CAPITAL WORLD INVESTORS
Email Notification.
Schedule 13D and 13G filings submitted since 09/30/2011
| Subject Company | Symbol | Date of Filing | Total Reported Shares Owned |
Shares Reported on 13F |
Change | |
|---|---|---|---|---|---|---|
| SC 13G/A | Estee Lauder Companies Inc. | EL | 10/11/2011 | 2,694,000 | 2,694,000 |
Decreased position by
0
|
| SC 13G | PHARMASSET, INC. COM | VRUS | 11/10/2011 | 7,546,300 | 7,432,324 |
Increased position by
113,976
|
| SC 13G/A | Cimarex Energy Co. | XEC | 11/10/2011 | 9,819,868 | 7,848,000 |
Increased position by
1,971,868
|
| SC 13G/A | United Continental Holdings | UAL | 12/09/2011 | 36,051,651 | 28,057,509 |
Increased position by
7,994,142
|
| SC 13G/A | Lender Processing Services, Inc. | LPS | 12/09/2011 | 3,229,815 | 11,670,500 |
Decreased position by
-8,440,685
|
| SC 13G/A | Capella Education Co. | CPLA | 12/09/2011 | 597,124 | 1,503,407 |
Decreased position by
-906,283
|
| SC 13G/A | PHARMASSET, INC. COM | VRUS | 01/10/2012 | 2,493,300 | 7,432,324 |
Decreased position by
-4,939,024
|
| SC 13G/A | Jefferies Group Inc. | JEF | 01/10/2012 | 24,122,500 | 13,000,000 |
Increased position by
11,122,500
|
| SC 13G/A | Cardinal Health, Inc. | CAH | 02/09/2012 | 29,386,424 | 27,106,424 |
Increased position by
2,280,000
|
| SC 13G/A | Core Laboratories NV | CLB | 02/10/2012 | 4,877,345 | 0 |
New Position
|
| SC 13G | City Holding Co. | CHCO | 02/10/2012 | 741,000 | 741,000 |
Decreased position by
0
|
| SC 13G/A | Concho Resources, Inc. | CXO | 02/10/2012 | 12,695,506 | 12,695,506 |
Decreased position by
0
|
| SC 13G | Ctrip.com International Ltd. | CTRP | 02/10/2012 | 11,586,500 | 11,460,000 |
Increased position by
126,500
|
| SC 13G/A | Chipotle Mexican Grill, Inc. | CMG | 02/10/2012 | 3,128,182 | 2,437,532 |
Increased position by
690,650
|
| SC 13G | Cummins Inc. | CMI | 02/10/2012 | 11,746,200 | 11,254,300 |
Increased position by
491,900
|
| SC 13G/A | Dolby Laboratories Inc. | DLB | 02/10/2012 | 5,851,621 | 5,851,621 |
Decreased position by
0
|
| SC 13G/A | Costco Wholesale Corporation | COST | 02/10/2012 | 31,007,046 | 33,764,796 |
Decreased position by
-2,757,750
|
| SC 13G/A | Denbury Resources Inc. | DNR | 02/10/2012 | 48,595,800 | 47,705,800 |
Increased position by
890,000
|
| SC 13G/A | Covance Inc. | CVD | 02/10/2012 | 1,390,000 | 1,427,000 |
Decreased position by
-37,000
|
| SC 13G/A | Compuware Corporation | CPWR | 02/10/2012 | 22,610,000 | 22,610,000 |
Decreased position by
0
|
| SC 13G/A | DUFF & PHELPS CORP | DUF | 02/10/2012 | 0 | 0 | |
| SC 13G/A | The Dow Chemical Company | DOW | 02/10/2012 | 126,350,626 | 123,479,626 |
Increased position by
2,871,000
|
| SC 13G/A | CONSOL Energy Inc. | CNX | 02/10/2012 | 13,415,213 | 13,415,213 |
Decreased position by
0
|
| SC 13G/A | Digital Realty Trust Inc. | DLR | 02/10/2012 | 9,010,000 | 9,225,000 |
Decreased position by
-215,000
|
| SC 13G/A | Cliffs Natural Resources Inc. | CLF | 02/10/2012 | 10,570,117 | 13,397,000 |
Decreased position by
-2,826,883
|
| SC 13G | Celanese Corp. | CE | 02/10/2012 | 11,135,000 | 3,860,000 |
Increased position by
7,275,000
|
| SC 13G/A | Baxter International Inc. | BAX | 02/10/2012 | 48,208,400 | 44,368,800 |
Increased position by
3,839,600
|
| SC 13G/A | Boeing Co. | BA | 02/10/2012 | 43,950,000 | 46,000,000 |
Decreased position by
-2,050,000
|
| SC 13G/A | Arthur J Gallagher & Co. | AJG | 02/10/2012 | 6,000,000 | 6,000,000 |
Decreased position by
0
|
| SC 13G/A | Aetna Inc. | AET | 02/10/2012 | 17,186,400 | 20,483,700 |
Decreased position by
-3,297,300
|
| SC 13G/A | Amazon.com Inc. | AMZN | 02/10/2012 | 21,893,580 | 23,556,750 |
Decreased position by
-1,663,170
|
| SC 13G | American Express Company | AXP | 02/10/2012 | 66,253,860 | 66,229,860 |
Increased position by
24,000
|
| SC 13G/A | ACE Limited | ACE | 02/10/2012 | 25,294,800 | 0 |
New Position
|
| SC 13G | ARCOS DORADOS HOLDINGS INC COM NPVCL A | ARCO | 02/10/2012 | 7,679,000 | 0 |
New Position
|
| SC 13G | BG MEDICINE, INC. | BGMD | 02/10/2012 | 1,462,603 | 1,462,603 |
Decreased position by
0
|
| SC 13G/A | Alcoa, Inc. | AA | 02/10/2012 | 61,930,813 | 52,219,000 |
Increased position by
9,711,813
|
| SC 13G | AMERIGROUP Corporation | AGP | 02/10/2012 | 3,147,661 | 2,150,000 |
Increased position by
997,661
|
| SC 13G/A | Avon Products Inc. | AVP | 02/10/2012 | 13,826,300 | 16,156,300 |
Decreased position by
-2,330,000
|
| SC 13G/A | Aon Corporation | AON | 02/10/2012 | 11,183,000 | 11,183,000 |
Decreased position by
0
|
| SC 13G/A | Avago Technologies Limited | AVGO | 02/10/2012 | 25,226,920 | 0 |
New Position
|
| SC 13G/A | Bristol-Myers Squibb Company | BMY | 02/10/2012 | 153,908,560 | 156,476,010 |
Decreased position by
-2,567,450
|
| SC 13G/A | ASML Holding NV | ASML | 02/10/2012 | 41,354,546 | 0 |
New Position
|
| SC 13G/A | Cardinal Health, Inc. | CAH | 02/10/2012 | 35,991,424 | 27,106,424 |
Increased position by
8,885,000
|
| SC 13G | TRIPADVISOR INC COM (S/D 12/27/2011) | TRIP | 02/10/2012 | 8,233,507 | 0 |
New Position
|
| SC 13G/A | Waste Management, Inc. | WM | 02/10/2012 | 42,936,400 | 43,648,296 |
Decreased position by
-711,896
|
| SC 13G/A | ValueVision Media Inc. | VVTV | 02/10/2012 | 3,875,293 | 3,846,293 |
Increased position by
29,000
|
| SC 13G/A | Virgin Media, Inc. | VMED | 02/10/2012 | 39,223,500 | 39,223,500 |
Decreased position by
0
|
| SC 13G | V.F. Corporation | VFC | 02/10/2012 | 7,765,000 | 7,915,000 |
Decreased position by
-150,000
|
| SC 13G/A | Trustmark Corporation | TRMK | 02/10/2012 | 3,257,000 | 3,257,000 |
Decreased position by
0
|
| SC 13G/A | Texas Instruments Inc. | TXN | 02/10/2012 | 104,250,262 | 107,785,762 |
Decreased position by
-3,535,500
|
| SC 13G | Union Pacific Corporation | UNP | 02/10/2012 | 36,731,250 | 40,240,800 |
Decreased position by
-3,509,550
|
| SC 13G/A | Net 1 Ueps Technologies Inc. | UEPS | 02/10/2012 | 0 | 0 | |
| SC 13G/A | TranS1, Inc. | TSON | 02/10/2012 | 0 | 0 | |
| SC 13G/A | Weyerhaeuser Co. | WY | 02/10/2012 | 51,382,854 | 50,482,854 |
Increased position by
900,000
|
| SC 13G/A | Yahoo! Inc. | YHOO | 02/10/2012 | 58,567,243 | 65,058,477 |
Decreased position by
-6,491,234
|
| SC 13G/A | Regeneron Pharmaceuticals, Inc. | REGN | 02/10/2012 | 10,730,563 | 10,580,563 |
Increased position by
150,000
|
| SC 13G/A | XL Group plc | XL | 02/10/2012 | 16,511,700 | 0 |
New Position
|
| SC 13G/A | United Continental Holdings | UAL | 02/10/2012 | 36,051,651 | 28,057,509 |
Increased position by
7,994,142
|
| SC 13G/A | Thoratec Corp. | THOR | 02/10/2012 | 2,749,000 | 3,004,000 |
Decreased position by
-255,000
|
| SC 13G/A | Vertex Pharmaceuticals Incorporated | VRTX | 02/10/2012 | 12,816,838 | 18,672,123 |
Decreased position by
-5,855,285
|
| SC 13G | Pioneer Natural Resources Co. | PXD | 02/10/2012 | 9,810,000 | 9,810,000 |
Decreased position by
0
|
| SC 13G/A | Roper Industries Inc. | ROP | 02/10/2012 | 0 | 0 | |
| SC 13G | Pharmacyclics Inc. | PCYC | 02/10/2012 | 4,627,300 | 3,845,871 |
Increased position by
781,429
|
| SC 13G/A | Penn National Gaming Inc. | PENN | 02/10/2012 | 2,526,000 | 3,401,000 |
Decreased position by
-875,000
|
| SC 13G | Parker Hannifin Corporation | PH | 02/10/2012 | 14,320,600 | 14,320,600 |
Decreased position by
0
|
| SC 13G | SPS Commerce, Inc. | SPSC | 02/10/2012 | 838,500 | 777,000 |
Increased position by
61,500
|
| SC 13G | U.S. Auto Parts Network, Inc. | PRTS | 02/10/2012 | 1,980,000 | 1,980,000 |
Decreased position by
0
|
| SC 13G | Schweitzer-Mauduit International Inc. | SWM | 02/10/2012 | 970,000 | 445,000 |
Increased position by
525,000
|
| SC 13G | TE Connectivity Ltd. | TEL | 02/10/2012 | 23,946,500 | 0 |
New Position
|
| SC 13G | Rackspace Hosting, Inc | RAX | 02/10/2012 | 6,880,000 | 3,200,000 |
Increased position by
3,680,000
|
| SC 13G/A | Rosetta Resources, Inc. | ROSE | 02/10/2012 | 5,825,000 | 6,490,000 |
Decreased position by
-665,000
|
| SC 13G/A | SIGMA-ALDRICH CORPORATION | SIAL | 02/10/2012 | 5,691,000 | 8,373,103 |
Decreased position by
-2,682,103
|
| SC 13G/A | TELEPHONE AND DATA SYSTEMS, IN | TDS-S | 02/10/2012 | 3,493,100 | 3,493,100 |
Decreased position by
0
|
| SC 13G/A | Stericycle, Inc. | SRCL | 02/10/2012 | 8,629,000 | 8,629,000 |
Decreased position by
0
|
| SC 13G/A | Stryker Corp. | SYK | 02/10/2012 | 50,000 | 50,000 |
Decreased position by
0
|
| SC 13G/A | Steel Dynamics Inc. | STLD | 02/10/2012 | 20,045,668 | 23,078,000 |
Decreased position by
-3,032,332
|
| SC 13G/A | MeadWestvaco Corporation | MWV | 02/10/2012 | 17,204,800 | 17,188,000 |
Increased position by
16,800
|
| SC 13G/A | Noble Energy, Inc. | NBL | 02/10/2012 | 13,429,000 | 13,279,000 |
Increased position by
150,000
|
| SC 13G/A | National American University Holdings, Inc. | NAUH | 02/10/2012 | 1,515,000 | 1,515,000 |
Decreased position by
0
|
| SC 13G/A | Maxim Integrated Products Inc. | MXIM | 02/10/2012 | 36,513,000 | 37,013,000 |
Decreased position by
-500,000
|
| SC 13G/A | Paychex Inc. | PAYX | 02/10/2012 | 14,240,182 | 18,792,182 |
Decreased position by
-4,552,000
|
| SC 13G/A | Oceaneering International, Inc. | OII | 02/10/2012 | 6,003,564 | 6,068,564 |
Decreased position by
-65,000
|
| SC 13G/A | Newmont Mining Corp. | NEM | 02/10/2012 | 37,163,695 | 37,163,695 |
Decreased position by
0
|
| SC 13G/A | National Instruments Corporation | NATI | 02/10/2012 | 7,791,489 | 7,791,489 |
Decreased position by
0
|
| SC 13G/A | MSC Industrial Direct Co. Inc. | MSM | 02/10/2012 | 2,220,000 | 2,240,000 |
Decreased position by
-20,000
|
| SC 13G/A | M&T Bank Corp. | MTB | 02/10/2012 | 4,365,000 | 6,365,000 |
Decreased position by
-2,000,000
|
| SC 13G/A | New York Community Bancorp Inc. | NYB | 02/10/2012 | 21,645,000 | 24,950,000 |
Decreased position by
-3,305,000
|
| SC 13G/A | Northwest Bancshares, Inc. | NWBI | 02/10/2012 | 7,787,500 | 8,187,500 |
Decreased position by
-400,000
|
| SC 13G/A | Nucor Corporation | NUE | 02/10/2012 | 31,793,200 | 31,470,800 |
Increased position by
322,400
|
| SC 13G/A | NORTEK INC COM NEW (DE) | NTK | 02/10/2012 | 832,632 | 0 |
New Position
|
| SC 13G/A | Northrop Grumman Corporation | NOC | 02/10/2012 | 14,964,223 | 18,973,543 |
Decreased position by
-4,009,320
|
| SC 13G/A | Newfield Exploration Co. | NFX | 02/10/2012 | 15,353,219 | 16,393,219 |
Decreased position by
-1,040,000
|
| SC 13G | PG & E Corp. | PCG | 02/10/2012 | 36,260,500 | 32,050,500 |
Increased position by
4,210,000
|
| SC 13G/A | Leggett & Platt, Incorporated | LEG | 02/10/2012 | 1,147,104 | 1,147,104 |
Decreased position by
0
|
| SC 13G/A | KLA-Tencor Corporation | KLAC | 02/10/2012 | 17,276,418 | 18,385,918 |
Decreased position by
-1,109,500
|
| SC 13G/A | Microchip Technology Inc. | MCHP | 02/10/2012 | 16,648,000 | 18,148,000 |
Decreased position by
-1,500,000
|
| SC 13G/A | Eli Lilly & Co. | LLY | 02/10/2012 | 16,425,000 | 18,925,000 |
Decreased position by
-2,500,000
|
| SC 13G | K-Swiss Inc. | KSWS | 02/10/2012 | 1,750,000 | 1,750,000 |
Decreased position by
0
|
| SC 13G/A | KBR, Inc. | KBR | 02/10/2012 | 9,571,790 | 9,571,790 |
Decreased position by
0
|
| SC 13G/A | Johnson Controls Inc. | JCI | 02/10/2012 | 40,696,000 | 40,296,000 |
Increased position by
400,000
|
| SC 13G/A | Intuitive Surgical, Inc. | ISRG | 02/10/2012 | 3,064,600 | 3,231,600 |
Decreased position by
-167,000
|
| SC 13G/A | Marsh & McLennan Companies, Inc. | MMC | 02/10/2012 | 29,090,900 | 29,090,900 |
Decreased position by
0
|
| SC 13G/A | Linear Technology Corp. | LLTC | 02/10/2012 | 20,784,269 | 19,413,000 |
Increased position by
1,371,269
|
| SC 13G/A | Merck & Co. Inc. | MRK | 02/10/2012 | 195,693,450 | 199,233,650 |
Decreased position by
-3,540,200
|
| SC 13G/A | HCP, Inc. | HCP | 02/10/2012 | 19,271,470 | 19,690,670 |
Decreased position by
-419,200
|
| SC 13G/A | Harman International Industries Inc. | HAR | 02/10/2012 | 5,756,000 | 5,756,000 |
Decreased position by
0
|
| SC 13G/A | Intuit Inc. | INTU | 02/10/2012 | 7,470,000 | 8,345,000 |
Decreased position by
-875,000
|
| SC 13G | Liberty Media Corp New Liberty Cap Series A | LMCA | 02/10/2012 | 5,969,128 | 0 |
New Position
|
| SC 13G/A | The McGraw-Hill Companies, Inc. | MHP | 02/10/2012 | 24,814,500 | 30,109,100 |
Decreased position by
-5,294,600
|
| SC 13G/A | The Home Depot, Inc. | HD | 02/10/2012 | 191,456,230 | 192,336,230 |
Decreased position by
-880,000
|
| SC 13G/A | Moody's Corp. | MCO | 02/10/2012 | 18,222,500 | 27,972,500 |
Decreased position by
-9,750,000
|
| SC 13G/A | Masco Corporation | MAS | 02/10/2012 | 24,539,951 | 22,914,951 |
Increased position by
1,625,000
|
| SC 13G/A | Lululemon Athletica Inc. | LULU | 02/10/2012 | 13,324,200 | 13,154,200 |
Increased position by
170,000
|
| SC 13G/A | Lockheed Martin Corporation | LMT | 02/10/2012 | 41,671,556 | 42,366,556 |
Decreased position by
-695,000
|
| SC 13G | ROCKWELL COLLINS INC | COL | 02/10/2012 | 10,024,200 | 6,603,800 |
Increased position by
3,420,400
|
| SC 13G/A | Home Federal Bancorp Inc. | HOME | 02/10/2012 | 1,504,249 | 1,504,249 |
Decreased position by
0
|
| SC 13G | ARM Holdings plc | ARMH | 02/10/2012 | 81,238,500 | 0 |
New Position
|
| SC 13G/A | Harvest Natural Resources Inc. | HNR | 02/10/2012 | 3,820,670 | 3,010,000 |
Increased position by
810,670
|
| SC 13G/A | Hawaiian Telcom Holdco, Inc. | HCOM | 02/10/2012 | 416,074 | 132,729 |
Increased position by
283,345
|
| SC 13G/A | AMR CORP (XNYS TO: XNAS) | AAMRQ | 02/10/2012 | 0 | 24,800,000 |
Decreased position by
-24,800,000
|
| SC 13G/A | IDEX Corporation | IEX | 02/10/2012 | 2,235,000 | 4,556,079 |
Decreased position by
-2,321,079
|
| SC 13G | Quest Diagnostics Inc. | DGX | 02/10/2012 | 8,765,000 | 8,765,000 |
Decreased position by
0
|
| SC 13G/A | Hubbell Inc. | HUB-B | 02/10/2012 | 3,430,000 | 3,430,000 |
Decreased position by
0
|
| SC 13G/A | Incyte Corporation | INCY | 02/10/2012 | 15,472,400 | 15,461,300 |
Increased position by
11,100
|
| SC 13G/A | Internet Capital Group Inc. | ICGE | 02/10/2012 | 2,637,000 | 3,096,000 |
Decreased position by
-459,000
|
| SC 13G/A | Hospira Inc. | HSP | 02/10/2012 | 19,061,440 | 19,786,143 |
Decreased position by
-724,703
|
| SC 13G/A | Hospitality Properties Trust | HPT | 02/10/2012 | 9,128,018 | 9,128,018 |
Decreased position by
0
|
| SC 13G/A | CarMax Inc. | KMX | 02/10/2012 | 26,404,500 | 27,404,500 |
Decreased position by
-1,000,000
|
| SC 13G | R.R. Donnelley & Sons Company | RRD | 02/10/2012 | 13,345,400 | 13,345,400 |
Decreased position by
0
|
| SC 13G/A | Suncor Energy Inc. | SU | 02/10/2012 | 71,472,421 | 82,517,166 |
Decreased position by
-11,044,745
|
| SC 13G/A | Acergy SA | ACGY | 02/10/2012 | 2,327,109 | 0 |
New Position
|
| SC 13G/A | Ryanair Holdings plc | RYAAY | 02/10/2012 | 104,447,995 | 21,309,599 |
Increased position by
83,138,396
|
| SC 13G | Douglas Dynamics, Inc. | PLOW | 02/10/2012 | 1,350,000 | 0 |
New Position
|
| SC 13G | Potash Corp. of Saskatchewan, Inc. | POT | 02/10/2012 | 50,616,372 | 48,511,572 |
Increased position by
2,104,800
|
| SC 13G/A | Novo Nordisk A/S | NVO | 02/10/2012 | 41,565,020 | 0 |
New Position
|
| SC 13G/A | HudBay Minerals, Inc. | HBM | 02/10/2012 | 8,000,000 | 8,000,000 |
Decreased position by
0
|
| SC 13G/A | Georgia Gulf Corp. | GGC | 02/10/2012 | 3,461,187 | 3,461,187 |
Decreased position by
0
|
| SC 13G | Royal Dutch Shell plc | RDS-B | 02/10/2012 | 148,208,269 | 62,021,702 |
Increased position by
86,186,567
|
| SC 13G/A | Cimarex Energy Co. | XEC | 02/10/2012 | 10,478,000 | 7,848,000 |
Increased position by
2,630,000
|
| SC 13G | Syngenta AG | SYT | 02/10/2012 | 4,970,300 | 1,075,000 |
Increased position by
3,895,300
|
| SC 13G/A | Tenaris SA | TS | 02/10/2012 | 31,175,036 | 19,222,809 |
Increased position by
11,952,227
|
| SC 13G | National Grid plc | NGG | 02/10/2012 | 180,752,428 | 6,630,000 |
Increased position by
174,122,428
|
| SC 13G | The Goldman Sachs Group, Inc. | GS | 02/10/2012 | 26,456,390 | 28,071,390 |
Decreased position by
-1,615,000
|
| SC 13G/A | Corning Inc. | GLW | 02/10/2012 | 51,104,700 | 57,429,700 |
Decreased position by
-6,325,000
|
| SC 13G/A | FMC Technologies, Inc. | FTI | 02/10/2012 | 23,640,000 | 25,495,000 |
Decreased position by
-1,855,000
|
| SC 13G/A | First Niagara Financial Group Inc. | FNFG | 02/10/2012 | 0 | 0 | |
| SC 13G/A | Fidelity National Information Services, Inc. | FIS | 02/10/2012 | 17,500,563 | 17,500,563 |
Decreased position by
0
|
| SC 13G/A | EXPONENT, INC. | EXPO | 02/10/2012 | 936,400 | 936,400 |
Decreased position by
0
|
| SC 13G | GEVO, INC. | GEVO | 02/10/2012 | 1,379,030 | 1,304,030 |
Increased position by
75,000
|
| SC 13G/A | Duke Energy Corporation | DUK | 02/10/2012 | 58,304,172 | 76,689,172 |
Decreased position by
-18,385,000
|
| SC 13G/A | FirstMerit Corporation | FMER | 02/10/2012 | 5,495,000 | 5,495,000 |
Decreased position by
0
|
| SC 13G | FLUIDIGM CORP | FLDM | 02/10/2012 | 1,484,234 | 1,484,234 |
Decreased position by
0
|
| SC 13G/A | FirstEnergy Corp. | FE | 02/10/2012 | 10,705,000 | 13,205,000 |
Decreased position by
-2,500,000
|
| SC 13G | Edwards Lifesciences Corp. | EW | 02/10/2012 | 9,206,600 | 9,206,600 |
Decreased position by
0
|
| SC 13G | Expedia Inc. | EXPE | 02/10/2012 | 8,402,500 | 16,575,000 |
Decreased position by
-8,172,500
|
| SC 13G/A | First Solar, Inc. | FSLR | 02/10/2012 | 9,770,895 | 10,055,895 |
Decreased position by
-285,000
|
| SC 13G/A | FMC Corp. | FMC | 02/10/2012 | 7,905,000 | 7,905,000 |
Decreased position by
0
|
| SC 13G | Emeritus Corp. | ESC | 02/10/2012 | 3,540,000 | 3,250,000 |
Increased position by
290,000
|
| SC 13G/A | COOPER STD HLDG INC | COSH | 02/10/2012 | 2,824,126 | 0 |
New Position
|
| SC 13G/A | FLIR Systems, Inc. | FLIR | 02/10/2012 | 19,078,800 | 19,560,800 |
Decreased position by
-482,000
|
| SC 13G/A | EMC Corporation | EMC | 02/10/2012 | 57,352,000 | 56,863,107 |
Increased position by
488,893
|
