FWMMX Holdings — Washington Mutual Investors Fund

All 200 reported holdings of Washington Mutual Investors Fund (FWMMX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Broadcom, Inc.7.49%$16.08B
Microsoft Corp.4.64%$9.96B
Philip Morris International, Inc.3.45%$7.40B
Capital Group Central Cash Fund3.36%$7.20B
Apple, Inc.2.42%$5.20B
Alphabet, Inc.2.02%$4.33B
Welltower, Inc.1.71%$3.67B
NVIDIA Corp.1.64%$3.52B
Eli Lilly And Co.1.63%$3.49B
Bank Of America Corp.1.60%$3.42B
Marsh & Mclennan Companies, Inc.1.57%$3.36B
Alphabet, Inc.1.55%$3.32B
Unitedhealth Group, Inc.1.53%$3.29B
JPMorgan Chase & Co.1.44%$3.09B
Rtx Corp.1.36%$2.93B
Meta Platforms, Inc.1.35%$2.90B
British American Tobacco PLC1.35%$2.90B
Kla Corp.1.30%$2.80B
Visa, Inc.1.29%$2.77B
Cvs Health Corp.1.23%$2.64B
Northrop Grumman Corp.1.23%$2.64B
Amgen, Inc.1.17%$2.51B
General Electric Co. Aka Ge Aerospace1.15%$2.47B
Royal Caribbean Cruises Ltd.1.15%$2.47B
Constellation Energy Corp.1.13%$2.43B
Caterpillar, Inc.1.12%$2.40B
Asml Holding NV1.09%$2.34B
Deere & Co.1.05%$2.25B
Exxon Mobil Corp.0.97%$2.09B
Truist Financial Corp.0.97%$2.08B
Abbvie, Inc.0.95%$2.03B
Starbucks Corp.0.92%$1.97B
Mastercard, Inc.0.90%$1.93B
Conocophillips0.81%$1.73B
Blackrock, Inc.0.77%$1.66B
Air Products & Chemicals, Inc.0.76%$1.64B
Keurig Dr Pepper, Inc.0.75%$1.61B
Union Pacific Corp.0.73%$1.57B
Public Storage0.73%$1.56B
Gilead Sciences, Inc.0.73%$1.56B
Boeing Co/the0.69%$1.47B
Abbott Laboratories0.68%$1.45B
Comcast Corp.0.66%$1.42B
Amazon.com, Inc.0.66%$1.42B
Yum! Brands, Inc.0.65%$1.40B
Home Depot, Inc.0.64%$1.37B
Mondelez International, Inc.0.62%$1.34B
Dr Horton, Inc.0.61%$1.31B
Paychex, Inc.0.61%$1.31B
Eog Resources, Inc.0.60%$1.28B
Wheaton Precious Metals Corp.0.57%$1.23B
International Business Machines Corp.0.56%$1.20B
Danaher Corp.0.55%$1.18B
Capital One Financial Corp.0.54%$1.17B
Darden Restaurants, Inc.0.52%$1.11B
Canadian Natural Resources Ltd.0.51%$1.11B
Sempra0.51%$1.10B
Firstenergy Corp.0.51%$1.09B
Southern Co/the0.49%$1.05B
Kkr & Co., Inc.0.49%$1.04B
Coca-Cola Co.0.48%$1.04B
Wells Fargo & Co.0.45%$975.23M
Vertex Pharmaceuticals, Inc.0.45%$961.95M
Delta Air Lines, Inc.0.45%$957.89M
Costco Wholesale Corp.0.45%$956.70M
Intel Corp.0.44%$946.24M
Arthur J Gallagher & Co.0.44%$945.51M
Corteva, Inc.0.43%$923.63M
Chevron Corp.0.43%$917.06M
Cme Group, Inc.0.41%$873.02M
Progressive Corp. (the)0.40%$862.84M
Tjx Companiess Inc/the0.40%$860.55M
Apollo Global Management, Inc.0.39%$846.89M
Blackstone, Inc.0.38%$825.69M
Johnson & Johnson0.38%$824.42M
Lennox International, Inc.0.38%$816.93M
Morgan Stanley0.38%$816.37M
L3harris Technologies, Inc.0.38%$816.33M
Boeing Co/the0.36%$774.72M
Citizens Financial Group, Inc.0.36%$770.96M
Salesforce, Inc.0.35%$750.09M
3m Co.0.35%$748.37M
Altria Group, Inc.0.34%$738.96M
Watsco, Inc.0.34%$732.23M
Verisk Analytics, Inc.0.34%$721.48M
Chubb Ltd.0.32%$693.05M
S&P Global, Inc.0.32%$684.92M
Ge Vernova, Inc.0.31%$659.33M
Parker-Hannifin Corp.0.29%$631.60M
Kkr & Co., Inc.0.27%$589.14M
Dte Energy Co.0.27%$586.85M
Sap SE0.27%$572.16M
Thermo Fisher Scientific, Inc.0.27%$571.47M
Simon Property Group, Inc.0.26%$565.15M
Linde Public Limited Company (new)0.26%$562.38M
Constellation Brands, Inc.0.26%$561.33M
Astrazeneca PLC0.25%$541.54M
Exelon Corp.0.25%$539.84M
Aon PLC0.25%$539.35M
Nike, Inc.0.24%$519.60M
Western Digital Corp.0.24%$516.35M
Amphenol Corp.0.24%$504.70M
Applied Materials, Inc.0.23%$504.30M
Siemens AG0.23%$503.65M
Prologis, Inc.0.23%$499.25M
Citigroup, Inc.0.22%$467.13M
Walt Disney Co.0.21%$449.25M
General Motors Co.0.21%$441.00M
Itt, Inc.0.20%$438.97M
Centerpoint Energy, Inc.0.20%$435.46M
At&t, Inc.0.20%$432.23M
Tc Energy Corp.0.20%$431.03M
Merck & Co., Inc.0.20%$429.46M
Royal Gold, Inc.0.20%$423.75M
Johnson Controls International PLC0.19%$407.54M
Accenture PLC0.18%$388.12M
Church & Dwight Co., Inc.0.18%$382.00M
Te Connectivity PLC0.18%$377.33M
Texas Instruments, Inc.0.18%$377.13M
Booking Holdings, Inc.0.18%$376.70M
Procter & Gamble Co.0.17%$374.25M
Waste Connections, Inc.0.17%$372.72M
Zimmer Biomet Holdings, Inc.0.17%$365.08M
Southern Co/the0.17%$364.79M
American Express Co.0.17%$362.42M
Nestle SA0.17%$359.08M
Marriott International, Inc.0.16%$346.93M
Ingersoll-Rand, Inc.0.16%$343.99M
Entergy Corp.0.16%$343.41M
Walmart, Inc.0.16%$342.16M
Ventas, Inc.0.15%$332.78M
Cisco Systems, Inc.0.15%$315.41M
Texas Roadhouse, Inc.0.15%$311.80M
Vail Resorts, Inc.0.14%$305.59M
International Paper Co.0.14%$301.28M
American Tower Corp.0.14%$300.94M
Brookfield Asset Management Ltd.0.14%$293.10M
Halliburton Co.0.14%$292.92M
Netflix, Inc.0.14%$291.13M
Goldman Sachs Group, Inc.0.13%$283.12M
Carlyle Group Inc/the0.13%$276.17M
Bae Systems PLC0.12%$267.61M
Public Service Enterprise Group, Inc.0.12%$264.86M
Oneok, Inc.0.12%$263.60M
Elevance Health, Inc.0.12%$258.59M
Idexx Laboratories, Inc.0.12%$254.98M
Illumina, Inc.0.11%$240.81M
Hewlett Packard Enterprise Co.0.11%$230.16M
Csx Corp.0.11%$227.15M
Novo Nordisk As0.10%$225.39M
Tractor Supply Co.0.10%$225.00M
Atmos Energy Corp.0.10%$223.06M
Equitable Holdings, Inc.0.10%$220.74M
Keycorp0.10%$218.53M
Slb Ltd.0.10%$213.33M
Heico Corp.0.10%$207.86M
Toll Brothers, Inc.0.09%$198.26M
Humana, Inc.0.09%$196.37M
Relx PLC0.09%$196.24M
Equifax, Inc.0.09%$186.44M
Fair Isaac Corp.0.08%$176.93M
Huntington Bancshares, Inc.0.08%$175.00M
Bunge Global SA0.08%$169.88M
Kraft Heinz Co/the0.07%$158.44M
Fifth Third Bancorp0.07%$153.68M
Intercontinental Exchange, Inc.0.06%$138.41M
Waste Management, Inc.0.06%$133.48M
Apollo Global Management, Inc.0.06%$131.48M
Trane Technologies PLC0.06%$122.63M
Adobe, Inc.0.05%$117.43M
Lyondellbasell Industries NV0.05%$111.54M
Totalenergies SE0.05%$106.38M
Fedex Corp.0.05%$106.00M
Extra Space Storage, Inc.0.05%$104.90M
Baker Hughes Co.0.05%$102.18M
Bristol-Myers Squibb Co.0.05%$101.90M
Rexford Industrial Realty, Inc.0.05%$97.96M
Chipotle Mexican Grill, Inc.0.04%$94.76M
Charles Schwab Corp/the0.04%$92.53M
Sony Group Corp.0.04%$91.40M
Berkshire Hathaway, Inc.0.04%$90.40M
Applied Industrial Technologies, Inc.0.04%$88.95M
Hb Fuller Co.0.04%$87.28M
Motorola Solutions, Inc.0.04%$79.19M
Asm International NV0.03%$73.02M
Mckesson Corp.0.03%$67.76M
Capital Group Central Cash Fund0.03%$61.20M
Align Technology, Inc.0.02%$48.46M
Pnc Financial Services Group, Inc.0.02%$34.62M
Morgan Stanley Invst Mgt, Inc. - Morgan Stanley Instl Liquidity Fund - Govt Prtflo0.01%$29.00M
Blackrock Fedfund0.01%$29.00M
Cardinal Health, Inc.0.01%$22.91M
Mosaic Company (the)0.01%$22.37M
Costar Group, Inc.0.01%$13.92M
Dreyfus Cash Management Funds - Dreyfus Treasury And Agency Cash Management0.01%$13.60M
State Street Institutional US Government Money Market Fund0.00%$10.20M
Fidelity Institutional Money Market Funds - Government Portfolio0.00%$10.20M
Goldman Sachs Financial Square Government Fund0.00%$10.20M
Invesco - Short-Term Investments Trust - Government And Agency Portfolio0.00%$4.28M
US Government Money Market Fund0.00%$3.40M

FWMMX overview: performance, fees, allocation and SEC filings