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American Mutual Fund (CMLAX) is an MF managed by Independent / Boutique. Its largest position is MICROSOFT CORP (MSFT), representing 5.08% of fund assets.

American Mutual Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
CMLAX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 157 holdings
Holding Weight Market Value Shares
-
MICROSOFT CORP
5.08% $5,828,335,110.76 14,292,842
-
Broadcom Inc.
4.54% $5,209,240,460.45 12,479,315
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CAPITAL GROUP CENTRAL CASH FUND
3.71% $4,255,459,456.50 42,558,850
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ELI LILLY & Co
2.95% $3,386,105,333.80 3,623,053
-
Philip Morris International Inc.
2.89% $3,321,407,144.28 20,121,204
-
STARBUCKS CORP
2.42% $2,777,420,858.82 26,368,754
-
Apple Inc.
2.34% $2,687,933,945.70 9,905,782
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Meta Platforms, Inc.
2.09% $2,395,797,149.07 3,915,277
-
CISCO SYSTEMS, INC.
2.07% $2,370,783,483.00 25,910,202
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AbbVie Inc.
2.02% $2,318,780,126.16 10,972,838
-
JPMORGAN CHASE & CO
1.96% $2,254,943,396.46 7,199,002
-
Mondelez International, Inc.
1.92% $2,207,437,455.36 35,928,344
-
GENERAL ELECTRIC CO
1.80% $2,064,313,197.20 7,120,040
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TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.69% $1,945,483,553.58 4,912,093
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CARRIER GLOBAL Corp
1.67% $1,916,405,775.60 28,530,680
-
CENTERPOINT ENERGY INC
1.56% $1,788,483,410.10 40,973,274
-
HOME DEPOT, INC.
1.49% $1,705,341,256.80 5,186,561
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NEXTERA ENERGY INC
1.48% $1,696,464,284.04 17,332,083
-
RTX Corp
1.45% $1,660,561,419.99 9,431,257
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ExxonMobil Holdings Corp
1.40% $1,604,062,653.27 10,393,719
-
Alphabet Inc.
1.38% $1,589,708,463.20 4,131,259
-
APPLIED MATERIALS INC /DE
1.38% $1,587,580,033.14 4,024,386
-
GILEAD SCIENCES, INC.
1.33% $1,527,607,111.72 11,675,383
-
COCA COLA CO
1.32% $1,515,906,321.60 19,247,160
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WELLS FARGO & COMPANY/MN
1.23% $1,414,865,003.70 17,206,190
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LINDE PLC
1.23% $1,407,662,669.94 2,808,921
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UNION PACIFIC CORP
1.16% $1,336,635,890.88 4,960,056
-
British American Tobacco p.l.c.
1.16% $1,331,507,125.20 22,644,679
-
JOHNSON & JOHNSON
1.09% $1,255,947,289.40 5,464,204
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Alphabet Inc.
1.09% $1,248,570,644.62 3,269,023
-
ABBOTT LABORATORIES
0.93% $1,064,234,841.81 11,721,939
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PROGRESSIVE CORP/OH/
0.93% $1,063,855,376.00 5,285,450
-
INTERNATIONAL PAPER CO /NEW/
0.93% $1,062,825,124.14 34,938,367
-
Air Products & Chemicals, Inc.
0.84% $964,378,102.90 3,214,058
-
PNC FINANCIAL SERVICES GROUP, INC.
0.82% $940,220,405.00 4,216,235
-
CVS HEALTH Corp
0.81% $933,763,023.94 11,210,986
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TEXAS INSTRUMENTS INC
0.78% $898,136,891.56 3,195,307
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Medtronic plc
0.78% $890,556,075.21 10,998,593
-
BlackRock, Inc.
0.77% $878,869,584.00 824,765
-
AMPHENOL CORP /DE/
0.75% $861,314,485.80 5,848,540
-
WASTE MANAGEMENT INC
0.74% $849,922,344.70 3,654,794
-
DTE ENERGY CO
0.74% $847,254,938.53 5,585,437
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Constellation Energy Corp
0.72% $829,898,529.00 2,651,433
-
UNITEDHEALTH GROUP INC
0.72% $824,665,880.72 2,225,939
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CORNING INC /NY
0.72% $821,200,000.00 5,000,000
-
PUBLIC SERVICE ENTERPRISE GROUP INC
0.70% $807,786,191.22 9,892,067
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ALTRIA GROUP, INC.
0.70% $805,900,129.45 11,092,913
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Mastercard Inc
0.69% $797,168,936.52 1,585,081
-
Chubb Ltd
0.68% $775,587,102.00 2,371,826
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WELLTOWER INC.
0.64% $735,910,631.92 3,385,988
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