American Funds Europacific Growth F2 - Equities Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Equities
Price per share
$64.28
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
76,267
Total reported value
$4,902,296
% of total 13F portfolios
0%
Share change
+6,021
Value change
+$387,144
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 5 institutional investors reported holding 76,267 shares of American Funds Europacific Growth F2 - Equities.

Institutional Holders of American Funds Europacific Growth F2 - Equities across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 76,267 $4,902,296 +$387,144 $64.28 5
2025 Q2 70,246 $4,249,422 -$71,124 $60.48 4
2025 Q1 71,448 $3,926,525 +$4,428 $54.95 5
2024 Q4 71,466 $3,827,509 -$4,557,191 $53.55 4
2024 Q3 147,460 $8,870,764 -$693,522 $60.16 6
2024 Q2 159,102 $9,081,135 +$173,939 $57.08 7
2024 Q1 155,165 $9,090,514 -$22,269 $58.59 5
2023 Q4 156,480 $8,534,915 -$3,509,433 $54.56 6
2023 Q3 221,345 $11,483,670 -$1,877,445 $51.19 8
2023 Q2 198,016 $10,826,011 +$567,041 $54.67 5
2023 Q1 187,919 $10,094,344 +$1,429,032 $53.72 8
2022 Q4 161,850 $7,913,959 -$213,463 $48.90 5
2022 Q3 160,220 $6,980,000 -$7,190,887 $43.57 3
2022 Q2 310,233 $14,916,000 -$407,770 $48.08 4
2022 Q1 322,630 $18,279,000 -$448,125 $56.66 5
2021 Q4 329,957 $21,298,000 +$835,294 $64.58 7
2021 Q3 316,861 $21,832,000 -$361,003 $68.90 6
2021 Q2 322,018 $22,725,000 +$604,762 $70.57 5
2021 Q1 313,442 $21,703,000 +$6,216,316 $68.83 6
2020 Q4 225,011 $15,559,000 +$537,776 $69.15 3
2020 Q3 217,227 $12,569,000 -$285,488 $57.86 2
2020 Q2 222,161 $11,724,000 -$938,779 $52.77 2
2020 Q1 241,273 $10,374,000 -$385,936 $43.00 3
2019 Q4 250,055 $13,868,000 -$455,565 $55.46 5
2019 Q3 258,313 $13,396,000 -$86,951 $51.86 4
2019 Q2 259,988 $13,706,000 -$128,135 $52.72 5
2019 Q1 262,453 $13,341,000 +$98,649 $50.83 5
2018 Q4 259,537 $11,655,000 -$438,474 $44.88 5
2018 Q3 269,287 $14,256,000 -$198,673 $52.97 4
2018 Q2 273,040 $14,580,000 +$1,037,929 $53.39 4
2018 Q1 253,602 $14,357,000 -$448,331 $56.62 4
2017 Q4 261,603 $14,661,000 +$410,850 $56.04 6
2017 Q3 254,270 $14,075,000 -$15,040,781 $55.34 4
2017 Q2 573,955 $29,741,992 -$6,139,889 $51.82 7
2017 Q1 737,956 $36,285,767 -$458,669 $49.17 9
2016 Q4 747,294 $33,605,858 +$1,306,209 $44.97 6
2016 Q3 717,986 $34,172,432 +$695,017 $47.65 7
2016 Q2 704,047 $31,005,329 +$186,727 $44.04 8
2016 Q1 697,294 $30,813,001 -$554,845 $44.19 6
2015 Q4 709,849 $32,120,432 -$479,996 $45.25 6
2015 Q3 720,431 $32,715,712 -$12,005,277 $45.41 6
2015 Q2 965,481 $48,401,442 -$1,646,288 $50.37 8
2015 Q1 998,676 $49,755,081 +$964,708 $49.82 6
2014 Q4 979,313 $46,047,416 +$5,500,020 $47.02 5
2014 Q3 862,346 $41,919,784 +$858,672 $48.61 4
2014 Q2 844,683 $42,876,653 -$1,922,407 $50.76 4
2014 Q1 942,559 $46,517,204 -$545,983 $49.32 6