Capital Research and Management Company - Division 3

Capital International Investors^ as of March 31, 2013

Portfolio Holdings for Capital International Investors^

Capital International Investors^ holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                CAPITAL INTERNATIONAL INVESTORS                FORM 13F INFORMATION TABLE
A DIVISION OF CAPITAL RESEARCH AND MANAGEMENT COMPANY                                                               MAR 29, 2013
              COLUMN 1 & COLUMN 2        COLUMN 3  COLUMN 4       COLUMN 5         COLUMN 6   COLUMN 7*       COLUMN 8
--------------------------------------   --------- --------- --------------------- ---------- --------- -------------------------
      NAME OF ISSUER/TITLE OF CLASS       CUSIP    VALUE     SHRS OR      SH/ PUT/ INVESTMENT OTHER
   (COMMON UNLESS OTHERWISE INDICATED)             (x$1000)  PRN AMT      PRN CALL DISCRETION MGRS      SOLE     SHARED     NONE
--------------------------------------   --------- --------- --------------------- ---------- --------- -------------------------
{S}                                      {C}       {C}       {C}          {C}     {C}        {C}       {C}      {C}     {C}
3M COMPANY                               88579Y101 $  236115      2221000 SH       DEFINED     1,2  2221000
ABBVIE INC                               00287Y109    220905      5417000 SH       DEFINED     1,2  5417000
ABBOTT LABORATORIES                      002824100    181086      5127000 SH       DEFINED     1,2  5127000
ACE LTD                                  B3BQMF6      163260      1835000 SH       DEFINED     1,2  1835000
AIR PRODUCTS & CHEMICALS INC             009158106    144619      1660000 SH       DEFINED     1,2  1660000
AMAZON.COM INC                           023135106    258575       970300 SH       DEFINED     1,2   970300
AMERICA MOVIL SAB DE CV L ADR            02364W105    148950      7106400 SH       DEFINED     1,2  7106400
AMGEN INC                                031162100    460593      4493148 SH       DEFINED     1,2  4493148
AON PLC CL A                             B5BT0K0      125153      2035000 SH       DEFINED     1,2  2035000
APACHE CORP                              037411105     43981       570000 SH       DEFINED     1,2   570000
APPLE INC                                037833100    261904       591700 SH       DEFINED     1,2   591700
ARCOS DORADOS HOLDINGS INC CL A          B529PQ0       61776      4680000 SH       DEFINED     1,2  4680000
ARTHUR J GALLAGHER & CO                  363576109    109217      2643848 SH       DEFINED     1,2  2643848
ASML HOLDING NV (USD)                    B908F01      104735      1540000 SH       DEFINED     1,2  1540000
AT^T INC                                 00206R102    109850      2994000 SH       DEFINED     1,2  2994000
AVAGO TECHNOLOGIES LTD                   B3WS2X9       17924       499000 SH       DEFINED     1,2   499000
AVON PRODUCTS INC                        054303102    143763      6935000 SH       DEFINED     1,2  6935000
BAKER HUGHES INC                         057224107     95373      2055000 SH       DEFINED     1,2  2055000
BANCO SANTANDER (BRASIL) ADR (REP 1      05967A107      7285      1003400 SH       DEFINED     1,2  1003400
  SANB11 UNIT)
BANK OF NEW YORK MELLON CORP             064058100    110460      3946400 SH       DEFINED     1,2  3946400
BANK OF NOVA SCOTIA (THE)                064149107    207183      3560000 SH       DEFINED     1,2  3560000
BAXTER INTERNATIONAL INC                 071813109    170413      2346000 SH       DEFINED     1,2  2346000
BCE INC (USD)                            05534B760     46690      1000000 SH       DEFINED     1,2  1000000
BOSTON SCIENTIFIC CORP                   101137107     22649      2900000 SH       DEFINED     1,2  2900000
BP PLC ADR                               055622104     33880       800000 SH       DEFINED     1,2   800000
BRISTOL-MYERS SQUIBB CO                  110122108    181582      4408400 SH       DEFINED     1,2  4408400
CANADIAN NATURAL RESOURCES LTD           136385101    107696      3360000 SH       DEFINED     1,2  3360000
CARDINAL HEALTH INC                      14149Y108    118825      2855000 SH       DEFINED     1,2  2855000
CARNIVAL CORP COMMON PAIRED STOCK        143658300    243873      7110000 SH       DEFINED     1,2  7110000
CELANESE CORPORATION SERIES A            150870103    120715      2740400 SH       DEFINED     1,2  2740400
CELGENE CORP                             151020104    186662      1610400 SH       DEFINED     1,2  1610400
CENOVUS ENERGY INC                       15135U109    134063      4330200 SH       DEFINED     1,2  4330200
CENOVUS ENERGY INC (USD)                 15135U109     31765      1025000 SH       DEFINED     1,2  1025000
CENTURYLINK INC                          156700106      2767        78775 SH       DEFINED     1,2    78775
CHEVRON CORP                             166764100    266905      2246300 SH       DEFINED     1,2  2246300
CIA DE BEBIDAS DAS AMERICAS PN ADR       20441W203     27515       650000 SH       DEFINED     1,2   650000
  (AMBEV)
CITIGROUP INC                            172967424    175112      3958220 SH       DEFINED     1,2  3958220
CME GROUP INC CL A                       12572Q105     25373       413300 SH       DEFINED     1,2   413300
COACH INC                                189754104     68787      1376022 SH       DEFINED     1,2  1376022
COBALT INTERNATIONAL ENERGY INC          19075F106    127831      4533000 SH       DEFINED     1,2  4533000
COCA-COLA CO                             191216100    224794      5558700 SH       DEFINED     1,2  5558700
COGNIZANT TECHNOLOGY SOLUTIONS CORP CL A 192446102     24561       320600 SH       DEFINED     1,2   320600
COLGATE-PALMOLIVE CO                     194162103     66687       565000 SH       DEFINED     1,2   565000
COMCAST CORP CL A                        20030N101     89960      2141400 SH       DEFINED     1,2  2141400
COMCAST CORP CL A SPECIAL N/V            20030N200     59430      1500000 SH       DEFINED     1,2  1500000
COMPUTER SCIENCES CORP                   205363104     83445      1695000 SH       DEFINED     1,2  1695000
COMVERSE INC                             20585P105      2720        97000 SH       DEFINED     1,2    97000
CONOCOPHILLIPS                           20825C104    159166      2648360 SH       DEFINED     1,2  2648360
CRH PLC ADR                              12626K203     24057      1089059 SH       DEFINED     1,2  1089059
CROWN CASTLE INTL CORP                   228227104     17313       248600 SH       DEFINED     1,2   248600
CSX CORP                                 126408103     70442      2860000 SH       DEFINED     1,2  2860000
CVS CAREMARK CORP                        126650100    222435      4045000 SH       DEFINED     1,2  4045000
DARDEN RESTAURANTS INC                   237194105     66094      1278900 SH       DEFINED     1,2  1278900
DELL INC                                 24702R101     35965      2509800 SH       DEFINED     1,2  2509800
DEVON ENERGY CORP                        25179M103     16926       300000 SH       DEFINED     1,2   300000
DIAMOND OFFSHORE DRILLING INC            25271C102     50705       728941 SH       DEFINED     1,2   728941
DOMINION RESOURCES INC                   25746U109     34908       600000 SH       DEFINED     1,2   600000
DOW CHEMICAL CO                          260543103    291027      9140300 SH       DEFINED     1,2  9140300
DUKE ENERGY CORP                         26441C204    105470      1452957 SH       DEFINED     1,2  1452957
E.I. DU PONT DE NEMOURS AND CO           263534109     33920       690000 SH       DEFINED     1,2   690000
EATON CORP PLC                           B8KQN82      135246      2208100 SH       DEFINED     1,2  2208100
EDWARDS LIFESCIENCES CORP                28176E108     87254      1062000 SH       DEFINED     1,2  1062000
EMERSON ELECTRIC CO                      291011104    209792      3755000 SH       DEFINED     1,2  3755000
ENCANA CORP (USD)                        292505104     40315      2071700 SH       DEFINED     1,2  2071700
EOG RESOURCES INC                        26875P101     58912       460000 SH       DEFINED     1,2   460000
EXELON CORPORATION                       30161N101     27929       810000 SH       DEFINED     1,2   810000
EXPRESS SCRIPTS HOLDING CO               30219G108     58947      1022500 SH       DEFINED     1,2  1022500
FIRST SOLAR INC                          336433107      4583       170000 SH       DEFINED     1,2   170000
FIRSTENERGY CORP                         337932107     23210       550000 SH       DEFINED     1,2   550000
FMC CORP                                 302491303     31024       544000 SH       DEFINED     1,2   544000
GARMIN LTD                               B3Z5T14       53101      1607172 SH       DEFINED     1,2  1607172
GENERAL DYNAMICS CORP                    369550108     19743       280000 SH       DEFINED     1,2   280000
GENERAL ELECTRIC CO                      369604103     83232      3600000 SH       DEFINED     1,2  3600000
GENERAL MOTORS COMPANY                   37045V100    140175      5038630 SH       DEFINED     1,2  5038630
GENERAL MOTORS COMPANY JR CV PFD SER B   37045V209     19971       465095 SH       DEFINED     1,2   465095
  4.75% 12-01-13
GENERAL MOTORS COMPANY SERIES A WTS 1:1  37045V118      1466        79175 SH       DEFINED     1,2    79175
  @ $10.00 EXP 07-10-16
GENERAL MOTORS COMPANY SERIES B WTS 1:1  37045V126       934        79175 SH       DEFINED     1,2    79175
  @ $18.33 EXP 07-10-19
GILEAD SCIENCES INC                      375558103    457706      9354300 SH       DEFINED     1,2  9354300
GOLDMAN SACHS GROUP INC                  38141G104    141661       962700 SH       DEFINED     1,2   962700
GOOGLE INC CL A                          38259P508    173257       218200 SH       DEFINED     1,2   218200
GRIFOLS SA B ADR                         398438408     20348       701400 SH       DEFINED     1,2   701400
HALLIBURTON CO                           406216101    139617      3455000 SH       DEFINED     1,2  3455000
HARMAN INTL INDS                         413086109     67391      1510000 SH       DEFINED     1,2  1510000
HOLOGIC INC                              436440101     16498       730000 SH       DEFINED     1,2   730000
HOME DEPOT INC                           437076102    454617      6515000 SH       DEFINED     1,2  6515000
HOSPIRA INC                              441060100    106369      3240000 SH       DEFINED     1,2  3240000
HSBC HOLDINGS PLC ADR                    404280406     82067      1538570 SH       DEFINED     1,2  1538570
HUDSON CITY BANCORP INC                  443683107     14653      1696000 SH       DEFINED     1,2  1696000
ICICI BANK LTD ADR                       45104G104     25041       583700 SH       DEFINED     1,2   583700
IRON MOUNTAIN INC                        462846106     66656      1835742 SH       DEFINED     1,2  1835742
ITAU UNIBANCO HOLDING SA PN ADR          465562106    101328      5692599 SH       DEFINED     1,2  5692599
JABIL CIRCUIT INC                        466313103     84980      4598500 SH       DEFINED     1,2  4598500
JOHNSON & JOHNSON                        478160104     16306       200000 SH       DEFINED     1,2   200000
JPMORGAN CHASE & CO                      46625H100    220689      4650000 SH       DEFINED     1,2  4650000
KIMBERLY-CLARK CORP                      494368103     62707       640000 SH       DEFINED     1,2   640000
KLA-TENCOR CORP                          482480100    106941      2027697 SH       DEFINED     1,2  2027697
KRAFT FOODS GROUP INC                    50076Q106     64172      1245333 SH       DEFINED     1,2  1245333
LINEAR TECHNOLOGY CORP                   535678106     90170      2350000 SH       DEFINED     1,2  2350000
LOCKHEED MARTIN CORP                     539830109    129819      1345000 SH       DEFINED     1,2  1345000
MAGNA INTERNATIONAL INC (USD)            559222401     85467      1456000 SH       DEFINED     1,2  1456000
MARSH & MCLENNAN COMPANIES INC           571748102    130901      3447494 SH       DEFINED     1,2  3447494
MATTEL INC                               577081102     96557      2205000 SH       DEFINED     1,2  2205000
MCGRAW-HILL COMPANIES INC (THE)          580645109     16751       321643 SH       DEFINED     1,2   321643
MEADWESTVACO CORP                        583334107     61710      1700000 SH       DEFINED     1,2  1700000
MEDTRONIC INC                            585055106     66448      1415000 SH       DEFINED     1,2  1415000
MERCK & CO INC                           58933Y105    271001      6127090 SH       DEFINED     1,2  6127090
MICROSOFT CORP                           594918104    423531     14803598 SH       DEFINED     1,2 14803598
MINDRAY MEDICAL INTL LTD CL A ADR        602675100    106800      2674000 SH       DEFINED     1,2  2674000
MOLSON COORS BREWING COMPANY CL B        60871R209     50574      1033600 SH       DEFINED     1,2  1033600
MONDELEZ INTERNATIONAL INC               609207105    114359      3736000 SH       DEFINED     1,2  3736000
MOODYS CORP                              615369105    205525      3854558 SH       DEFINED     1,2  3854558
MOSAIC COMPANY (THE)                     61945C103    121295      2034816 SH       DEFINED     1,2  2034816
NEWELL RUBBERMAID INC                    651229106    129195      4950000 SH       DEFINED     1,2  4950000
NEWS CORP INC CL A (LIMITED VOTING)      65248E104    154355      5057500 SH       DEFINED     1,2  5057500
NOBLE ENERGY INC                         655044105    145732      1260000 SH       DEFINED     1,2  1260000
NORFOLK SOUTHERN CORP                    655844108    132192      1715000 SH       DEFINED     1,2  1715000
NOVARTIS AG NAMEN ADR                    66987V109    104295      1464000 SH       DEFINED     1,2  1464000
NYSE EURONEXT                            629491101    247366      6401805 SH       DEFINED     1,2  6401805
ORACLE CORP                              68389X105    382744     11835000 SH       DEFINED     1,2 11835000
PARTNERRE HLDGS LTD                      2671932      129889      1395000 SH       DEFINED     1,2  1395000
PEPSICO INC                              713448108    151496      1915000 SH       DEFINED     1,2  1915000
PETROLEO BRASILEIRO ON ADR (PETROBRAS)   71654V408    142701      8612000 SH       DEFINED     1,2  8612000
PETROLEO BRASILEIRO PN ADR (PETROBRAS)   71654V101     14577       803150 SH       DEFINED     1,2   803150
PFIZER INC                               717081103    250361      8675000 SH       DEFINED     1,2  8675000
PG^E CORP                                69331C108    118227      2655000 SH       DEFINED     1,2  2655000
PITNEY BOWES INC                         724479100      5235       352300 SH       DEFINED     1,2   352300
POTASH CORP OF SASKATCHEWAN INC (USD)    73755L107     52988      1350000 SH       DEFINED     1,2  1350000
PPL CORPORATION CV PFD EQUITY UNITS 9.5% 69351T601     16440       300000 SH       DEFINED     1,2   300000
  07-01-13
PRAXAIR INC                              74005P104     89112       798924 SH       DEFINED     1,2   798924
PRICELINE.COM INC                        741503403    153408       223000 SH       DEFINED     1,2   223000
PROCTER & GAMBLE CO                      742718109     21192       275000 SH       DEFINED     1,2   275000
PUBLIC SERVICE ENTERPRISE GROUP INC      744573106     10302       300000 SH       DEFINED     1,2   300000
QUESTAR CORP                             748356102     10219       420000 SH       DEFINED     1,2   420000
REPUBLIC SERVICES INC                    760759100    139590      4230000 SH       DEFINED     1,2  4230000
ROCKWELL AUTOMATION INC                  773903109    125208      1450000 SH       DEFINED     1,2  1450000
ROYAL CARIBBEAN CRUISES LTD              2754907      124854      3758400 SH       DEFINED     1,2  3758400
ROYAL DUTCH SHELL PLC A ADR              780259206    109319      1677700 SH       DEFINED     1,2  1677700
ROYAL DUTCH SHELL PLC B ADR              780259107     86398      1292999 SH       DEFINED     1,2  1292999
SCHLUMBERGER LTD                         806857108    227815      3042000 SH       DEFINED     1,2  3042000
SIEMENS AG ADR                           826197501     13475       125000 SH       DEFINED     1,2   125000
SIRIUS XM RADIO INC                      82967N108     34049     11055000 SH       DEFINED     1,2 11055000
SNAP-ON INC                              833034101     62025       750000 SH       DEFINED     1,2   750000
SOUTHWEST AIRLINES CO                    844741108     58099      4310000 SH       DEFINED     1,2  4310000
STATE STREET CORP                        857477103    128917      2181700 SH       DEFINED     1,2  2181700
STRYKER CORP                             863667101     23007       352651 SH       DEFINED     1,2   352651
TE CONNECTIVITY LTD                      B62B7C3       19340       461250 SH       DEFINED     1,2   461250
TEVA PHARMACEUTICAL INDUSTRIES LTD ADR   881624209     28173       710000 SH       DEFINED     1,2   710000
TEXAS INSTRUMENTS INC                    882508104    345031      9724659 SH       DEFINED     1,2  9724659
TIFFANY & CO                             886547108     22246       319900 SH       DEFINED     1,2   319900
TIME WARNER CABLE INC                    88732J207    142833      1486915 SH       DEFINED     1,2  1486915
TIME WARNER INC                          887317303    240081      4166633 SH       DEFINED     1,2  4166633
TRANSOCEAN LTD (USD)                     B3KFWW1       29513       568000 SH       DEFINED     1,2   568000
UAL CORP CV SR NT 6.0% 10-15-29          902549AJ3     32105     $8610000 PRN      DEFINED     1,2 $8610000
UBS AG NAMEN                             B18YFJ4       20583      1343666 SH       DEFINED     1,2  1343666
UNION PACIFIC CORP                       907818108     23925       168000 SH       DEFINED     1,2   168000
UNITED CONTINENTAL HOLDINGS INC          910047109     20326       635000 SH       DEFINED     1,2   635000
UNITED PARCEL SERVICE INC CL B           911312106    201066      2340700 SH       DEFINED     1,2  2340700
UNITED TECHNOLOGIES CORP                 913017109    453705      4856100 SH       DEFINED     1,2  4856100
VERINT SYSTEMS INC                       92343X100      4603       125924 SH       DEFINED     1,2   125924
VERISIGN INC                             92343E102     32959       697100 SH       DEFINED     1,2   697100
VERIZON COMMUNICATIONS INC               92343V104    157034      3195000 SH       DEFINED     1,2  3195000
VISA INC CL A                            92826C839     24627       145000 SH       DEFINED     1,2   145000
WASTE MANAGEMENT INC                     94106L109    190169      4850000 SH       DEFINED     1,2  4850000
WATERS CORP                              941848103     30990       330000 SH       DEFINED     1,2   330000
WELLS FARGO & CO                         949746101    143706      3885000 SH       DEFINED     1,2  3885000
WESTERN UNION CO                         959802109      6016       400000 SH       DEFINED     1,2   400000
WILLIAMS-SONOMA INC                      969904101     41989       815000 SH       DEFINED     1,2   815000
WILLIS GROUP HOLDINGS PLC                B4XGY11       55878      1415000 SH       DEFINED     1,2  1415000
XCEL ENERGY INC                          98389B100     29700      1000000 SH       DEFINED     1,2  1000000
YAHOO! INC                               984332106    107297      4560000 SH       DEFINED     1,2  4560000

                                                -----------------
                                         GRAND  $   18374254


*  INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES
   OTHER THAN FORM 13F