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Fund Information

Russell Non-US
Fund Overview
Fund Manager(s):Altrinsic Global Advisors, LLC; AQR Capital Management, LLC; MFS Investment Management, Inc.; Wellington Management Company, LLP (Money managers listed are current as of 3/31/2008. Russell has the right to employ or terminate a money manager at any time and without prior notification, as is consistent with its role as investment manager.)
Objective:Seeks to provide long term capital growth.
Focus:Primarily invests in equity securities issued by companies domiciled outside the United States.
Asset Class:International Stocks
StylesValue, Growth and Market-Oriented

Overseas investments can pose more risks than domestic investments. Unit values are subject to fluctuations in foreign stock markets, currency values, interest rates, government regulations and political conditions.

Fund Facts as of 03-31-2008
Fund Inception04-30-1999
First Available for Variable Annuity04-30-1999
First Available for Variable Life06-30-1999
Net Assets$392.48 Million
Top 10 Portfolio Holdings
 % of Net Assets
Nestle SA3.3%
Roche Holding AG2.0%
Total SA 1.8%
Nokia Oyj 1.5%
GlaxoSmithKline PLC1.4%
Heineken NV1.4%
Diageo PLC1.4%
LVMH Moet Hennessy Louis Vuitton SA1.3%
Carrefour SA1.3%
Unilever NV1.3%
  
% of total portfolio16.7%
Country Diversification
 % of Net Assets
Japan18.8%
United Kingdom18.7%
France14.4%
Germany10.0%
Switzerland9.0%

Investment Strategy:

The Non-U.S. Fund invests primarily in equity securities issued by companies domiciled outside the US and in depository receipts, which represent ownership of securities of non-US companies. The Fund's investments span most of the developed nations of the world (particularly Europe and the Far East) to maintain high degree of diversification among countries and currencies. This Fund may be appropriate for investors who want to reduce their investment portfolio's overall volatility by combining an investment in this Fund with investments in US equities.

The Fund employs "multi-style, multi-manager" approach whereby portions of the Fund are allocated to different money managers who employ distinct investment styles. The Fund uses three principal investment styles intended to complement one another: a Growth Style, a Value Style and Market-Oriented Style. The Fund intends to be fully invested at all times.

You should carefully consider the investment objectives, risks, expenses and charges of the investment company before you invest. Your Northwestern Mutual Investment Services Registered Representative can provide you with a contract and fund prospectus that will contain the information noted above, and other important information that you should read carefully before you invest or send money.