FL
FundLens

FundLens / Funds / AMCPX

AMCAP Fund (AMCPX)

SEC CIK 4405 · Series S000008817 · Portfolio as of 2026-05-31

Net assets
$97.21B
Holdings
121
Snapshots
28
History since
2019-11-30

Top holdings

SecurityValueWeight
BROADCOM INC · AVGO$7.37B7.59%
NVIDIA CORP · NVDA$6.84B7.04%
AMAZON.COM INC · AMZN$6.03B6.21%
ALPHABET INC · GOOGL$5.61B5.77%
MICROSOFT CORP · MSFT$5.47B5.63%
ELI LILLY AND CO · LLY$4.47B4.60%
META PLATFORMS INC · META$3.73B3.84%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD · TSMWF$3.26B3.36%
TRANSDIGM GROUP INC · TDG$2.22B2.29%
VERTEX PHARMACEUTICALS INC · VRTX$2.08B2.14%

Sector exposure

technology
54.9%
healthcare
13.4%
consumer discretionary
9.3%
industrials
8.7%
financials
4.5%
other
3.5%
materials
1.8%
communication services
1.7%

Recent monthly returns

2025-12
-0.59%
2026-01
+0.24%
2026-02
-2.13%
2026-03
-6.79%
2026-04
+12.07%
2026-05
+4.22%

From N-PORT Part B, units verified by net-asset reconciliation.

Get this data via API

curl "https://api.fundlens.io/v1/funds/AMCPX/holdings" \
  -H "x-api-key: your_api_key"

Full holdings, every historical snapshot, point-in-time queries, monthly returns and flows — free tier available, no card required.

Source: SEC EDGAR Form N-PORT. Data is quarterly with a regulatory filing lag; this page shows the most recent public filing. Not investment advice.