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Institutional Investment Manager
Capital Research Global Investors
Capital Research Global Investors (CIK: 0001422848) incorporated in Delaware, located at 333 South Hope Street, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 435 holdings with a total value of $285,992,037,000.
#
Name
Shares
Value ($)
%
Options
Notes
401 MICROSOFT CORP 45,205,448 1,885,067,000 0.66%
402 CROWN CASTLE INTL CORP 26,238,350 1,948,460,000 0.68%
403 GENERAL ELECTRIC CO 75,717,500 1,989,856,000 0.70%
404 ST JUDE MED INC 29,909,171 2,071,210,000 0.72%
405 LOCKHEED MARTIN CORP 12,984,360 2,086,976,000 0.73%
406 STRYKER CORP 25,750,442 2,171,277,000 0.76%
407 PRAXAIR INC 16,521,012 2,194,651,000 0.77%
408 UNITEDHEALTH GROUP INC 28,488,790 2,328,959,000 0.81%
409 BAIDU INC 12,774,600 2,386,423,000 0.83%
410 SCHLUMBERGER LTD 20,975,399 2,474,048,000 0.87%
411 COMCAST CORP NEW 47,361,600 2,542,371,000 0.89%
412 EXELON CORP 70,718,350 2,579,805,000 0.90%
413 BAKER HUGHES INC 34,714,793 2,584,516,000 0.90%
414 BIOGEN INC 8,198,550 2,585,085,000 0.90%
415 LUMEN TECHNOLOGIES INC 72,207,872 2,613,925,000 0.91%
416 UNION PAC CORP 26,429,312 2,636,324,000 0.92%
417 NETFLIX INC 6,236,733 2,747,905,000 0.96%
418 CSX CORP 89,196,070 2,748,131,000 0.96%
419 JOHNSON CTLS INTL PLC 56,223,567 2,807,243,000 0.98%
420 ACCENTURE PLC CLS A USD0.0000225 34,933,997 2,824,064,000 0.99%
421 HOME DEPOT INC 38,137,789 3,087,635,000 1.08%
422 EOG RES INC 31,112,724 3,635,833,000 1.27%
423 ALEXION PHARMACEUTIC 24,230,065 3,785,948,000 1.32%
424 ISHARES NASDAQ BIOTECHNOLOGY ETF 6,638,121 3,881,110,000 1.36%
425 GENERAL DYNAMICS CORP 36,500,458 4,254,128,000 1.49%
426 APPLE INC 48,589,205 4,515,395,000 1.58%
427 TEXAS INSTRS INC 113,524,361 5,425,329,000 1.90%
428 ABBVIE INC 102,888,589 5,807,032,000 2.03%
429 AMAZON COM INC 18,882,590 6,132,688,000 2.14%
430 ORACLE CORP 156,679,884 6,350,236,000 2.22%
431 ALTRIA GROUP INC 151,813,928 6,367,076,000 2.23%
432 PHILIP MORRIS INTL INC 92,341,345 7,785,299,000 2.72%
433 VERIZON COMMUNICATIONS INC 161,213,942 7,888,199,000 2.76%
434 AMGEN INC 92,734,872 10,977,027,000 3.84%
435 GILEAD SCIENCES INC 137,780,654 11,423,394,000 3.99%
Page 9 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000732812-14-000036, filed 2014.08.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.