U.S. Equities3.1% | Non-U.S. Equities93.5% | ||
U.S. Bonds0.0% | Non-U.S. Bonds0.0% | ||
Cash & Equivalents |
U.S. Equities3.1% | |
Non-U.S. Equities93.5% | |
U.S. Bonds0.0% | |
Non-U.S. Bonds0.0% | |
Cash & Equivalents |
Fund Inception | 10/01/2008 |
Fund Assets (millions) As of 7/31/2025
|
$16,980.3 |
Companies/Issuers
Holdings are as of 7/31/2025 (updated monthly).
|
278+ |
Shareholder Accounts
Shareholder accounts are as of 7/31/2025
|
223,576 |
Regular Dividends Paid |
Mar, Jun, Sep, Dec |
Minimum Initial Investment | $250 |
Capital Gains Paid
|
Dec |
Portfolio Turnover (2025) | 40% |
Fiscal Year-End | Jun |
Prospectus Date | 09/01/2025 |
CUSIP | 45956T 10 5 |
Fund Number | 34 |
Equities
Barbara Burtin | 1 | 16 | ||
Bobby Chada | 4 | 8 | 29 | |
Michael Cohen | 6 | 25 | 33 | |
Patrice Collette | 14 | 25 | 28 | |
Leo Hee | 9 | 20 | 32 | |
Andrew Suzman | 16 | 31 | ||
Lisa Thompson | 6 | 30 | 37 | |
Steve Watson | 16 | 35 | 37 |
Fund | ||
Standard Deviation
|
15.17 | |
Sharpe Ratio
|
0.40 | |
For the 10 Years ending 8/31/25
(updated monthly).
|
||
American Funds/ Morningstar Benchmark |
||
MSCI ACWI Ex USA NR USD
|
||
R-squared | 95 | |
Beta | 1.00 | |
Capture Ratio (Downside/Upside) | 100/100 | |
American Funds and Morningstar Benchmark for the 10 Years ending 8/31/25
(updated monthly).
|
||
Active Share
|
64.4% |
Financials 24.5% | |
Industrials 15.8% | |
Information technology 11.2% | |
Consumer staples 9.1% | |
Consumer discretionary 8.4% | |
Communication services 7.2% | |
Health care 6.5% | |
Materials 5.6% | |
Energy 4.5% | |
Utilities 2.7% | |
Real estate 1.2% |
% of net assets as of 7/31/2025 (updated monthly)
% of net assets as of 7/31/2025 (updated monthly)
% of net assets as of 7/31/2025 (updated monthly)
Percentage of net assets as of 6/30/2025 (updated quarterly)
Regions | Fund | ||
United States | 3.2% | 0.0% | |
Canada | 4.2% | 8.1% | |
Europe & Middle East | 60.0% | 41.6% | |
Japan | 6.3% | 13.5% | |
Asia-Pacific ex. Japan | 5.4% | 6.9% | |
China | 5.2% | 8.7% | |
Emerging markets ex. China | 15.4% | 21.1% | |
Other | 0.3% | 0.0% |
% of net assets as of 7/31/2025 (updated monthly)
Regions | Fund | |
United States | 3.1% | 0.0% |
Canada | 4.1% | 8.1% |
Europe & Middle East | 58.0% | 41.6% |
Japan | 6.1% | 13.5% |
Asia-Pacific ex. Japan | 5.2% | 6.9% |
China | 5.0% | 8.7% |
Emerging markets ex. China | 14.9% | 21.1% |
Other | 0.3% | 0.0% |
Cash & equivalents
|
3.2% | -- |
% of net assets as of 7/31/2025 (updated monthly)
2016-2025 |
2025 |
Record Date |
Calculated Date |
Pay Date | Reinvest NAV | ||||
03/21/25 | 03/21/25 | 03/24/25 | $0.14 | $0.00 | $0.00 | $0.00 | $39.19 |
06/20/25 | 06/20/25 | 06/23/25 | $0.477 | $0.00 | $0.00 | $0.00 | $41.52 |
2025 Year-to-Date: | Dividends Subtotal: $0.617 | Cap Gains Subtotal: $0.00 | |||||
Total Distributions: $0.617 |
Rate | As of Date |
---|---|
0.00000000 | 06/23/2025 |
0.00000000 | 06/24/2025 |
0.00000000 | 06/25/2025 |
0.00000000 | 06/26/2025 |
0.00000000 | 06/27/2025 |
0.00000000 | 06/30/2025 |
0.00000000 | 07/01/2025 |
0.00000000 | 07/02/2025 |
0.00000000 | 07/03/2025 |
0.00000000 | 07/07/2025 |
0.00000000 | 07/08/2025 |
0.00000000 | 07/09/2025 |
0.00000000 | 07/10/2025 |
0.00000000 | 07/11/2025 |
0.00000000 | 07/14/2025 |
0.00000000 | 07/15/2025 |
0.00000000 | 07/16/2025 |
0.00000000 | 07/17/2025 |
0.00000000 | 07/18/2025 |
0.00000000 | 07/21/2025 |
0.00000000 | 07/22/2025 |
0.00000000 | 07/23/2025 |
0.00000000 | 07/24/2025 |
0.00000000 | 07/25/2025 |
0.00000000 | 07/28/2025 |
0.00000000 | 07/29/2025 |
0.00000000 | 07/30/2025 |
0.00000000 | 07/31/2025 |
0.00000000 | 08/01/2025 |
0.00000000 | 08/04/2025 |
0.00000000 | 08/05/2025 |
0.00000000 | 08/06/2025 |
0.00000000 | 08/07/2025 |
0.00000000 | 08/08/2025 |
0.00000000 | 08/11/2025 |
0.00000000 | 08/12/2025 |
0.00000000 | 08/13/2025 |
0.00000000 | 08/14/2025 |
0.00000000 | 08/15/2025 |
0.00000000 | 08/18/2025 |
0.00000000 | 08/19/2025 |
0.00000000 | 08/20/2025 |
0.00000000 | 08/21/2025 |
0.00000000 | 08/22/2025 |
0.00000000 | 08/25/2025 |
0.00000000 | 08/26/2025 |
0.00000000 | 08/27/2025 |
0.00000000 | 08/28/2025 |
0.00000000 | 08/29/2025 |
0.00000000 | 09/02/2025 |
0.00000000 | 09/03/2025 |
0.00000000 | 09/04/2025 |
0.00000000 | 09/05/2025 |
Record Date | Calculated Date | Payment Date |
---|
Rate | As of-Date | |
---|---|---|
0.00000000 | 06/23/2025 | |
0.00000000 | 06/24/2025 | |
0.00000000 | 06/25/2025 | |
0.00000000 | 06/26/2025 | |
0.00000000 | 06/27/2025 | |
0.00000000 | 06/30/2025 | |
0.00000000 | 07/01/2025 | |
0.00000000 | 07/02/2025 | |
0.00000000 | 07/03/2025 | |
0.00000000 | 07/07/2025 | |
0.00000000 | 07/08/2025 | |
0.00000000 | 07/09/2025 | |
0.00000000 | 07/10/2025 | |
0.00000000 | 07/11/2025 | |
0.00000000 | 07/14/2025 | |
0.00000000 | 07/15/2025 | |
0.00000000 | 07/16/2025 | |
0.00000000 | 07/17/2025 | |
0.00000000 | 07/18/2025 | |
0.00000000 | 07/21/2025 | |
0.00000000 | 07/22/2025 | |
0.00000000 | 07/23/2025 | |
0.00000000 | 07/24/2025 | |
0.00000000 | 07/25/2025 | |
0.00000000 | 07/28/2025 | |
0.00000000 | 07/29/2025 | |
0.00000000 | 07/30/2025 | |
0.00000000 | 07/31/2025 | |
0.00000000 | 08/01/2025 | |
0.00000000 | 08/04/2025 | |
0.00000000 | 08/05/2025 | |
0.00000000 | 08/06/2025 | |
0.00000000 | 08/07/2025 | |
0.00000000 | 08/08/2025 | |
0.00000000 | 08/11/2025 | |
0.00000000 | 08/12/2025 | |
0.00000000 | 08/13/2025 | |
0.00000000 | 08/14/2025 | |
0.00000000 | 08/15/2025 | |
0.00000000 | 08/18/2025 | |
0.00000000 | 08/19/2025 | |
0.00000000 | 08/20/2025 | |
0.00000000 | 08/21/2025 | |
0.00000000 | 08/22/2025 | |
0.00000000 | 08/25/2025 | |
0.00000000 | 08/26/2025 | |
0.00000000 | 08/27/2025 | |
0.00000000 | 08/28/2025 | |
0.00000000 | 08/29/2025 | |
0.00000000 | 09/02/2025 | |
0.00000000 | 09/03/2025 | |
0.00000000 | 09/04/2025 | |
0.00000000 | 09/05/2025 |
Annual Management Fees | 0.48% |
Other Expenses | 0.17% |
Service 12b-1 | 0.25% |
IGAAX | 0.90% |
Lipper International
Funds Average
|
1.18% |
Volatility & Return chart is not available for funds less than 10 years old.