Titelia

Inside Washington Mutual Investors Fund

Washington Mutual Investors Fund · 195 declared positions · as of Apr 30, 2026

View the original filing · Net assets 214.6B $ · The ten largest lines weigh 29.5 % of the equity sleeve.

Where the portfolio sits

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

CountryLinesValue (USD)Share
US 179193.3B $94.45 %
GB 43.9B $1.91 %
CA 32.8B $1.35 %
NL 32.5B $1.23 %
DE 21.1B $0.53 %
IE 1407.5M $0.20 %
CH 1359.1M $0.18 %
DK 1225.4M $0.11 %
FR 1106.4M $0.05 %

The positions, line by line

CompanySharesValue (USD)Fund weight
Broadcom Inc 38,529,04916.1B $7.49 %
Microsoft Corp 24,421,16510B $4.64 %
Philip Morris International Inc. 44,802,1737.4B $3.45 %
Apple Inc 19,178,0305.2B $2.42 %
Alphabet Inc 11,239,7864.3B $2.02 %
Welltower Inc 16,900,4043.7B $1.71 %
NVIDIA Corp 17,629,3033.5B $1.64 %
Eli Lilly & Co 3,737,8023.5B $1.63 %
Bank of America Corp 64,040,8823.4B $1.60 %
Marsh & McLennan Cos Inc 20,033,5663.4B $1.57 %
Alphabet Inc 8,705,4303.3B $1.55 %
UnitedHealth Group Inc 8,879,6463.3B $1.53 %
JPMorgan Chase & Co 9,876,2763.1B $1.44 %
RTX Corp 16,621,7242.9B $1.36 %
Meta Platforms Inc 4,745,4662.9B $1.35 %
British American Tobacco PLC 49,252,3672.9B $1.35 %
KLA Corp 1,599,6532.8B $1.30 %
Visa Inc 8,399,7182.8B $1.29 %
CVS Health Corp 31,734,0832.6B $1.23 %
Northrop Grumman Corp 4,549,1152.6B $1.23 %
Amgen Inc 7,238,2382.5B $1.17 %
General Electric Co 8,535,9512.5B $1.15 %
Royal Caribbean Cruises Ltd 9,374,9372.5B $1.15 %
Constellation Energy Corp. 7,760,5012.4B $1.13 %
Caterpillar Inc 2,696,6412.4B $1.12 %
ASML Holding NV 1,624,0992.3B $1.09 %
Deere & Co 3,809,1052.2B $1.05 %
Exxon Mobil Corp 13,527,2502.1B $0.97 %
Truist Financial Corp 40,354,1272.1B $0.97 %
AbbVie Inc 9,627,9432B $0.95 %
Starbucks Corp 18,713,6582B $0.92 %
Mastercard Inc 3,832,1761.9B $0.90 %
ConocoPhillips 13,775,4891.7B $0.81 %
Blackrock Inc 1,557,1151.7B $0.77 %
Air Products and Chemicals Inc 5,464,9851.6B $0.76 %
Keurig Dr Pepper Inc 54,838,6331.6B $0.75 %
Union Pacific Corp 5,830,4381.6B $0.73 %
Public Storage 5,169,2111.6B $0.73 %
Gilead Sciences Inc 11,903,0581.6B $0.73 %
Boeing Co/The 6,439,8891.5B $0.69 %
Abbott Laboratories 16,008,6991.5B $0.68 %
Comcast Corp 52,367,9021.4B $0.66 %
Amazon.com Inc 5,338,4271.4B $0.66 %
Yum! Brands Inc 8,748,2571.4B $0.65 %
Home Depot Inc/The 4,180,9231.4B $0.64 %
Mondelez International Inc 21,728,6201.3B $0.62 %
DR Horton Inc 8,539,2861.3B $0.61 %
Paychex Inc 14,167,2421.3B $0.61 %
EOG Resources Inc 9,123,8021.3B $0.60 %
Wheaton Precious Metals Corp 9,693,6191.2B $0.57 %
International Business Machines Corp. 5,183,6911.2B $0.56 %
Danaher Corp 6,604,0361.2B $0.55 %
Capital One Financial Corp 6,090,9281.2B $0.54 %
Darden Restaurants Inc 5,547,2691.1B $0.52 %
Canadian Natural Resources Ltd 23,174,6141.1B $0.51 %
Sempra 11,543,7861.1B $0.51 %
FirstEnergy Corp 22,845,9151.1B $0.51 %
Southern Co/The 10,888,4421.1B $0.49 %
KKR & Co Inc 9,989,5231B $0.49 %
Coca-Cola Co/The 13,179,5451B $0.48 %
Wells Fargo & Co 11,859,734975.2M $0.45 %
Vertex Pharmaceuticals Inc 2,250,814962M $0.45 %
Delta Air Lines Inc 14,088,617957.9M $0.45 %
Costco Wholesale Corp 943,001956.7M $0.45 %
Intel Corp 10,015,237946.2M $0.44 %
Arthur J Gallagher & Co 4,580,964945.5M $0.44 %
Corteva Inc 11,401,377923.6M $0.43 %
Chevron Corp 4,743,978917.1M $0.43 %
CME Group Inc 3,033,203873M $0.41 %
Progressive Corp/The 4,286,764862.8M $0.40 %
TJX Cos Inc/The 5,489,958860.6M $0.40 %
Apollo Global Management Inc 6,579,345846.9M $0.39 %
Blackstone Inc 6,575,041825.7M $0.38 %
Johnson & Johnson 3,586,787824.4M $0.38 %
Lennox International Inc 1,527,295816.9M $0.38 %
Morgan Stanley 4,283,361816.4M $0.38 %
L3Harris Technologies Inc 2,546,661816.3M $0.38 %
Citizens Financial Group Inc 11,851,810771M $0.36 %
Salesforce Inc 4,249,103750.1M $0.35 %
3M Co 5,107,615748.4M $0.35 %
Altria Group, Inc. 10,171,559739M $0.34 %
Watsco Inc 1,672,366732.2M $0.34 %
Verisk Analytics Inc 3,910,670721.5M $0.34 %
Chubb Ltd 2,119,417693M $0.32 %
S&P Global Inc 1,588,287684.9M $0.32 %
GE Vernova Inc 608,543659.3M $0.31 %
Parker-Hannifin Corp 694,504631.6M $0.29 %
DTE Energy Co 3,868,743586.8M $0.27 %
SAP SE 3,375,772572.2M $0.27 %
Thermo Fisher Scientific Inc 1,193,147571.5M $0.27 %
Simon Property Group Inc 2,774,266565.1M $0.26 %
Linde PLC 1,122,197562.4M $0.26 %
Constellation Brands Inc 3,584,968561.3M $0.26 %
AstraZeneca PLC 2,890,243541.5M $0.25 %
Exelon Corp 11,738,179539.8M $0.25 %
Aon PLC 1,730,623539.3M $0.25 %
NIKE Inc 11,713,179519.6M $0.24 %
Western Digital Corp 1,188,334516.4M $0.24 %
Amphenol Corp 3,427,016504.7M $0.24 %
Applied Materials Inc 1,278,349504.3M $0.24 %
Siemens AG 3,392,244503.6M $0.23 %
Prologis Inc 3,515,373499.3M $0.23 %
Citigroup Inc 3,650,000467.1M $0.22 %
Walt Disney Co/The 4,330,088449.2M $0.21 %
General Motors Co 5,735,437441M $0.21 %
ITT Inc 2,047,999439M $0.20 %
CenterPoint Energy Inc 9,976,107435.5M $0.20 %
AT&T Inc 16,541,419432.2M $0.20 %
TC Energy Corp 6,440,060431M $0.20 %
Merck & Co Inc 3,933,495429.5M $0.20 %
Royal Gold Inc 1,815,713423.8M $0.20 %
Johnson Controls International plc 2,790,814407.5M $0.19 %
Accenture PLC 2,171,773388.1M $0.18 %
Church & Dwight Co Inc 3,935,686382M $0.18 %
TE Connectivity PLC 1,782,732377.3M $0.18 %
Texas Instruments Inc 1,341,713377.1M $0.18 %
Booking Holdings Inc 2,237,475376.7M $0.18 %
Procter & Gamble Co/The 2,544,383374.3M $0.17 %
Waste Connections Inc 2,262,759372.7M $0.17 %
Zimmer Biomet Holdings Inc 4,428,930365.1M $0.17 %
American Express Co 1,121,874362.4M $0.17 %
Nestle SA 3,538,412359.1M $0.17 %
Marriott International Inc/MD 959,200346.9M $0.16 %
Ingersoll Rand Inc 4,307,360344M $0.16 %
Entergy Corp 2,912,451343.4M $0.16 %
Walmart Inc 2,593,505342.2M $0.16 %
Ventas Inc 3,787,657332.8M $0.16 %
Cisco Systems, Inc. 3,447,076315.4M $0.15 %
Texas Roadhouse Inc 1,936,749311.8M $0.15 %
Vail Resorts Inc 2,402,780305.6M $0.14 %
International Paper Co 9,904,027301.3M $0.14 %
American Tower Corp 1,647,083300.9M $0.14 %
Brookfield Asset Management Ltd 6,105,079293.1M $0.14 %
Halliburton Co 6,924,829292.9M $0.14 %
Netflix Inc 3,110,019291.1M $0.14 %
Goldman Sachs Group Inc/The 306,483283.1M $0.13 %
Carlyle Group Inc/The 5,515,753276.2M $0.13 %
BAE Systems PLC 2,396,610267.6M $0.12 %
Public Service Enterprise Group Inc 3,243,509264.9M $0.12 %
ONEOK Inc 2,850,974263.6M $0.12 %
Elevance Health Inc 686,979258.6M $0.12 %
IDEXX Laboratories Inc 454,667255M $0.12 %
Illumina Inc 1,900,000240.8M $0.11 %
Hewlett Packard Enterprise Co 8,000,000230.2M $0.11 %
CSX Corp 5,000,000227.2M $0.11 %
Novo Nordisk A/S 5,338,458225.4M $0.11 %
Tractor Supply Co 6,410,175225M $0.10 %
Atmos Energy Corp 1,174,133223.1M $0.10 %
Equitable Holdings Inc 5,230,896220.7M $0.10 %
KeyCorp 9,883,983218.5M $0.10 %
SLB Ltd 3,750,443213.3M $0.10 %
HEICO Corp 770,068207.9M $0.10 %
Toll Brothers Inc 1,394,857198.3M $0.09 %
Humana Inc 830,534196.4M $0.09 %
RELX PLC 5,363,298196.2M $0.09 %
Equifax Inc 1,071,846186.4M $0.09 %
Fair Isaac Corp 172,615176.9M $0.08 %
Huntington Bancshares Inc/OH 10,441,600175M $0.08 %
Bunge Global SA 1,336,864169.9M $0.08 %
Kraft Heinz Co/The 6,991,915158.4M $0.07 %
Fifth Third Bancorp 3,027,607153.7M $0.07 %
Intercontinental Exchange Inc 875,532138.4M $0.06 %
Waste Management Inc 573,973133.5M $0.06 %
Trane Technologies PLC 248,973122.6M $0.06 %
Adobe Inc 477,181117.4M $0.05 %
LyondellBasell Industries NV 1,495,171111.5M $0.05 %
TotalEnergies SE 1,147,464106.4M $0.05 %
FedEx Corp 262,813106M $0.05 %
Extra Space Storage Inc 731,902104.9M $0.05 %
Baker Hughes Co 1,466,571102.2M $0.05 %
Bristol-Myers Squibb Co 1,681,744101.9M $0.05 %
Rexford Industrial Realty Inc 2,729,52598M $0.05 %
Chipotle Mexican Grill Inc 2,787,98494.8M $0.04 %
Charles Schwab Corp/The 1,009,68092.5M $0.04 %
Sony Group Corp 4,549,51491.4M $0.04 %
Berkshire Hathaway Inc 190,86990.4M $0.04 %
Applied Industrial Technologies Inc 290,91088.9M $0.04 %
HB Fuller Co 1,442,23787.3M $0.04 %
Motorola Solutions Inc 180,37379.2M $0.04 %
ASM INTERNATIONAL NV 74,91473M $0.03 %
McKesson Corp 83,12667.8M $0.03 %
Capital Group Central Cash Fund 61,198,59661.2M $0.03 %
Align Technology Inc 275,29948.5M $0.02 %
PNC Financial Services Group Inc/The 155,25534.6M $0.02 %
BLACKROCK FEDFUND 29,000,00029M $0.01 %
MORGAN STANLEY INVST MGT INC - MORGAN STANLEY INSTL LIQUIDITY FUND - GOVT PRTFLO 29,000,00029M $0.01 %
Cardinal Health, Inc. 118,75622.9M $0.01 %
Mosaic Co/The 961,18622.4M $0.01 %
CoStar Group Inc 402,33613.9M $0.01 %
DREYFUS CASH MANAGEMENT FUNDS - DREYFUS TREASURY AND AGENCY CASH MANAGEMENT 13,600,00013.6M $0.01 %
FIDELITY INSTITUTIONAL MONEY MARKET FUNDS - GOVERNMENT PORTFOLIO 10,200,00010.2M $0.00 %
Goldman Sachs Financial Square Government Fund 10,200,00010.2M $0.00 %
State Street Institutional US Government Money Market Fund 10,200,00010.2M $0.00 %
INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO 4,275,9094.3M $0.00 %
US GOVERNMENT MONEY MARKET FUND 3,400,0003.4M $0.00 %