AMERICAN FUNDS FUNDAMENTAL INVESTORS FUND CLASS F-2 - M Institutional Ownership

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

Type / Class
Equity / M
Price per share
$61.90
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
14,723
Total reported value
$1,366,456
% of total 13F portfolios
0%
Share change
+14,477
Value change
+$1,358,977
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 14,723 shares of AMERICAN FUNDS FUNDAMENTAL INVESTORS FUND CLASS F-2 - M.

Institutional Holders of AMERICAN FUNDS FUNDAMENTAL INVESTORS FUND CLASS F-2 - M across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 14,723 $1,366,456 +$1,358,977 $61.90 2
2025 Q2 246 $21,852 -$803,299 $88.83 1
2025 Q1 10,483 $820,835 +$801,062 $75.70 2
2024 Q4 416 $34,575 -$292,530 $82.50 2
2024 Q3 3,570 $304,892 -$2,045,812 $85.52 2
2024 Q2 28,746 $2,335,556 +$2,013,171 $81.10 4
2024 Q1 3,994 $316,721 +$79 $79.47 3
2023 Q4 3,993 $284,430 -$2,310,578 $71.37 3
2023 Q3 38,619 $2,573,182 -$236,029 $65.72 5
2023 Q2 27,902 $1,889,975 +$1,567,167 $67.77 3
2023 Q1 4,777 $303,112 -$730,887 $63.13 2
2022 Q4 22,964 $1,382,374 +$903 $60.19 4
2022 Q3 10,806 $599,000 +$42,111 $55.36 3
2022 Q2 10,038 $589,000 -$7,800 $58.67 2
2022 Q1 10,171 $725,000 -$7,202 $71.29 2
2021 Q4 10,272 $780,000 -$715,364 $75.94 2
2021 Q3 19,776 $1,488,000 -$111,789 $75.22 4
2021 Q2 18,012 $1,374,000 -$386,415 $76.27 3
2021 Q1 23,078 $1,701,000 +$272,000 $73.30 3
2020 Q4 19,500 $1,348,000 $0 $69.12 2
2020 Q3 19,500 $1,191,000 $0 $61.06 2
2020 Q2 19,500 $1,117,000 $0 $57.26 2
2020 Q1 19,500 $952,000 -$157,852 $48.81 2
2019 Q4 22,732 $1,409,000 -$1,594,999 $61.99 2
2019 Q3 49,755 $2,937,000 +$2,066 $59.03 4
2019 Q2 49,121 $2,910,000 +$57,938 $59.24 3
2019 Q1 48,170 $2,812,000 +$4,961 $58.36 4
2018 Q4 46,116 $2,409,000 +$152,644 $52.25 4
2018 Q3 43,177 $2,821,000 +$4,639 $65.34 3
2018 Q2 43,106 $2,698,000 +$16,518 $62.59 3
2018 Q1 42,842 $2,643,000 -$266,742 $61.69 3
2017 Q4 47,134 $2,931,000 +$103,142 $62.18 4
2017 Q3 45,501 $2,812,000 +$34,204 $61.80 5
2017 Q2 202,490 $11,925,000 +$160,494 $58.89 5
2017 Q1 205,319 $11,879,916 +$46,875 $57.86 7
2016 Q4 204,509 $11,130,864 +$476,924 $54.43 6
2016 Q3 195,756 $10,551,088 +$7,760,985 $53.94 5
2016 Q2 52,121 $2,707,449 -$3,119 $51.95 5
2016 Q1 45,386 $2,304,196 +$965 $50.77 4
2015 Q4 45,743 $2,319,878 -$224,025 $50.72 5
2015 Q3 50,012 $2,438,640 -$9,403,861 $48.77 5
2015 Q2 232,258 $12,013,642 -$2,282,828 $52.65 5
2015 Q1 276,578 $14,411,773 +$1,170,595 $52.11 5
2014 Q4 254,108 $13,223,575 +$1,551,177 $52.04 3
2014 Q3 224,292 $12,123,094 +$1,460,215 $54.06 2
2014 Q2 197,276 $10,638,922 -$4,118,475 $53.92 2
2014 Q1 282,400 $14,554,066 +$2,745,998 $51.81 4