| U.S. Equities0.0% | Non-U.S. Equities0.0% | ||
| U.S. Bonds91.0% | Non-U.S. Bonds0.0% | ||
| Cash & Equivalents |
| U.S. Equities0.0% | |
| Non-U.S. Equities0.0% | |
| U.S. Bonds91.0% | |
| Non-U.S. Bonds0.0% | |
| Cash & Equivalents |
Fixed-Income
| Fund Inception | 11/01/2010 |
|
Fund Assets (millions) As of 9/30/2025
|
$12,057.1 |
|
Companies/Issuers
Holdings are as of 9/30/2025 (updated monthly).
|
68+ |
|
Shareholder Accounts
Shareholder accounts are as of 9/30/2025
|
25,934 |
|
Regular Dividends Paid |
Monthly |
| Minimum Initial Investment | $250 |
|
Capital Gains Paid
|
Dec |
| Portfolio Turnover (2025) | 428% |
| Fiscal Year-End | Aug |
| Prospectus Date | 11/01/2024 |
| CUSIP | 02630V 50 1 |
| Fund Number | 642 |
| David Betanzos | 11 | 23 | 27 | |
| Oliver Edmonds | 5 | 21 | 22 | |
| Fergus MacDonald | 14 | 21 | 32 |
| Overall Over-all | 3 yr. | 5 yr. | 10 yr. | |
|
Consistent Return Within Category Funds Rated |
(62) |
(62) |
(57) |
(49) |
|
Expense Within Category Funds Rated |
(248) |
(248) |
(230) |
(177) |
|
Preservation Within Category Funds Rated |
(6065) |
(6065) |
(5624) |
(4269) |
|
Tax Efficiency Within Category Funds Rated |
(62) |
(62) |
(57) |
(49) |
|
Total Return Within Category Funds Rated |
(62) |
(62) |
(57) |
(49) |
Category | Intmdt US Govt Funds |
| Fund | |||
|
Standard Deviation
|
4.77 | ||
|
Sharpe Ratio
|
-0.08 | ||
|
For the 10 Years ending 9/30/25
(updated monthly).
|
|||
|
American Funds Benchmark |
Morningstar Benchmark |
||
|
Bloomberg U.S. Mortgage Backed Securities Index
|
Bloomberg US Agg Bond TR USD
|
||
| R-squared | 88 | 88 | |
| Beta | 0.89 | 0.89 | |
| Capture Ratio (Downside/Upside) | 80/84 | 80/83 | |
|
American Funds Benchmark for the 10 Years ending 8/31/25
(updated monthly).
Morningstar Benchmark for the 10 Years ending 9/30/25
(updated monthly).
|
|||
Mortgage-backed obligations
+
84.9%
|
|||||||
| U.S. Treasury bonds & notes 5.3% | |||||||
| Asset-backed obligations 0.8% |
% of net assets as of 9/30/2025 (updated quarterly)
% of net assets as of 9/30/2025 (updated monthly)
| 2016-2025 |
| 2025 |
| Record Date |
Calculated Date |
Pay Date | Reinvest NAV | ||||
| Daily | 01/31/25 | 02/03/25 | $0.0334751 | $0.00 | $0.00 | $0.00 | $8.63 |
| Daily | 02/28/25 | 03/03/25 | $0.0328089 | $0.00 | $0.00 | $0.00 | $8.81 |
| Daily | 03/31/25 | 04/01/25 | $0.0331585 | $0.00 | $0.00 | $0.00 | $8.80 |
| Daily | 04/30/25 | 05/01/25 | $0.0329347 | $0.00 | $0.00 | $0.00 | $8.86 |
| Daily | 05/30/25 | 06/02/25 | $0.0337954 | $0.00 | $0.00 | $0.00 | $8.72 |
| Daily | 06/30/25 | 07/01/25 | $0.0335575 | $0.00 | $0.00 | $0.00 | $8.84 |
| Daily | 07/31/25 | 08/01/25 | $0.0346554 | $0.00 | $0.00 | $0.00 | $8.76 |
| Daily | 08/29/25 | 09/02/25 | $0.033992 | $0.00 | $0.00 | $0.00 | $8.88 |
| Daily | 09/30/25 | 10/01/25 | $0.0334893 | $0.00 | $0.00 | $0.00 | $8.92 |
| 2025 Year-to-Date: | Dividends Subtotal: $0.30186684 | Cap Gains Subtotal: $0.00 | |||||
| Total Distributions: $0.30186684 | |||||||
| Rate | As of Date |
|---|---|
| 0.00128098 | 10/01/2025 |
| 0.00130419 | 10/02/2025 |
| 0.00109363 | 10/03/2025 |
| 0.00301204 | 10/06/2025 |
| 0.00129353 | 10/07/2025 |
| 0.00095825 | 10/08/2025 |
| 0.00107179 | 10/09/2025 |
| 0.00107971 | 10/10/2025 |
| 0.00296753 | 10/13/2025 |
| 0.00132424 | 10/14/2025 |
| 0.00109258 | 10/15/2025 |
| 0.00106646 | 10/16/2025 |
| 0.00106928 | 10/17/2025 |
| 0.00301091 | 10/20/2025 |
| 0.00125893 | 10/21/2025 |
| 0.00106981 | 10/22/2025 |
| 0.00107123 | 10/23/2025 |
| 0.00107040 | 10/24/2025 |
| Record Date | Calculated Date | Payment Date |
|---|
| Rate | As of-Date | |
|---|---|---|
| 0.00128098 | 10/01/2025 | |
| 0.00130419 | 10/02/2025 | |
| 0.00109363 | 10/03/2025 | |
| 0.00301204 | 10/06/2025 | |
| 0.00129353 | 10/07/2025 | |
| 0.00095825 | 10/08/2025 | |
| 0.00107179 | 10/09/2025 | |
| 0.00107971 | 10/10/2025 | |
| 0.00296753 | 10/13/2025 | |
| 0.00132424 | 10/14/2025 | |
| 0.00109258 | 10/15/2025 | |
| 0.00106646 | 10/16/2025 | |
| 0.00106928 | 10/17/2025 | |
| 0.00301091 | 10/20/2025 | |
| 0.00125893 | 10/21/2025 | |
| 0.00106981 | 10/22/2025 | |
| 0.00107123 | 10/23/2025 | |
| 0.00107040 | 10/24/2025 |
| Annual Management Fees | 0.27% |
| Other Expenses | 0.15% |
| Service 12b-1 | -- |
| Gross | Net | |
| MFAFX | 0.42% | 0.37% |
|
Lipper Intermediate U.S. Government
Funds Average
|
0.58% | |
Volatility & Return chart is not available for funds less than 10 years old.