{"entity_type":"fund","name":"NVIT Managed American Funds Asset Allocation Fund","identifiers":{"lei":"549300ZH8GU40I3N8P23","cik":"353905","fund_id":"S000044581","fundkey":"nvit-managed-american-funds-asset-allocation-fund"},"dates":{"reporting_period_start":"2025-12-31","reporting_period_end":"2025-12-31","filing_date":"2026-02-23"},"summary":{"total_positions":6,"total_value_usd":2544318782.76,"asset_categories":["DE"],"by_asset_category":{"Unknown":{"positions":5,"total_value_usd":2544718460.85},"DE":{"positions":1,"total_value_usd":-399678.09}}},"holdings":[{"issuer_name":"American Balanced Fund","title":"American Balanced Fund, Class R6","isin":"US0240718132","value_usd":795263772.81,"pct_val":29.45716876711,"balance":21201380.2402,"units":"NS","currency":"USD","asset_cat":null,"issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"American Funds Growth Fund","title":"American Funds Growth Fund, Class 1","isin":"US0303724035","value_usd":754014549.26,"pct_val":27.92926647712,"balance":5345346.3013,"units":"NS","currency":"USD","asset_cat":null,"issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"American Funds Washington Mutual Investors Fund","title":"American Funds Washington Mutual Investors Fund, Class 1","isin":"US0303726923","value_usd":497142273,"pct_val":18.4145240079,"balance":27345559.571,"units":"NS","currency":"USD","asset_cat":null,"issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Bond Fund of America (The)","title":"Bond Fund of America (The), Class R6","isin":"US0978738146","value_usd":373507589,"pct_val":13.83500224849,"balance":32620750.1313,"units":"NS","currency":"USD","asset_cat":null,"issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"American Funds U.S. Government Securities Fund","title":"American Funds U.S. Government Securities Fund, Class 1","isin":"US0303725024","value_usd":124790276.78,"pct_val":4.622325785839,"balance":12605078.4623,"units":"NS","currency":"USD","asset_cat":null,"issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"N/A","title":"S&P 500 E-Mini Index","isin":null,"value_usd":-399678.09,"pct_val":-0.0148043773,"balance":966,"units":"NC","currency":"USD","asset_cat":"DE","issuer_cat":null,"inv_country":"US","fair_val_level":"1","payoff_profile":"N/A"}],"source_documents":[{"label":"SEC NPORT-P Filings","url":"https://www.sec.gov/cgi-bin/browse-edgar?action=getcompany&CIK=353905&type=NPORT&dateb=&owner=exclude&count=40"}],"dataset":{"json":"https://dealcharts.org/llm/facts/fund/nvit-managed-american-funds-asset-allocation-fund.json","page":"https://dealcharts.org/capitalmarkets/funds/nvit-managed-american-funds-asset-allocation-fund/"},"provenance":{"curator":"CMD+RVL","curator_url":"https://cmdrvl.com","platform":"Dealcharts","platform_url":"https://dealcharts.org/","source":"SEC NPORT-P Public Filings","license":"CC-BY 4.0","license_url":"https://creativecommons.org/licenses/by/4.0/","attribution":"Data curated by CMD+RVL from SEC NPORT-P public filings"},"citation":"Fund: NVIT Managed American Funds Asset Allocation Fund | LEI: 549300ZH8GU40I3N8P23 | 6 positions totaling $2,544,318,783 across DE | Filing: Sun Feb 22 2026 19:00:00 GMT-0500 (Eastern Standard Time) | Source: SEC NPORT-P via Dealcharts.org","updated_at":"2026-02-23"}
