C000067964 Holdings — JNL/Invesco International Growth Fund

All 251 reported holdings of JNL/Invesco International Growth Fund (C000067964) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding N.V.3.20%$46.20M
Taiwan Semiconductor Manufacturing Company Limited3.06%$44.08M
Taiwan Semiconductor Manufacturing Company Limited2.74%$39.44M
Samsung Electronics Co., Ltd.2.58%$37.27M
SK Hynix Inc.2.56%$36.90M
Jackson National Asset Management, LLC2.51%$36.21M
Rolls-Royce Holdings PLC1.99%$28.68M
JNL Government Money Market Fund1.97%$28.39M
Kioxia Holdings Corporation1.86%$26.84M
Teva Pharmaceutical Industries Ltd1.41%$20.37M
Siemens Energy AG1.41%$20.35M
Barclays PLC1.25%$18.07M
Nebius Group N.V.1.24%$17.89M
Unicredit, Societa' Per Azioni In Forma Abbreviata Unicredit S.P.A.1.10%$15.84M
Tencent Holdings Limited1.04%$14.99M
Canadian Natural Resources Limited1.02%$14.68M
Babcock International Group PLC1.00%$14.40M
Galderma Group AG0.90%$13.00M
Sumitomo Mitsui Financial Group, Inc.0.88%$12.64M
Lottomatica Group S.p.A.0.83%$11.97M
Toronto-Dominion Bank, The0.81%$11.72M
London Stock Exchange Group PLC0.79%$11.45M
Constellation Software Inc.0.78%$11.30M
Companhia De Saneamento Basico Do Estado De Sao Paulo-Sabesp0.76%$11.03M
AIA Group Limited0.76%$10.98M
Keyence Corporation0.73%$10.60M
Societe Generale0.73%$10.47M
Sony Group Corporation0.71%$10.23M
Prysmian S.p.A.0.71%$10.20M
Fujikura Ltd.0.70%$10.11M
Banco Bilbao Vizcaya Argentaria S.A.0.70%$10.09M
Recruit Holdings Co., Ltd.0.70%$10.09M
Winbond Electronics Corp.0.67%$9.69M
Canadian Imperial Bank of Commerce0.67%$9.65M
NatWest Group PLC0.67%$9.60M
Safran0.66%$9.55M
Hong Kong Exchanges and Clearing Limited0.66%$9.53M
Halma Public Limited Company0.64%$9.28M
Advantest Corporation0.64%$9.27M
Hon Hai Precision Industry Co., Ltd.0.63%$9.15M
Japan Post Holdings Co., Ltd.0.63%$9.09M
Argenx SE0.61%$8.82M
Sandoz Group AG0.61%$8.79M
Sompo Holdings, Inc.0.61%$8.76M
Sanofi0.60%$8.71M
ORIX Corporation0.59%$8.57M
Japan Exchange Group, Inc.0.59%$8.57M
ABB Ltd0.59%$8.47M
Antofagasta PLC0.58%$8.43M
Daiwa House Industry Co., Ltd.0.58%$8.38M
Novo Nordisk A/S0.58%$8.35M
Mizuho Financial Group, Inc.0.58%$8.34M
Brookfield Corporation0.58%$8.31M
Credit Saison Co., Ltd.0.57%$8.27M
Fast Retailing Co., Ltd.0.57%$8.20M
KB Financial Group Inc.0.57%$8.17M
UBS Group AG0.56%$8.02M
Deutsche Telekom AG0.55%$7.89M
Iberdrola, Sociedad Anonima0.55%$7.89M
Diploma PLC0.53%$7.67M
Bayer Aktiengesellschaft0.52%$7.48M
Suncor Energy Inc.0.52%$7.45M
Accton Technology Corporation0.52%$7.43M
SLB Limited0.51%$7.42M
AstraZeneca PLC0.51%$7.34M
Enel - Spa0.51%$7.32M
Astellas Pharma Inc.0.50%$7.19M
British American Tobacco P.L.C.0.50%$7.18M
Susumitomo Chemical Co., Ltd.0.49%$7.09M
Rentokil Initial PLC0.49%$7.04M
Investec PLC0.49%$7.02M
Novo Nordisk A/S0.49%$7.02M
JD.com, Inc.0.48%$6.99M
Hitachi, Ltd.0.48%$6.95M
WuXi Biologics (Cayman) Inc.0.48%$6.91M
Unilever PLC0.47%$6.83M
Fortuna Mining Corp.0.47%$6.81M
Tesco PLC0.45%$6.55M
Haleon PLC0.45%$6.53M
Sandvik Aktiebolag0.45%$6.52M
Contemporary Amperex Technology Co., Limited0.45%$6.47M
Credicorp Ltd.0.45%$6.42M
Sse PLC0.44%$6.29M
Dollarama Inc.0.43%$6.21M
TotalEnergies SE0.43%$6.21M
IHI Corporation0.43%$6.16M
Singapore Telecommunications Limited0.42%$6.11M
U C B0.42%$6.10M
Cameco Corporation0.42%$6.09M
Assa Abloy Ab0.41%$5.98M
Bunge Global S.A.0.40%$5.84M
AON Public Limited Company0.40%$5.83M
Glencore PLC0.40%$5.81M
Turkiye Is Bankasi Anonim Sirketi0.40%$5.70M
Cementir Holding N.V.0.39%$5.69M
ASM International N.V.0.39%$5.66M
InterContinental Hotels Group PLC0.39%$5.65M
Baidu, Inc.0.39%$5.64M
Anglo American PLC0.39%$5.63M
Munchener Ruckversicherungs-Gesellschaft Aktiengesellschaft in Munchen0.39%$5.63M
HDFC Bank Limited0.38%$5.54M
L'Oreal0.38%$5.49M
AIB Group Public Limited Company0.38%$5.49M
Bharti Airtel Limited0.38%$5.47M
Convatec Group PLC0.38%$5.46M
ASICS Corporation0.37%$5.29M
Chubb Limited0.37%$5.27M
Sumitomo Electric Industries, Ltd.0.36%$5.26M
Check Point Software Technologies Ltd0.34%$4.93M
Relx PLC0.34%$4.91M
Experian PLC0.34%$4.90M
Nsk Ltd.0.34%$4.86M
Kumpulan Sime Darby Berhad0.34%$4.85M
Computershare Limited0.34%$4.84M
Embraer S.A.0.33%$4.75M
Tokyo Electron Limited0.33%$4.69M
Wise Group PLC0.32%$4.66M
Prosus N.V.0.31%$4.45M
LVMH Moet Hennessy Louis Vuitton0.31%$4.43M
Sap SE0.31%$4.43M
Tui AG0.31%$4.41M
Hexagon Aktiebolag0.30%$4.40M
Argenx SE0.30%$4.39M
Yunnan Aluminium Co,Ltd.0.30%$4.38M
Toromont Industries Ltd.0.30%$4.32M
Chugai Pharmaceutical Co., Ltd.0.30%$4.30M
RATIONAL Aktiengesellschaft0.29%$4.21M
Lundin Gold Inc.0.29%$4.19M
Nan Ya Technology Corporation0.28%$4.04M
Partners Group Holding AG0.28%$3.98M
Equinor ASA0.27%$3.94M
M3, Inc.0.27%$3.92M
Stantec Inc.0.27%$3.88M
Gjensidige Forsikring ASA0.27%$3.86M
Totvs S.A.0.26%$3.77M
Alibaba Group Holding Limited0.26%$3.70M
ASPEED Technology Inc.0.26%$3.70M
Vinci0.25%$3.63M
Power And Water Utility Company For Jubail And Yanbu (Marafiq)0.25%$3.62M
Global-E Online Ltd.0.25%$3.55M
HOYA Corporation0.25%$3.55M
Wolters Kluwer N.V.0.24%$3.50M
BAE Systems PLC0.24%$3.44M
OceanaGold Corporation0.23%$3.36M
Clicks Group0.23%$3.36M
Scout24 SE0.23%$3.33M
EssilorLuxottica0.23%$3.32M
Kanzhun Limited0.22%$3.15M
Genius Sports Limited0.22%$3.14M
Accenture Public Limited Company0.22%$3.12M
Aluminum Corporation of China Limited0.22%$3.10M
Ferrari N.V.0.21%$3.09M
Universal Music Group N.V.0.21%$3.09M
Nordex SE0.21%$3.04M
Evotec SE0.21%$3.03M
Magna International Inc.0.21%$3.02M
Joint Stock Company Kaspi.Kz0.21%$3.01M
SMS Co., Ltd.0.20%$2.93M
Diageo PLC0.20%$2.87M
Sartorius Aktiengesellschaft0.20%$2.87M
MFE-MediaForEurope N.V.0.19%$2.81M
NU Holdings Ltd.0.19%$2.80M
DIC Corporation0.19%$2.77M
IAMGOLD Corporation0.19%$2.74M
Aker Solutions ASA0.18%$2.61M
H. Lundbeck A/S0.17%$2.48M
WT Microelectronics Co., Ltd.0.17%$2.43M
Ventia Services Group Limited0.16%$2.38M
Lion Finance Group PLC0.16%$2.36M
Coloplast A/S0.16%$2.24M
WuXi AppTec Co., Ltd.0.15%$2.22M
Imcd N.v.0.15%$2.16M
Toei Animation Co.,Ltd.0.14%$2.00M
Syntec Technology Co., Ltd.0.14%$1.97M
Asia Vital Components Co., Ltd.0.14%$1.96M
Svenska Handelsbanken AB0.14%$1.95M
PDD Holdings Inc.0.13%$1.84M
Pernod Ricard0.12%$1.76M
HD Hyundai Co.,Ltd.0.12%$1.70M
LATAM Airlines Group S.A.0.12%$1.68M
West African Resources Ltd0.11%$1.56M
Transcend Information, Inc.0.10%$1.43M
Compass Group PLC0.09%$1.35M
HD Korea Shipbuilding & Marine Engineering Co., Ltd.0.09%$1.27M
Vault Minerals Limited0.08%$1.19M
L&K Engineering Co., Ltd.0.08%$1.12M
EVA Airways Corporation0.08%$1.09M
INFRONEER Holdings Inc.0.07%$1.06M
HD Hyundai Heavy Industries Co., Ltd.0.07%$1.01M
Toyoda Gosei0.07%$993.01K
Millicom International Cellular S.A.0.07%$980.75K
Asahi Kasei Corporation0.07%$963.13K
DL E&C Co., Ltd.0.07%$947.12K
Grand Process Technology Corporation0.06%$929.86K
WPG Holdings Limited0.06%$925.88K
China International Capital Corporation Limited0.06%$921.21K
Banque Nationale Du Canada0.06%$915.69K
Morgan Sindall Group PLC0.06%$908.19K
Sopra Steria Group0.06%$904.94K
Monadelphous Group Limited0.06%$894.30K
Balfour Beatty PLC0.06%$880.58K
Endesa, S.A.0.06%$877.11K
Makita Corporation0.06%$872.61K
Heineken Holding N.V.0.06%$865.05K
Danske Bank A/S0.06%$861.74K
Suzuki Motor Corporation0.06%$862.61K
Emaar Development LLC0.06%$856.82K
Swedbank AB0.06%$851.65K
Accelleron Industries AG0.06%$849.74K
Gree Electric Appliances, Inc. of Zhuhai0.06%$846.99K
Otsuka Holdings Co., Ltd.0.06%$845.34K
Maple Leaf Foods Inc.0.06%$843.29K
AL Sydbank A/S0.06%$837.15K
Ardentec Corporation0.06%$833.06K
KB Financial Group Inc.0.06%$831.07K
Gecina0.06%$825.08K
Penta-Ocean Construction Co., Ltd.0.06%$822.83K
Migros Ticaret A.S.0.06%$823.03K
Emaar Properties PJSC0.06%$810.40K
Open Text Corporation0.06%$807.85K
Midea Group Co., Ltd.0.06%$807.45K
Orion Oyj0.06%$803.09K
Swiss Re AG0.06%$802.83K
SBM Offshore N.V.0.06%$792.63K
Zealand Pharma A/S0.05%$789.32K
Galp Energia, SGPS, S.A.0.05%$785.60K
Hana Financial Group Co., Ltd.0.05%$773.44K
OSB Group PLC0.05%$771.34K
Daiichi Sankyo Company, Limited0.05%$759.52K
China Merchants Bank Co., Ltd.0.05%$751.89K
Kyushu Electric Power Co., Inc.0.05%$750.47K
Covivio0.05%$746.94K
Shimizu Corporation0.05%$742.50K
Innovent Biologics, Inc.0.05%$734.55K
Baoshan Iron & Steel Co., Ltd.0.05%$723.02K
Koninklijke Ahold Delhaize N.V.0.05%$705.25K
K92 Mining Inc.0.05%$696.88K
SBI Holdings, Inc.0.05%$693.27K
Seoul Guarantee Insurance Company0.05%$677.99K
Oil and Natural Gas Corporation Limited0.05%$676.81K
Korea Electric Power Corp0.05%$672.59K
Woori Financial Group Inc.0.05%$659.25K
Regis Resources Limited0.04%$645.11K
Westgold Resources Limited0.04%$587.77K
Inter & Co, Inc.0.04%$546.36K
Orla Mining Ltd.0.04%$509.52K
Nangfang Science City Development Co., Ltd.0.03%$483.21K
EL AL Israel Airlines Ltd.0.02%$297.06K
Nice Ltd0.02%$247.83K
Bank Hapoalim B.M.0.02%$236.89K
Athabasca Oil Corporation0.00%$7

C000067964 overview: performance, fees, allocation and SEC filings