TWDGX
American Funds Developing World Growth & Income Fund
American Funds Developing World Growth & Income Fund

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
138
Top-10 weight
37.37%
Effective holdings ?
40
Crowding ?
376.3

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 4,272,000 $272.16M 10.77%
2 SK HYNIX INC 149,711 $110.42M 4.37%
3 SAMSUNG ELECTRONICS CO LTD 711,107 $107.02M 4.23%
4 TENCENT HOLDINGS LTD 1,354,002 $89.65M 3.55%
5 CAPITAL GROUP CENTRAL CASH FUND CMQXX 880,173 $88.02M 3.48%
6 BABA-W 3,898,500 $71.21M 2.82%
7 HANA FINANCIAL G 722,237 $61.15M 2.42%
8 MEDIATEK 870,000 $53.42M 2.11%
9 TAIWAN SEMIC MFG CO LTD SP ADR 129,645 $48.56M 1.92%
10 VALTERRA PLATINU 382,138 $44.74M 1.77%
11 BARRICK MINING CORP 850,853 $43.17M 1.71%
12 CHINA RES LAND 10,257,500 $41.67M 1.65%
13 MTN GROUP LTD 3,036,736 $39.58M 1.57%
14 AXIS BK LTD AXSB 2,530,298 $38.49M 1.52%
15 AIA Group Ltd 3,467,400 $38.47M 1.52%
16 CHOLAMANDALAM IN 1,805,325 $34.35M 1.36%
17 PICC P&C-H 15,171,386 $31.40M 1.24%
18 REDE D'OR SAO LU 3,936,572 $30.95M 1.22%
19 HANWHA AEROSPACE 34,477 $28.64M 1.13%
20 BHARTI AIRTEL LIMITED 1,337,762 $27.63M 1.09%
21 H World Group Ltd. SPONSORED ADS HTHT US 490,153 $26.86M 1.06%
22 PETROLEO BRASILEIRO SPONS ADR 1,586,761 $26.39M 1.04%
23 INTL CONTAINER TERM SVCS INC COMMON STOCK ICT 2,036,050 $25.35M 1.00%
24 NETEASE INC 1,061,900 $24.32M 0.96%
25 PICC GROUP-H 29,603,000 $24.25M 0.96%
26 MOTIVA INFRAESTR 7,207,631 $23.41M 0.93%
27 ABU DHABI ISLAMI 3,240,595 $22.50M 0.89%
28 SAMSUNG LIFE INS 140,506 $22.47M 0.89%
29 GRUPO F BANORT-O 1,925,264 $21.95M 0.87%
30 TIM SA 3,874,852 $21.09M 0.83%
31 GRUPO MEXICO-B 1,647,336 $20.95M 0.83%
32 SABIC 1,402,004 $20.26M 0.80%
33 CONCH CEMENT-H 6,140,000 $19.23M 0.76%
34 FUYAO GLASS-A 2,179,253 $19.20M 0.76%
35 SHRIRAM FINANCE 1,585,860 $18.82M 0.74%
36 EMAAR PROP PJSC 4,255,841 $18.77M 0.74%
37 SAMSUNG FIRE & M 50,100 $18.46M 0.73%
38 SHENZHEN INOVA-A 1,720,525 $18.30M 0.72%
39 Suzano SA 1,583,983 $17.92M 0.71%
40 MERCADOLIBRE INC 10,048 $17.66M 0.70%
41 ASIA COMMERCIAL JOINT STOCK BANK ACB 18,263,408 $17.22M 0.68%
42 JIANGSU HENGRU-A 2,085,639 $17.21M 0.68%
43 PDD HOLDINGS INC ADR 162,984 $16.91M 0.67%
44 ADNOC GAS PLC 18,014,814 $16.68M 0.66%
45 NetEase Inc. SPON ADS EACH REP 25 ORD SH NTES US 141,169 $16.23M 0.64%
46 ICICI BANK LTD 1,066,204 $16.16M 0.64%
47 CAPITEC BANK HOLDINGS LTD COMMON STOCK CPI 53,649 $15.98M 0.63%
48 SIAM CEMENT -FOR 2,196,500 $15.90M 0.63%
49 ABU DHABI COMMER 3,685,560 $15.21M 0.60%
50 GODREJ CONSUMER PRODUCTS LTD COMMON STOCK GODREJCP 1,120,769 $15.00M 0.59%
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