the LEI reference data carries an activity code. It is absent rather than estimated.

Positions

CompanySharesValue (USD)Weight
Broadcom Inc 2,203,182681.9M $5.98 %
Microsoft Corp 1,360,136503.5M $4.42 %
Philip Morris International Inc. 2,549,614421.6M $3.70 %
Apple Inc 1,094,369277.7M $2.44 %
Marsh & McLennan Cos Inc 1,143,292198.3M $1.74 %
Eli Lilly & Co 214,924197.7M $1.73 %
Welltower Inc 964,448190.7M $1.67 %
RTX Corp 958,483184.9M $1.62 %
Northrop Grumman Corp 268,232183M $1.61 %
Amgen Inc 514,170180.9M $1.59 %
Alphabet Inc 621,280178.7M $1.57 %
NVIDIA Corp 1,004,524175.2M $1.54 %
Bank of America Corp 3,463,198168.8M $1.48 %
JPMorgan Chase & Co 564,061165.9M $1.46 %
British American Tobacco PLC 2,812,003164.4M $1.44 %
Meta Platforms Inc 265,340151.8M $1.33 %
Royal Caribbean Cruises Ltd 533,820146.9M $1.29 %
Alphabet Inc 508,057145.7M $1.28 %
UnitedHealth Group Inc 537,911145.6M $1.28 %
Visa Inc 477,861144.4M $1.27 %
KLA Corp 98,036144.3M $1.27 %
General Electric Co 486,566138.1M $1.21 %
CVS Health Corp 1,806,717129.8M $1.14 %
Deere & Co 226,087127.4M $1.12 %
ASML Holding NV 95,504126.1M $1.11 %
Exxon Mobil Corp 734,042124.5M $1.09 %
AbbVie Inc 549,232119.5M $1.05 %
Constellation Energy Corp. 398,548111.3M $0.98 %
Caterpillar Inc 154,056109.1M $0.96 %
Mastercard Inc 217,605108.7M $0.95 %
ConocoPhillips 802,414105.9M $0.93 %
Truist Financial Corp 2,294,204105.5M $0.93 %
Comcast Corp 3,543,129101.7M $0.89 %
Starbucks Corp 1,065,38995.4M $0.84 %
Gilead Sciences Inc 678,61094.6M $0.83 %
Abbott Laboratories 911,84193.6M $0.82 %
Union Pacific Corp 377,33491.5M $0.80 %
Air Products and Chemicals Inc 312,69190.8M $0.80 %
Blackrock Inc 88,71185.3M $0.75 %
Home Depot Inc/The 250,05782.2M $0.72 %
Paychex Inc 878,10680.9M $0.71 %
Mondelez International Inc 1,359,14478.3M $0.69 %
Yum! Brands Inc 501,01477.9M $0.68 %
Keurig Dr Pepper Inc 2,905,85876.5M $0.67 %
International Business Machines Corp. 314,41676.2M $0.67 %
EOG Resources Inc 520,61675.3M $0.66 %
L3Harris Technologies Inc 217,27875M $0.66 %
Boeing Co/The 368,57473.4M $0.64 %
Wheaton Precious Metals Corp 553,85572.6M $0.64 %
Capital One Financial Corp 383,00369.9M $0.61 %
Sempra 690,24467.1M $0.59 %
DR Horton Inc 487,58766.9M $0.59 %
FirstEnergy Corp 1,299,18565.8M $0.58 %
Canadian Natural Resources Ltd 1,321,94364.4M $0.57 %
Darden Restaurants Inc 317,93862.3M $0.55 %
Amazon.com Inc 295,12461.5M $0.54 %
Southern Co/The 621,12460M $0.53 %
Public Storage 216,47358.6M $0.51 %
Vertex Pharmaceuticals Inc 128,94057.6M $0.51 %
Coca-Cola Co/The 751,24657.1M $0.50 %
Johnson & Johnson 232,30956.8M $0.50 %
Arthur J Gallagher & Co 262,02756.7M $0.50 %
Chevron Corp 266,74555.2M $0.48 %
Danaher Corp 286,32354.3M $0.48 %
Wells Fargo & Co 675,10053.7M $0.47 %
Delta Air Lines Inc 807,32853.7M $0.47 %
KKR & Co Inc 564,48152.2M $0.46 %
CME Group Inc 172,99251.1M $0.45 %
TJX Cos Inc/The 316,20050.5M $0.44 %
Costco Wholesale Corp 50,30750.1M $0.44 %
Verisk Analytics Inc 257,97749M $0.43 %
Progressive Corp/The 246,17848.8M $0.43 %
Corteva Inc 561,35347M $0.41 %
Salesforce Inc 242,73445.3M $0.40 %
3M Co 303,14944M $0.39 %
Blackstone Inc 373,92043M $0.38 %
Morgan Stanley 258,39942.5M $0.37 %
Thermo Fisher Scientific Inc 84,88741.7M $0.37 %
Apollo Global Management Inc 372,89341.5M $0.36 %
Lennox International Inc 89,40641.5M $0.36 %
Citizens Financial Group Inc 678,98240.7M $0.36 %
Constellation Brands Inc 261,86639.3M $0.34 %
Chubb Ltd 120,44639.3M $0.34 %
Parker-Hannifin Corp 43,44238.9M $0.34 %
S&P Global Inc 90,39438.4M $0.34 %
Altria Group, Inc. 579,91738.3M $0.34 %
International Paper Co 981,71935M $0.31 %
Watsco Inc 95,38134.7M $0.30 %
AstraZeneca PLC 166,08232.8M $0.29 %
DTE Energy Co 221,09632.3M $0.28 %
Aon PLC 98,82431.9M $0.28 %
Linde PLC 63,82531.6M $0.28 %
GE Vernova Inc 34,79330.4M $0.27 %
SAP SE 176,92030.3M $0.27 %
Simon Property Group Inc 158,60529.6M $0.26 %
Exelon Corp 584,98528.7M $0.25 %
NIKE Inc 537,36728.4M $0.25 %
AT&T Inc 949,16327.5M $0.24 %
Intel Corp 611,67427M $0.24 %
Prologis Inc 200,49626.5M $0.23 %
Royal Gold Inc 102,97426.2M $0.23 %
Applied Materials Inc 73,43425.1M $0.22 %
Amphenol Corp 197,40324.9M $0.22 %
Accenture PLC 124,72124.7M $0.22 %
CenterPoint Energy Inc 572,60424.7M $0.22 %
Walt Disney Co/The 250,03124.1M $0.21 %
TC Energy Corp 378,99423.7M $0.21 %
Citigroup Inc 207,49623.5M $0.21 %
Siemens AG 191,55123.3M $0.20 %
Zimmer Biomet Holdings Inc 250,67522.7M $0.20 %
General Motors Co 294,31321.9M $0.19 %
Booking Holdings Inc 5,12921.6M $0.19 %
TE Connectivity PLC 102,83621.5M $0.19 %
Church & Dwight Co Inc 227,49221.2M $0.19 %
Waste Connections Inc 130,48821.2M $0.19 %
Johnson Controls International plc 157,83520.7M $0.18 %
Texas Instruments Inc 105,86620.6M $0.18 %
Nestle SA 200,45619.9M $0.17 %
Procter & Gamble Co/The 136,22119.7M $0.17 %
American Express Co 64,67719.6M $0.17 %
Marriott International Inc/MD 59,24919.4M $0.17 %
Ingersoll Rand Inc 240,67419.3M $0.17 %
Entergy Corp 166,90218.8M $0.16 %
Walmart Inc 150,44118.7M $0.16 %
Texas Roadhouse Inc 111,52518.4M $0.16 %
Ventas Inc 219,29217.9M $0.16 %
Vail Resorts Inc 136,35217.5M $0.15 %
Netflix Inc 177,87217.1M $0.15 %
American Tower Corp 95,75516.5M $0.15 %
Tractor Supply Co 362,59616.4M $0.14 %
Western Digital Corp 59,40516.1M $0.14 %
BAE Systems PLC 136,40915.9M $0.14 %
INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO 15,755,18415.8M $0.14 %
Halliburton Co 398,69415.5M $0.14 %
Brookfield Asset Management Ltd 345,78615.4M $0.13 %
Carlyle Group Inc/The 317,35315.4M $0.13 %
Goldman Sachs Group Inc/The 17,73715M $0.13 %
Public Service Enterprise Group Inc 184,23114.9M $0.13 %
IDEXX Laboratories Inc 26,04914.6M $0.13 %
Illumina Inc 110,72113.6M $0.12 %
Atmos Energy Corp 67,23412.4M $0.11 %
HEICO Corp 44,48612.2M $0.11 %
CSX Corp 290,52811.9M $0.10 %
Elevance Health Inc 39,24411.5M $0.10 %
Novo Nordisk A/S 303,34311.1M $0.10 %
Equitable Holdings Inc 300,39411.1M $0.10 %
SLB Ltd 216,82311.1M $0.10 %
Toll Brothers Inc 81,23611.1M $0.10 %
KeyCorp 548,70411M $0.10 %
Equifax Inc 60,82811M $0.10 %
Hewlett Packard Enterprise Co 457,61910.9M $0.10 %
Fair Isaac Corp 10,03010.7M $0.09 %
RELX PLC 307,26910.2M $0.09 %
Bunge Global SA 74,0929.4M $0.08 %
Huntington Bancshares Inc/OH 598,5009.4M $0.08 %
Kraft Heinz Co/The 390,3668.8M $0.08 %
Fifth Third Bancorp 178,3068.3M $0.07 %
Humana Inc 47,5378.2M $0.07 %
Waste Management Inc 33,4387.7M $0.07 %
Intercontinental Exchange Inc 48,4807.6M $0.07 %
HB Fuller Co 114,8907.1M $0.06 %
LyondellBasell Industries NV 85,4056.9M $0.06 %
Adobe Inc 28,0266.8M $0.06 %
TotalEnergies SE 65,6226M $0.05 %
Trane Technologies PLC 14,2655.9M $0.05 %
Bristol-Myers Squibb Co 96,1485.8M $0.05 %
Sony Group Corp 268,8395.6M $0.05 %
Extra Space Storage Inc 42,2745.5M $0.05 %
Charles Schwab Corp/The 57,7455.4M $0.05 %
Chipotle Mexican Grill Inc 165,6375.3M $0.05 %
Estee Lauder Cos Inc/The 73,4215.3M $0.05 %
Berkshire Hathaway Inc 10,9765.3M $0.05 %
FedEx Corp 14,3865.1M $0.05 %
Rexford Industrial Realty Inc 156,1355.1M $0.04 %
Baker Hughes Co 82,2485M $0.04 %
Applied Industrial Technologies Inc 16,9774.5M $0.04 %
Motorola Solutions Inc 9,8954.3M $0.04 %
McKesson Corp 4,7524.1M $0.04 %
ITT Inc 20,8624M $0.03 %
ASM INTERNATIONAL NV 4,5613.4M $0.03 %
Align Technology Inc 15,7452.7M $0.02 %
Oracle Corp 17,4632.6M $0.02 %
PNC Financial Services Group Inc/The 8,3471.7M $0.02 %
Cardinal Health, Inc. 6,7931.4M $0.01 %
CoStar Group Inc 23,002927.9K $0.01 %