0001145549-20-061142.txt : 20201023 0001145549-20-061142.hdr.sgml : 20201023 20201023165346 ACCESSION NUMBER: 0001145549-20-061142 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200831 FILED AS OF DATE: 20201023 PERIOD START: 20201130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY WORLD MUTUAL FUNDS INC CENTRAL INDEX KEY: 0000872825 IRS NUMBER: 431567889 STATE OF INCORPORATION: MD FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-06247 FILM NUMBER: 201258265 BUSINESS ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 BUSINESS PHONE: 816-531-5575 MAIL ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 FORMER COMPANY: FORMER CONFORMED NAME: TWENTIETH CENTURY WORLD INVESTORS INC DATE OF NAME CHANGE: 19920703 0000872825 S000006603 FOCUSED GLOBAL GROWTH FUND C000018025 INVESTOR CLASS TWGGX C000018026 A CLASS AGGRX C000018027 I CLASS AGGIX 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Amy R. Bitter Amy R. Bitter Assistant Treasurer XXXX NPORT-EX 2 acd0_focusedglobalgrowth.htm PART F Document

American Century Investments®
Quarterly Portfolio Holdings
Focused Global Growth Fund
August 31, 2020





Focused Global Growth - Schedule of Investments
AUGUST 31, 2020 (UNAUDITED)
Shares/
Principal Amount ($)
Value ($)
COMMON STOCKS — 99.4%
Brazil — 3.3%
B3 SA - Brasil Bolsa Balcao2,037,200 21,920,770 
China — 4.3%
Alibaba Group Holding Ltd., ADR(1)
100,300 28,789,109 
France — 2.2%
Peugeot SA(1)
845,330 14,505,660 
Hong Kong — 6.1%
AIA Group Ltd.1,671,200 17,003,013 
Hong Kong Exchanges & Clearing Ltd.473,283 23,792,234 
40,795,247 
Hungary — 1.1%
OTP Bank Nyrt(1)
224,353 7,547,640 
India — 2.7%
HDFC Bank Ltd.(1)
1,191,180 17,978,789 
Japan — 2.2%
Shiseido Co. Ltd.255,200 14,842,252 
Switzerland — 5.9%
Lonza Group AG35,100 21,748,760 
Zurich Insurance Group AG46,220 17,100,653 
38,849,413 
United Kingdom — 3.2%
London Stock Exchange Group plc177,791 20,914,268 
United States — 68.4%
Adobe, Inc.(1)
36,957 18,973,354 
Amazon.com, Inc.(1)
12,348 42,612,454 
American Express Co.154,050 15,649,939 
Aptiv plc207,100 17,835,452 
Avantor, Inc.(1)
774,260 17,475,048 
Bio-Rad Laboratories, Inc., Class A(1)
32,984 16,775,332 
Boston Scientific Corp.(1)
433,595 17,786,067 
Charles Schwab Corp. (The)402,318 14,294,358 
Cheniere Energy, Inc.(1)
337,650 17,574,682 
Danaher Corp.83,255 17,189,660 
Equinix, Inc.22,786 17,995,927 
Fidelity National Information Services, Inc.116,507 17,575,081 
FMC Corp.159,100 17,001,426 
HEICO Corp.118,100 12,981,552 
IHS Markit Ltd.215,190 17,197,985 
L3Harris Technologies, Inc.76,690 13,860,951 
Lowe's Cos., Inc.122,840 20,230,520 
MasterCard, Inc., Class A53,630 19,209,730 
Monster Beverage Corp.(1)
225,310 18,894,497 
NXP Semiconductors NV136,190 17,127,254 
Pioneer Natural Resources Co.117,758 12,238,589 
ServiceNow, Inc.(1)
40,640 19,589,293 
Teleflex, Inc.43,688 17,167,200 
Texas Instruments, Inc.129,100 18,351,565 



Visa, Inc., Class A84,792 17,975,056 
453,562,972 
TOTAL COMMON STOCKS
(Cost $464,515,793)
659,706,120 
TEMPORARY CASH INVESTMENTS — 0.6%
Repurchase Agreement, BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations,
0.125% - 2.375%, 6/30/22 - 4/30/26, valued at $1,676,048), in a joint trading account at 0.05%, dated 8/31/20, due 9/1/20 (Delivery value $1,642,679)
1,642,677 
Repurchase Agreement, Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 4.75%, 2/15/37, valued at $2,233,913), at 0.05%, dated 8/31/20, due 9/1/20 (Delivery value $2,190,003)2,190,000 
State Street Institutional U.S. Government Money Market Fund, Premier Class2,193 2,193 
TOTAL TEMPORARY CASH INVESTMENTS
(Cost $3,834,870)
3,834,870 
TOTAL INVESTMENT SECURITIES — 100.0%
(Cost $468,350,663)
663,540,990 
OTHER ASSETS AND LIABILITIES
(285,314)
TOTAL NET ASSETS — 100.0%$663,255,676 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Financials23.6%
Information Technology19.5%
Consumer Discretionary18.6%
Health Care16.3%
Industrials6.7%
Consumer Staples5.0%
Energy4.4%
Real Estate2.7%
Materials2.6%
Cash and Equivalents*0.6%
*Includes temporary cash investments and other assets and liabilities.

NOTES TO SCHEDULE OF INVESTMENTS
ADR-American Depositary Receipt
Category is less than 0.05% of total net assets.
(1)Non-income producing.



SUPPLEMENTARY NOTES TO SCHEDULE OF INVESTMENTS
1. Investment Valuations

The fund determines the fair value of its investments and computes its net asset value per share at the close of regular trading (usually 4 p.m. Eastern time) on the New York Stock Exchange (NYSE) on each day the NYSE is open. The Board of Directors has adopted valuation policies and procedures to guide the investment advisor in the fund’s investment valuation process and to provide methodologies for the oversight of the fund’s pricing function.
Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price. Equity securities initially expressed in local currencies are translated into U.S. dollars at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service.
Open-end management investment companies are valued at the reported net asset value per share. Repurchase agreements are valued at cost, which approximates fair value.
If the fund determines that the market price for an investment is not readily available or the valuation methods mentioned above do not reflect an investment’s fair value, such investment is valued as determined in good faith by the Board of Directors or its delegate, in accordance with policies and procedures adopted by the Board of Directors. In its determination of fair value, the fund may review several factors including, but not limited to, market information regarding the specific investment or comparable investments and correlation with other investment types, futures indices or general market indicators. Circumstances that may cause the fund to use these procedures to value an investment include, but are not limited to: an investment has been declared in default or is distressed; trading in a security has been suspended during the trading day or a security is not actively trading on its principal exchange; prices received from a regular pricing source are deemed unreliable; or there is a foreign market holiday and no trading occurred.
The fund monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s net asset value per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The fund also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that the Board of Directors, or its delegate, deems appropriate. The fund may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

2. Fair Value Measurements

The fund’s investments valuation process is based on several considerations and may use multiple inputs to determine the fair value of the investments held by the fund. In conformity with accounting principles generally accepted in the United States of America, the inputs used to determine a valuation are classified into three broad levels.

Level 1 valuation inputs consist of unadjusted quoted prices in an active market for identical investments.

Level 2 valuation inputs consist of direct or indirect observable market data (including quoted prices for comparable investments, evaluations of subsequent market events, interest rates, prepayment speeds, credit risk, etc.). These inputs also consist of quoted prices for identical investments initially expressed in local currencies that are adjusted through translation into U.S. dollars.

Level 3 valuation inputs consist of unobservable data (including a fund’s own assumptions).

The level classification is based on the lowest level input that is significant to the fair valuation measurement. The valuation inputs are not necessarily an indication of the risks associated with investing in these securities or other financial instruments.




The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund’s portfolio holdings.
Level 1 ($)Level 2 ($)Level 3 ($)
Assets
Investment Securities
Common Stocks
Brazil— 21,920,770 — 
France— 14,505,660 — 
Hong Kong— 40,795,247 — 
Hungary— 7,547,640 — 
India— 17,978,789 — 
Japan— 14,842,252 — 
Switzerland— 38,849,413 — 
United Kingdom— 20,914,268 — 
Other Countries482,352,081 — — 
Temporary Cash Investments2,193 3,832,677 — 
482,354,274 181,186,716 — 

This schedule of investments provides information about the fund’s portfolio holdings as of the date on the schedule. It is unaudited, and American Century Investments assumes no obligation to update or supplement the schedule to reflect subsequent changes. More information is available in the fund’s most recent annual or semiannual shareholder report.