AMERICAN FUNDS FUNDAMENTAL INVS A - LOAD EQUITY FUND

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / LOAD EQUITY FUND
Shares, excl. options Q1 2024
29.1 K
Holdings value Q1 2024
$2.32 M
Value change Q1 2024
-$170 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
6
Number of buys Q1 2024
4
Number of sells Q1 2024
-4
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
360802102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 29.1 K $2.32 M -$170 K $79.53 6
2023 Q4 34.5 K $2.47 M -$247 K $71.49 10
2023 Q3 36.3 K $2.39 M +$580 K $65.76 7
2023 Q2 28.2 K $1.91 M +$340 K $67.83 6
2023 Q1 23.2 K $1.48 M +$2.16 K $63.60 5
2022 Q4 22.3 K $1.34 M -$330 K $60.26 4
2022 Q3 28.2 K $1.59 M +$661 K $55.50 6
2022 Q2 16.2 K $951 K +$163 K $58.75 5
2022 Q1 12.8 K $912 K -$190 K $71.40 3
2021 Q4 15.3 K $1.16 M -$415 K $76.00 5
2021 Q3 20.8 K $1.57 M -$429 K $75.30 4
2021 Q2 19.1 K $1.46 M -$328 K $76.45 5
2021 Q1 23.4 K $1.72 M +$711 K $73.43 7
2020 Q4 13.7 K $947 K +$673 K $69.11 3
2020 Q3 3.97 K $243 K -$485 K $61.19 1
2020 Q2 12.4 K $713 K -$188 K $57.42 3
2020 Q1 17.1 K $834 K -$234 K $48.86 3
2019 Q4 21 K $1.3 M +$50.7 K $61.92 5
2019 Q3 17.8 K $1.05 M -$13.4 K $59.09 4
2019 Q2 20.4 K $1.21 M +$275 K $59.27 5
2019 Q1 15.7 K $921 K -$93.1 K $58.38 3
2018 Q4 17.3 K $906 K -$304 K $52.22 3
2018 Q3 19.5 K $1.27 M +$313 K $65.32 4
2018 Q2 21.8 K $1.36 M -$228 K $62.61 4
2018 Q1 25.5 K $1.57 M +$56.4 K $61.65 5
2017 Q4 24.6 K $1.53 M +$414 K $62.17 3
2017 Q3 17.9 K $1.11 M +$60 K $61.75 3
2017 Q2 17 K $998 K -$268 K $58.87 2
2017 Q1 22 K $1.27 M -$176 K $57.89 4
2016 Q4 25 K $1.36 M -$466 K $54.42 4
2016 Q3 33.7 K $1.82 M -$46.9 M $53.99 6
2016 Q2 36.3 K $48.6 M -$214 K $51.98 7
2016 Q1 39.6 K $2.01 M -$267 K $50.74 6
2015 Q4 44.8 K $2.27 M +$409 K $50.72 7
2015 Q3 36.8 K $1.79 M -$1.72 M $48.77 5
2015 Q2 69.9 K $3.67 M +$1.99 M $52.68 11
2015 Q1 31.9 K $1.66 M +$93.8 K $52.12 7
2014 Q4 30.1 K $1.57 M +$196 K $52.07 6
2014 Q3 26.3 K $1.42 M +$94.1 K $54.07 5
2014 Q2 24.6 K $1.33 M -$643 K $53.93 5
2014 Q1 37 K $1.91 M +$1.11 M $51.47 6