AMERICAN FUNDS GROWTH FUND OF AMER A - LOAD EQUITY FUND

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / LOAD EQUITY FUND
Price per share
$80.47
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
34,783
Total reported value
$3,055,773
% of total 13F portfolios
0%
Share change
-6,058
Value change
-$497,573
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
10
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, AMERICAN FUNDS GROWTH FUND OF AMER A - LOAD EQUITY FUND has 10 institutional shareholders filing 13F forms. They hold 34,783 shares. .

Institutional Holders of AMERICAN FUNDS GROWTH FUND OF AMER A - LOAD EQUITY FUND across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 8,293 $667,333 +$349,237 8,046.94% 1
2025 Q3 34,783 $3,055,773 -$497,573 8,782.7% 10
2025 Q2 40,841 $3,356,353 -$314,512 8,219.82% 11
2025 Q1 45,457 $3,211,860 -$210,063 6,968.27% 11
2024 Q4 50,880 $3,787,128 -$307,341 7,445.96% 12
2024 Q3 56,521 $4,387,299 -$2,722,948 7,763.21% 12
2024 Q2 91,703 $6,765,935 +$1,609,456 7,377.61% 13
2024 Q1 75,790 $5,373,802 +$892,934 7,107.92% 12
2023 Q4 64,871 $4,097,030 +$689,898 6,316.03% 14
2023 Q3 49,342 $2,931,013 -$7,318 5,940.47% 9
2023 Q2 49,852 $3,032,663 +$493,914 6,088.53% 10
2023 Q1 42,642 $2,346,114 +$445,855 5,501.87% 7
2022 Q4 45,330 $2,243,046 +$14,304 4,948.61% 6
2022 Q3 44,698 $2,261,000 -$234,275 5,036.73% 7
2022 Q2 48,851 $2,529,000 -$480,021 5,176.64% 7
2022 Q1 55,406 $3,675,000 -$267,019 6,632.57% 8
2021 Q4 59,134 $4,394,000 +$742,258 7,431.02% 10
2021 Q3 52,045 $3,939,000 +$35,566 7,569.17% 9
2021 Q2 45,828 $3,436,000 +$161,463 7,498.76% 8
2021 Q1 43,677 $3,023,000 -$782,821 6,921.1% 7
2020 Q4 55,132 $3,722,000 -$277,275 6,750.77% 8
2020 Q3 60,009 $3,676,000 +$400,826 6,074.69% 7
2020 Q2 53,482 $2,926,000 -$593,416 5,470.04% 6
2020 Q1 66,123 $2,870,000 -$611,325 4,338.64% 7
2019 Q4 79,547 $4,069,000 -$364,338 5,115.79% 8
2019 Q3 83,181 $4,099,000 +$10,233 4,930.08% 8
2019 Q2 86,647 $4,363,107 +$751,524 5,035.38% 9
2019 Q1 66,734 $3,254,000 -$1,185,437 4,868.32% 8
2018 Q4 96,147 $4,110,000 +$84,128 4,275.12% 11
2018 Q3 86,017 $4,818,608 +$1,344,321 5,669.04% 11
2018 Q2 61,100 $3,299,056 +$344,186 5,399.64% 9
2018 Q1 54,719 $2,789,229 -$336,304 5,099.94% 7
2017 Q4 61,449 $3,044,000 -$104,848 4,955.55% 7
2017 Q3 63,559 $3,151,000 -$1,245,843 4,955.95% 7
2017 Q2 89,608 $4,232,000 +$1,021,814 4,723.33% 10
2017 Q1 69,639 $3,165,121 +$197,098 4,546.4% 9
2016 Q4 66,294 $2,787,049 -$28,370 4,203.67% 8
2016 Q3 66,541 $2,933,266 +$99,475 4,406.9% 8
2016 Q2 64,379 $2,664,868 +$529,053 4,139.92% 8
2016 Q1 50,064 $2,013,975 -$318,369 4,022.53% 7
2015 Q4 58,670 $2,423,337 +$381,557 4,129.44% 8
2015 Q3 47,680 $1,989,804 -$1,538,182 4,172.23% 6
2015 Q2 82,510 $3,672,751 -$591,979 4,472.95% 10
2015 Q1 95,788 $4,226,245 +$1,682,733 4,411.62% 11
2014 Q4 57,954 $2,473,512 +$229,131 4,268.36% 8
2014 Q3 58,657 $2,684,000 +$53,454 4,575.51% 7
2014 Q2 57,602 $2,622,721 -$5,811 4,554.98% 8
2014 Q1 59,229 $2,570,093 +$97,862 4,338.01% 9