American Funds Insurance Series - New World fund
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Fund Overview
Advisor
Capital Research and Management Company
Objective/Focus:
Objective is long-term capital appreciation. Seeks broad exposure to emerging markets opportunities, principally by investing in emerging markets companies as well as multinational companies with material emerging markets exposure. Includes a relatively small opportunistic sleeve of emerging markets fixed income with attractive total return potential.
Asset Class:
International Stocks
Style:
Growth
Fund Facts as of 3/31/2026
Fund Inception
1/6/2017
First Available for Variable Annuity
7/1/2025
First Available for Variable Life
7/1/2025
Net Assets
$3.91 Billion
Top 10 Portfolio Holdings % of Net Assets
Taiwan Semiconductor Manufacturing Co., Ltd.
8.8%
SK Hynix
3.1%
Tencent
2.5%
Broadcom
1.6%
MercadoLibre
1.5%
Alphabet
1.3%
Samsung Electronics
1.3%
NVIDIA
1.3%
Microsoft
1.2%
International Container Terminal Services
1.2%
Total % of Net Assets
23.8%
Sector Weightings % of Equities
Emerging Markets ex. China
47.7%
United States
16.4%
Europe & Middle East
13.7%
China
13.4%
Japan
3.2%