FNPFX
New Perspective Fund
New Perspective Fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
277
Top-10 weight
27.07%
Effective holdings ?
84
Crowding ?
1122.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 111,747,056 $6.30B 4.12%
2 META PLATFORMS INC CL A 9,790,623 $5.60B 3.67%
3 CAPITAL GROUP CENTRAL CASH FUND CMQXX 50,618,956 $5.06B 3.31%
4 NVIDIA CORP 26,289,602 $4.58B 3.00%
5 BROADCOM INC 14,115,145 $4.37B 2.86%
6 MICROSOFT CORP 10,782,121 $3.99B 2.61%
7 TESLA INC 10,562,820 $3.93B 2.57%
8 ASTRAZENECA PLC 13,977,931 $2.73B 1.79%
9 LILLY ELI and CO 2,464,735 $2.27B 1.48%
10 ALPHABET INC CL C 7,583,609 $2.18B 1.42%
11 AMAZON.COM INC 10,303,507 $2.15B 1.40%
12 ALPHABET INC CL A 7,067,802 $2.03B 1.33%
13 ROYAL CARIBBEAN CRUISES LTD 6,729,861 $1.85B 1.21%
14 TOTALENERGIES SE 19,268,802 $1.78B 1.16%
15 SHOPIFY INC CL A 14,358,191 $1.70B 1.11%
16 PHILIP MORRIS INTL INC 9,712,731 $1.61B 1.05%
17 UNICREDIT SPA 22,121,435 $1.59B 1.04%
18 ASML Holding NV 1,192,028 $1.58B 1.03%
19 VERTEX PHARMACEUTICALS INC 3,366,011 $1.50B 0.98%
20 NORTHROP GRUMMAN CORP 2,083,386 $1.42B 0.93%
21 DSV PANALPINA A S DSV 5,603,632 $1.34B 0.88%
22 VISA INC-CLASS A 4,186,358 $1.27B 0.83%
23 SAMSUNG ELECTRONICS CO LTD 11,020,412 $1.24B 0.81%
24 COSTCO WHOLESALE CORP 1,239,426 $1.24B 0.81%
25 AIA Group Ltd 105,988,333 $1.19B 0.78%
26 Airbus SE 6,331,899 $1.19B 0.78%
27 BAE SYSTEMS PLC 40,847,534 $1.19B 0.78%
28 BANK OF AMERICA CORPORATION 23,975,728 $1.17B 0.77%
29 NESTLE SA (REG) 11,631,122 $1.15B 0.76%
30 GENERAL ELECTRIC CO 3,893,539 $1.10B 0.72%
31 CLOUDFLARE INC-A 5,350,785 $1.10B 0.72%
32 ROLLS-ROYCE HOLDINGS PLC 70,832,779 $1.08B 0.71%
33 INTUITIVE SURGICAL INC 2,309,555 $1.06B 0.70%
34 NETFLIX INC 10,767,751 $1.04B 0.68%
35 MERCADOLIBRE INC 580,950 $1.00B 0.66%
36 SCHNEIDER ELECTR 3,601,779 $989.30M 0.65%
37 ASML HOLDING-NY 748,365 $988.46M 0.65%
38 STARBUCKS CORP 10,799,810 $967.55M 0.63%
39 HITACHI LTD 32,491,000 $949.57M 0.62%
40 ROYALTY PHARMA PLC 19,645,749 $942.41M 0.62%
41 ENGIE 29,118,988 $938.80M 0.61%
42 APPLE INC 3,635,385 $922.62M 0.60%
43 MICRON TECHNOLOGY INC 2,713,293 $916.66M 0.60%
44 DEERE & CO 1,564,062 $881.04M 0.58%
45 RESTAURANT BRANDS INTERNATIONAL INC 11,694,954 $864.26M 0.57%
46 AMPHENOL CORPORATION CL A 6,670,180 $842.78M 0.55%
47 MASTERCARD INC CL A 1,663,139 $831.00M 0.54%
48 CITIGROUP INC 7,231,030 $820.07M 0.54%
49 SK HYNIX INC 1,499,765 $815.71M 0.53%
50 LINDE PLC 1,633,997 $810.07M 0.53%
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