Holdings Channel
Size ($ in 1000's)
At 12/31/2024: $2,451,651
At 09/30/2024: $2,320,413

Combined Holding Report Includes:
CAPITAL INTERNATIONAL LTD CA
CAPITAL GROUP COMPANIES INC
CAPITAL GROUP INTERNATIONAL INC
CAPITAL RESEARCH & MANAGEMENT CO

Capital International Ltd. CA AUM history

Capital International Ltd. CA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Capital International Ltd. CA 13F filings. Link to 13F filings: SEC filings

Capital International Ltd. CA Top Holdings
As of  12/31/2024, below is a summary of the Capital International Ltd. CA top holdings by largest position size, as per the latest 13f filing made by Capital International Ltd. CA. In the Capital International Ltd. CA-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Capital International Ltd. CA in that top holding, then the share count change between reporting periods, and finally the Capital International Ltd. CA top holding position size for that row.

   EntityAmountChange
 09/30/2024 to 12/31/2024
Position Size
($ in 1000's)
META PLATFORMS INC 247,021 -3,289 $144,633
     META247,021-3,289$144,633
BROADCOM INC 578,409 -32,883 $134,098
     AVGO578,409-32,883$134,098
MICROSOFT CORP 307,156 +4,818 $129,466
     MSFT307,156+4,818$129,466
TESLA INC 302,503 -885 $122,163
     TSLA302,503-885$122,163
NVIDIA CORPORATION 677,048 +54,634 $90,921
     NVDA677,048+54,634$90,921
NETFLIX INC 69,138 +241 $61,624
     NFLX69,138+241$61,624
AMAZON COM INC 261,128 +64,949 $57,289
     AMZN261,128+64,949$57,289
ELI LILLY & CO 68,730 +2,015 $53,060
     LLY68,730+2,015$53,060
VERTEX PHARMACEUTICALS INC 110,571 +10,966 $44,527
     VRTX110,571+10,966$44,527
JPMORGAN CHASE & CO. 181,598 -2,916 $43,531
     JPM181,598-2,916$43,531
ALPHABET INC 224,359 -642 $42,727
     GOOG224,359-642$42,727
SHOPIFY INC 400,051 +45,346 $42,537
     SHOP400,051+45,346$42,537
BOOKING HOLDINGS INC 7,960 +122 $39,549
     BKNG7,960+122$39,549
COSTCO WHSL CORP NEW 41,049 +2,365 $37,612
     COST41,049+2,365$37,612
ROYAL CARIBBEAN GROUP 155,590 +17,385 $35,893
     RCL155,590+17,385$35,893
APPLE INC 138,999 -22,730 $34,808
     AAPL138,999-22,730$34,808
CARRIER GLOBAL CORPORATION 487,996 -34,310 $33,311
     CARR487,996-34,310$33,311
INTUITIVE SURGICAL INC 63,356 +1,337 $33,069
     ISRG63,356+1,337$33,069
ALPHABET INC 169,491 -27,521 $32,085
     GOOGL169,491-27,521$32,085
REGENERON PHARMACEUTICALS 40,968 +5,197 $29,183
     REGN40,968+5,197$29,183
VISA INC 91,756 +3,315 $28,999
     V91,756+3,315$28,999
TRIP COM GROUP LTD 416,421 -61,641 $28,591
     TCOM416,421-61,641$28,591
CATERPILLAR INC 78,300 -6,786 $28,404
     CAT78,300-6,786$28,404
MASTERCARD INCORPORATED 53,922 +2,587 $28,394
     MA53,922+2,587$28,394
MERCADOLIBRE INC 15,909 +2,683 $27,052
     MELI15,909+2,683$27,052
CHUBB LIMITED 91,276 +3,057 $25,220
     CB91,276+3,057$25,220
THERMO FISHER SCIENTIFIC INC 46,048 -4,609 $23,956
     TMO46,048-4,609$23,956
SERVICENOW INC 22,212 +286 $23,547
     NOW22,212+286$23,547
DANAHER CORPORATION 99,862 +2,254 $22,923
     DHR99,862+2,254$22,923
HILTON WORLDWIDE HLDGS INC 90,455 +2,210 $22,357
     HLT90,455+2,210$22,357
SYNOPSYS INC 44,073 +2,407 $21,391
     SNPS44,073+2,407$21,391
TRANSDIGM GROUP INC 16,212 +543 $20,545
     TDG16,212+543$20,545
MOTOROLA SOLUTIONS INC 42,355 -4,563 $19,578
     MSI42,355-4,563$19,578
SALESFORCE INC 58,509 -5,235 $19,561
     CRM58,509-5,235$19,561
ALNYLAM PHARMACEUTICALS INC 80,282 -20,141 $18,891
     ALNY80,282-20,141$18,891
LINDE PLC 44,182 +4,031 $18,498
     LIN44,182+4,031$18,498
BOSTON SCIENTIFIC CORP 204,736 +98,646 $18,287
     BSX204,736+98,646$18,287
BLACKSTONE INC 104,693 +256 $18,051
     BX104,693+256$18,051
S&P GLOBAL INC 36,032 -1,053 $17,945
     SPGI36,032-1,053$17,945
GALLAGHER ARTHUR J & CO 62,895 +3,141 $17,853
     AJG62,895+3,141$17,853
ASML HOLDING N V 25,480 +2,451 $17,660
     ASML25,480+2,451$17,660
BANK AMERICA CORP 380,322 +4,695 $16,715
     BAC380,322+4,695$16,715
STARBUCKS CORP 179,735 +35,282 $16,401
     SBUX179,735+35,282$16,401
ABBOTT LABS 142,259 +4,212 $16,091
     ABT142,259+4,212$16,091
SHERWIN WILLIAMS CO 46,398 -5,192 $15,772
     SHW46,398-5,192$15,772
HOME DEPOT INC 39,158 -9,615 $15,232
     HD39,158-9,615$15,232
DEUTSCHE BANK A G 872,420 +10,430 $15,037
     DB872,420+10,430$15,037
COPART INC 256,272 +4,304 $14,707
     CPRT256,272+4,304$14,707
BEIGENE LTD 76,048 +1,500 $14,047
     BGNE76,048+1,500$14,047
AON PLC 38,897 +2,081 $13,970
     AON38,897+2,081$13,970

See Full List: All Stocks Held By Capital International Ltd. CA
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Capital International Ltd. CA

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