C000023925 Holdings — Blue Chip Income and Growth Fund

All 197 reported holdings of Blue Chip Income and Growth Fund (C000023925) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Broadcom, Inc.6.41%$792.84M
Microsoft Corp.3.93%$486.38M
Philip Morris International, Inc.3.67%$453.98M
Apple, Inc.3.13%$386.48M
Capital Group Central Cash Fund2.60%$321.02M
Kla Corp.2.53%$312.72M
Eli Lilly And Co.2.05%$253.38M
Welltower, Inc.1.75%$216.71M
Alphabet, Inc.1.74%$215.55M
Unitedhealth Group, Inc.1.68%$207.97M
Bank Of America Corp.1.67%$206.31M
Asml Holding NV1.55%$191.99M
Marsh & Mclennan Companies, Inc.1.55%$191.36M
General Electric Co. Aka Ge Aerospace1.53%$188.80M
Cvs Health Corp.1.50%$185.36M
Rtx Corp.1.44%$177.82M
Royal Caribbean Cruises Ltd.1.40%$173.01M
JPMorgan Chase & Co.1.39%$172.09M
British American Tobacco PLC1.39%$172.01M
Visa, Inc.1.32%$162.58M
NVIDIA Corp.1.28%$158.02M
Alphabet, Inc.1.21%$149.42M
Deere & Co.1.20%$148.61M
Meta Platforms, Inc.1.14%$140.55M
Abbvie, Inc.1.11%$136.72M
Caterpillar, Inc.1.09%$134.82M
Northrop Grumman Corp.1.06%$130.65M
Amgen, Inc.1.04%$128.12M
Exxon Mobil Corp.0.93%$115.01M
Truist Financial Corp.0.92%$113.63M
Mastercard, Inc.0.91%$112.64M
Keurig Dr Pepper, Inc.0.90%$111.73M
Constellation Energy Corp.0.84%$103.80M
Public Storage0.75%$93.11M
Abbott Laboratories0.74%$91.83M
Air Products & Chemicals, Inc.0.73%$90.53M
Union Pacific Corp.0.72%$88.93M
Starbucks Corp.0.71%$87.92M
Gilead Sciences, Inc.0.69%$85.19M
Blackrock, Inc.0.68%$84.59M
Yum! Brands, Inc.0.64%$79.48M
Conocophillips0.64%$78.98M
Dr Horton, Inc.0.64%$78.73M
Boeing Co/the0.64%$78.57M
Coca-Cola Co.0.62%$76.81M
Paychex, Inc.0.61%$75.47M
Delta Air Lines, Inc.0.60%$74.72M
Danaher Corp.0.59%$73.24M
Amazon.com, Inc.0.59%$72.86M
International Business Machines Corp.0.58%$71.78M
Home Depot, Inc.0.58%$71.42M
Mondelez International, Inc.0.58%$71.19M
Morgan Stanley0.56%$68.61M
Arthur J Gallagher & Co.0.55%$68.59M
Eog Resources, Inc.0.54%$66.98M
Johnson & Johnson0.53%$65.96M
Darden Restaurants, Inc.0.52%$64.80M
Amphenol Corp.0.52%$64.35M
Comcast Corp.0.51%$63.48M
Vertex Pharmaceuticals, Inc.0.51%$63.30M
Wheaton Precious Metals Corp.0.50%$61.64M
Firstenergy Corp.0.49%$61.17M
Merck & Co., Inc.0.48%$59.75M
Intel Corp.0.48%$59.01M
Southern Co/the0.48%$58.83M
Sempra0.47%$58.37M
Wells Fargo & Co.0.45%$55.59M
Corteva, Inc.0.44%$54.22M
Chevron Corp.0.43%$53.47M
Kkr & Co., Inc.0.42%$51.88M
Ge Vernova, Inc.0.41%$50.92M
Costco Wholesale Corp.0.40%$49.80M
Applied Materials, Inc.0.40%$49.35M
Western Digital Corp.0.40%$49.29M
Alphabet, Inc.0.39%$48.63M
Canadian Natural Resources Ltd.0.39%$48.35M
Lennox International, Inc.0.39%$48.10M
Apollo Global Management, Inc.0.36%$44.12M
Blackstone, Inc.0.36%$44.00M
3m Co.0.34%$41.74M
Altria Group, Inc.0.33%$41.08M
Chubb Ltd.0.33%$41.04M
Itt, Inc.0.33%$40.21M
Watsco, Inc.0.32%$39.75M
L3harris Technologies, Inc.0.32%$39.10M
Capital One Financial Corp.0.32%$39.02M
Parker-Hannifin Corp.0.31%$38.45M
Alphabet, Inc.0.31%$37.71M
S&P Global, Inc.0.30%$36.70M
Centerpoint Energy, Inc.0.30%$36.62M
Procter & Gamble Co.0.29%$36.07M
Citizens Financial Group, Inc.0.29%$36.00M
Verisk Analytics, Inc.0.28%$35.14M
Simon Property Group, Inc.0.28%$34.80M
Thermo Fisher Scientific, Inc.0.27%$33.83M
Progressive Corp. (the)0.27%$33.27M
Dte Energy Co.0.27%$33.06M
Tjx Companiess Inc/the0.27%$32.81M
Linde Public Limited Company (new)0.26%$32.45M
Aon PLC0.26%$32.38M
Sap SE0.26%$31.76M
Nike, Inc.0.25%$31.13M
Astrazeneca PLC0.25%$30.97M
Siemens AG0.25%$30.82M
Kkr & Co., Inc.0.25%$30.65M
Exelon Corp.0.24%$29.88M
Cme Group, Inc.0.24%$29.45M
Citigroup, Inc.0.23%$29.04M
Constellation Brands, Inc.0.23%$27.96M
Prologis, Inc.0.22%$26.63M
General Motors Co.0.21%$26.21M
Cisco Systems, Inc.0.20%$24.59M
Zimmer Biomet Holdings, Inc.0.20%$24.17M
Tractor Supply Co.0.19%$24.06M
Tc Energy Corp.0.19%$23.89M
Berkshire Hathaway, Inc.0.19%$23.88M
Walt Disney Co.0.19%$23.48M
Johnson Controls International PLC0.19%$23.06M
Booking Holdings, Inc.0.18%$22.83M
Texas Instruments, Inc.0.18%$22.46M
Corning, Inc.0.17%$21.54M
Church & Dwight Co., Inc.0.17%$21.46M
Texas Roadhouse, Inc.0.17%$21.45M
International Paper Co.0.17%$21.42M
Waste Connections, Inc.0.17%$21.18M
Nestle SA0.17%$20.58M
Royal Gold, Inc.0.17%$20.55M
Hewlett Packard Enterprise Co.0.16%$20.13M
Ingersoll-Rand, Inc.0.16%$19.71M
At&t, Inc.0.16%$19.25M
Humana, Inc.0.15%$18.88M
Ventas, Inc.0.15%$18.79M
Illumina, Inc.0.15%$18.62M
Entergy Corp.0.15%$18.62M
Vail Resorts, Inc.0.15%$18.56M
Marriott International, Inc.0.15%$18.21M
Walmart, Inc.0.14%$17.08M
Salesforce, Inc.0.13%$16.38M
Oneok, Inc.0.13%$16.09M
Goldman Sachs Group, Inc.0.13%$15.64M
Brookfield Asset Management Ltd.0.13%$15.51M
Heico Corp.0.12%$15.20M
Elevance Health, Inc.0.12%$15.18M
American Tower Corp.0.12%$15.15M
Novo Nordisk As0.12%$14.54M
Bae Systems PLC0.11%$13.36M
Csx Corp.0.11%$13.17M
Halliburton Co.0.11%$13.04M
Netflix, Inc.0.10%$12.70M
Toll Brothers, Inc.0.10%$12.68M
Keycorp0.10%$12.65M
Boeing Co/the0.10%$12.27M
Cms Energy Corp.0.10%$12.22M
Te Connectivity PLC0.10%$11.99M
Atmos Energy Corp.0.09%$11.58M
Fair Isaac Corp.0.09%$11.39M
Southern Co/the0.09%$11.22M
Equitable Holdings, Inc.0.09%$10.77M
Huntington Bancshares, Inc.0.09%$10.61M
Slb Ltd.0.08%$10.08M
Eqt Corp.0.08%$10.07M
Relx PLC0.08%$9.73M
American Express Co.0.08%$9.67M
Equifax, Inc.0.08%$9.65M
Fifth Third Bancorp0.08%$9.36M
Kraft Heinz Co/the0.07%$9.22M
Bhp Group Ltd.0.07%$9.16M
Accenture PLC0.07%$8.46M
Bunge Global SA0.06%$7.91M
Apollo Global Management, Inc.0.06%$7.11M
Trane Technologies PLC0.06%$7.01M
Extra Space Storage, Inc.0.05%$6.14M
Intercontinental Exchange, Inc.0.05%$5.97M
Applied Industrial Technologies, Inc.0.05%$5.74M
Bristol-Myers Squibb Co.0.04%$5.54M
Sony Group Corp.0.04%$5.39M
Charles Schwab Corp/the0.04%$5.33M
Rexford Industrial Realty, Inc.0.04%$5.23M
Waste Management, Inc.0.04%$5.16M
Totalenergies SE0.04%$5.10M
Chipotle Mexican Grill, Inc.0.04%$5.06M
Asm International NV0.04%$4.56M
Fedex Corp.0.04%$4.50M
Lyondellbasell Industries NV0.04%$4.50M
Motorola Solutions, Inc.0.03%$4.11M
Mckesson Corp.0.03%$3.59M
Teradyne, Inc.0.03%$3.14M
Align Technology, Inc.0.03%$3.11M
International Flavors & Fragrances, Inc.0.02%$2.23M
Pnc Financial Services Group, Inc.0.02%$2.06M
Mosaic Company (the)0.01%$1.81M
Costar Group, Inc.0.01%$1.59M
Basf SE0.01%$1.31M
Cardinal Health, Inc.0.01%$897.50K
Genuine Parts Co.0.01%$732.54K
Hb Fuller Co.0.00%$559.58K
Versant Media Group, Inc.0.00%$0

C000023925 overview: performance, fees, allocation and SEC filings