New Perspective Fund - NPF - All Holdings | American Funds

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306 Total Holdings:
As of 12/31/17
All Holdings: 1 - 15 of 306
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow, Inc. Equity 2,398,740 $2,805,254,468.00 3.66%
Facebook, Inc., Class A Equity 9,802,000 $1,729,660,920.00 2.25%
Naspers Ltd., Class N Equity 6,129,901 $1,707,970,483.00 2.23%
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 221,552,994 $1,702,427,445.00 2.22%
Microsoft Corp. Equity 17,022,000 $1,456,061,880.00 1.9%
JPMorgan Chase & Co. Equity 11,172,300 $1,194,765,762.00 1.56%
Broadcom Ltd. Equity 4,316,600 $1,108,934,540.00 1.45%
ASML Holding NV Equity 6,292,109 $1,091,605,829.00 1.42%
British American Tobacco PLC Equity 15,690,289 $1,058,944,388.00 1.38%
CME Group Inc., Class A Equity 7,012,400 $1,024,161,020.00 1.33%
Samsung Electronics Co., Ltd. Equity 428,488 $1,018,012,353.00 1.33%
Pernod Ricard SA Equity 6,378,796 $1,009,704,470.00 1.32%
Alphabet Inc., Class C Equity 936,887 $980,358,557.00 1.28%
AIA Group Ltd. Equity 111,018,600 $946,801,957.00 1.23%
Nestlé SA Equity 10,704,918 $919,896,398.00 1.2%
All Holdings: 1 - 15 of 306

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  1. Excludes certain securities in initial period of acquisition.

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