American Funds Invmt Co of Ame - COM Institutional Ownership

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

Type / Class
Equity / COM
Price per share
$62.60
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
70,805
Total reported value
$4,619,640
% of total 13F portfolios
0%
Share change
+61,079
Value change
+$4,096,104
Number of holders
6
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 6 institutional investors reported holding 70,805 shares of American Funds Invmt Co of Ame - COM.

Institutional Holders of American Funds Invmt Co of Ame - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 5,521 $345,630 $62.60 1
2025 Q3 70,805 $4,619,640 +$4,096,104 $66.74 6
2025 Q2 9,726 $614,290 -$98,352 $62.90 5
2025 Q1 11,290 $619,978 +$1,026 $55.72 5
2024 Q4 11,500 $669,049 -$374,102 $57.63 5
2024 Q3 15,306 $928,305 -$460,906 $60.75 6
2024 Q2 23,246 $1,331,664 +$419,867 $57.13 8
2024 Q1 15,960 $882,712 -$5,439 $55.44 6
2023 Q4 16,021 $806,845 -$1,233,175 $50.36 6
2023 Q3 41,909 $1,971,709 -$1,088,088 $46.13 6
2023 Q2 43,805 $2,082,920 +$1,052,184 $47.40 5
2023 Q1 21,597 $943,379 +$202,021 $43.68 4
2022 Q4 17,021 $702,134 +$235,565 $41.23 5
2022 Q3 10,461 $401,025 +$44,539 $38.36 3
2022 Q2 9,136 $373,329 -$4,111,582 $40.86 2
2022 Q1 93,019 $4,573,695 -$121,733 $49.17 3
2021 Q4 95,495 $4,942,000 +$1,726,741 $51.76 3
2021 Q3 62,131 $3,107,878 +$53,023 $50.02 3
2021 Q2 61,071 $3,047,618 -$194,186 $49.91 3
2021 Q1 64,961 $3,089,739 +$562,810 $47.33 3
2020 Q4 53,407 $2,369,907 -$40,070 $44.38 2
2020 Q3 54,310 $2,173,867 -$353,478 $40.03 2
2020 Q2 63,141 $2,407,602 -$54,607 $37.90 2
2020 Q1 64,647 $2,057,170 -$926,446 $31.83 3
2019 Q4 87,943 $3,473,804 +$462,683 $39.48 4
2019 Q3 76,348 $2,892,831 -$669,888 $37.95 5
2019 Q2 93,857 $3,572,680 +$459,813 $38.13 6
2019 Q1 82,058 $3,082,058 +$162,674 $37.59 5
2018 Q4 51,228 $1,735,900 -$217,129 $33.89 4
2018 Q3 54,878 $2,308,862 +$62,319 $42.08 5
2018 Q2 53,396 $2,150,409 +$73,227 $40.32 5
2018 Q1 51,578 $2,046,510 +$22,388 $39.67 6
2017 Q4 51,013 $2,059,753 +$924,189 $40.37 5
2017 Q3 28,114 $1,135,017 +$90,112 $40.39 4
2017 Q2 25,877 $1,005,866 -$235,587 $38.90 4
2017 Q1 32,080 $1,221,227 +$25,367 $38.07 5
2016 Q4 31,393 $1,135,804 +$215,871 $36.19 4
2016 Q3 25,428 $930,066 +$194,653 $36.56 4
2016 Q2 20,116 $713,394 -$108,894 $35.45 4
2016 Q1 22,555 $772,290 +$64,973 $34.24 4
2015 Q4 21,396 $714,066 -$17,180 $33.36 4
2015 Q3 21,178 $717,412 -$8,215,330 $33.86 3
2015 Q2 240,957 $8,994,525 -$2,613,581 $36.80 5
2015 Q1 311,046 $11,464,674 +$699,684 $36.86 5
2014 Q4 292,064 $10,827,236 +$621,094 $37.08 4
2014 Q3 275,309 $10,916,478 +$767,457 $39.66 4
2014 Q2 255,953 $10,089,079 +$399,641 $39.41 4
2014 Q1 248,328 $9,280,634 +$2,212,672 $37.36 5