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AMCAP Fund (CAFAX) is an MF managed by Independent / Boutique. Its largest position is NVIDIA CORP (NVDA), representing 6.12% of fund assets.

AMCAP Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
CAFAX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 27, 2026
Showing 50 out of 145 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
6.12% $5,741,505,643.38 32,403,102
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Broadcom Inc.
5.74% $5,385,724,139.95 16,854,089
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MICROSOFT CORP
5.57% $5,225,712,429.94 13,305,781
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AMAZON COM INC
4.99% $4,682,518,890.00 22,297,709
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Alphabet Inc.
4.95% $4,648,300,759.44 14,909,869
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ELI LILLY & Co
4.70% $4,407,340,508.73 4,189,527
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Meta Platforms, Inc.
3.98% $3,736,034,331.12 5,763,884
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CAPITAL GROUP CENTRAL CASH FUND
3.68% $3,449,841,939.00 34,498,419
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APPLIED MATERIALS INC /DE
2.94% $2,763,876,530.96 43,383,983
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Apple Inc.
2.52% $2,362,372,322.94 8,942,283
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TransDigm Group INC
2.45% $2,296,649,407.30 1,762,870
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VERTEX PHARMACEUTICALS INC / MA
2.45% $2,295,984,083.61 4,621,267
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NETFLIX INC
2.22% $2,086,911,179.28 21,684,447
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Mastercard Inc
1.95% $1,831,813,518.41 3,541,721
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Uber Technologies, Inc
1.75% $1,640,093,350.86 21,746,133
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Viking Holdings Ltd
1.49% $1,399,773,048.16 17,941,208
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MERCADOLIBRE INC
1.44% $1,355,691,757.20 771,340
-
Alphabet Inc.
1.38% $1,297,131,487.26 4,165,082
-
CARVANA CO.
1.36% $1,273,733,377.52 3,811,747
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XPO, Inc.
1.35% $1,271,553,452.65 6,041,495
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APPLIED MATERIALS INC /DE
1.33% $1,251,583,248.00 3,361,760
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ALNYLAM PHARMACEUTICALS, INC.
1.33% $1,246,671,874.28 3,744,659
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FAIR ISAAC CORP
1.29% $1,212,838,841.60 860,560
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GENERAL ELECTRIC CO
1.23% $1,150,900,931.26 3,362,651
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TOPBUILD CORP
1.13% $1,065,296,634.90 2,376,303
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Ingersoll Rand Inc.
1.06% $991,496,036.16 10,532,144
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PROGRESSIVE CORP/OH/
1.00% $939,399,135.66 4,396,701
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ENTEGRIS INC
0.98% $915,335,989.80 6,910,804
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Trane Technologies plc
0.86% $810,164,482.48 1,752,389
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AMPHENOL CORP /DE/
0.80% $749,183,659.22 5,129,287
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UNITED RENTALS, INC.
0.72% $673,554,840.00 801,851
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Philip Morris International Inc.
0.72% $671,928,303.27 3,596,469
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Tesla, Inc.
0.68% $642,379,796.85 1,595,935
-
Howmet Aerospace Inc.
0.68% $641,458,188.63 2,443,371
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LINDE PLC
0.67% $627,480,832.32 1,235,004
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ROYAL CARIBBEAN CRUISES LTD
0.65% $613,714,698.48 1,973,613
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Salesforce, Inc.
0.65% $610,988,637.87 3,136,653
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NVR INC
0.64% $596,589,261.03 79,357
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SYNOPSYS INC
0.59% $557,682,012.00 1,347,058
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Arista Networks, Inc.
0.59% $550,023,871.50 4,120,029
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Ferguson Enterprises Inc. /DE/
0.55% $512,174,100.84 1,964,159
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Monster Beverage Corp
0.53% $500,990,357.50 5,873,275
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CARRIER GLOBAL Corp
0.53% $497,681,268.00 7,727,970
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IDEXX LABORATORIES INC /DE
0.51% $481,291,804.53 732,861
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Medline Inc.
0.49% $463,047,140.59 9,746,309
-
Affirm Holdings, Inc.
0.49% $461,067,827.40 9,814,130
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AppLovin Corp
0.48% $451,921,676.50 1,039,450
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ECOLAB INC.
0.48% $446,901,522.20 1,449,332
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STARBUCKS CORP
0.46% $432,121,758.12 4,408,506
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MONCLER S.P.A.
0.46% $430,827,069.78 6,239,105
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