American Funds Growth Fund of - COM Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Price per share
$80.11
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
77,607
Total reported value
$6,749,314
% of total 13F portfolios
0%
Share change
+61,168
Value change
+$5,385,170
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 7 institutional investors reported holding 77,607 shares of American Funds Growth Fund of - COM.

Institutional Holders of American Funds Growth Fund of - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 11,748 $941,171 +$6,810 $80.11 2
2025 Q3 77,607 $6,749,314 +$5,385,170 $87.61 7
2025 Q2 16,439 $1,348,620 -$830,257 $81.97 6
2025 Q1 29,720 $2,070,026 +$1,499,220 $69.44 5
2024 Q4 10,993 $818,646 -$2,050,183 $74.18 5
2024 Q3 36,581 $2,833,361 -$2,315,111 $77.47 6
2024 Q2 67,945 $5,013,896 +$2,465,159 $73.57 7
2024 Q1 34,643 $2,454,225 -$114,907 $70.85 5
2023 Q4 36,351 $2,287,533 -$2,489,860 $62.92 7
2023 Q3 77,429 $4,613,238 -$1,160,806 $59.29 9
2023 Q2 86,716 $5,281,742 +$3,331,061 $60.73 6
2023 Q1 31,868 $1,745,881 +$201,799 $54.85 4
2022 Q4 36,877 $1,817,633 +$216,383 $49.29 5
2022 Q3 29,861 $1,501,000 -$602,743 $50.28 3
2022 Q2 41,540 $2,146,000 +$384,897 $51.67 5
2022 Q1 34,091 $2,256,000 -$190,000 $66.21 4
2021 Q4 36,663 $2,715,000 +$43,374 $74.01 5
2021 Q3 35,920 $2,715,000 +$36,416 $75.60 4
2021 Q2 35,438 $2,651,000 -$508,869 $74.80 4
2021 Q1 42,324 $2,969,000 +$1,395,000 $69.00 5
2020 Q4 22,814 $1,535,000 +$27,827 $67.17 4
2020 Q3 21,290 $1,291,000 $0 $60.64 2
2020 Q2 21,290 $1,162,000 $0 $54.58 2
2020 Q1 21,290 $922,000 -$114,022 $43.30 2
2019 Q4 23,922 $1,219,000 +$3,310 $50.95 2
2019 Q3 26,308 $1,293,525 -$190,630 $49.17 3
2019 Q2 30,019 $1,508,000 -$298,845 $50.21 3
2019 Q1 36,371 $1,773,000 -$4,323,997 $48.57 3
2018 Q4 121,923 $5,197,000 +$1,790,945 $42.64 4
2018 Q3 79,908 $4,526,000 +$2,746,430 $56.64 3
2018 Q2 31,689 $1,708,000 +$605,000 $53.90 4
2018 Q1 20,460 $1,042,000 $0 $50.93 2
2017 Q4 20,460 $1,012,000 -$19,654 $49.46 2
2017 Q3 20,855 $1,033,000 $0 $49.53 3
2017 Q2 155,324 $7,327,059 +$77,451 $47.17 5
2017 Q1 155,242 $7,043,067 +$538,298 $45.37 6
2016 Q4 143,377 $6,014,434 +$326,429 $41.95 5
2016 Q3 135,595 $5,974,364 +$4,966,181 $44.06 5
2016 Q2 22,908 $947,233 -$5,004 $41.35 5
2016 Q1 22,429 $900,563 $0 $40.15 4
2015 Q4 23,029 $948,916 +$126 $41.21 5
2015 Q3 22,426 $935,456 -$15,332,948 $41.72 4
2015 Q2 375,927 $16,334,500 -$2,868,041 $44.67 6
2015 Q1 442,467 $19,499,629 +$399,252 $44.07 5
2014 Q4 433,819 $18,480,773 +$2,360,294 $42.60 4
2014 Q3 378,079 $17,304,462 +$1,748,506 $45.76 4
2014 Q2 339,877 $15,481,887 -$930,603 $45.58 4
2014 Q1 362,350 $15,723,409 +$2,074,561 $43.72 4