The Investment Company of America strategy has a 90+ year track record of providing our investors with access to US equity market growth Investors can access the strategy via Capital Group Investment Company of America Fund (LUX) (“ICA”), which is managed by the same experienced team and follows the same time-tested investment approach1.
ICA takes a broad, diversified approach, investing in quality growth and income companies from a wide cross-section of the US economy. This balanced approach offers the potential for participation in equity market upside and for downside resilience.
ICA is designed to pursue diversified sources of both absolute and relative returns by remaining well balanced. The portfolio’s broad positioning has been less exposed to high valuation areas of the market.
For over 90 years, the ICA strategy has navigated various market conditions. Since its inception in 1933, the strategy's active exposure has evolved alongside the US economic landscape.
The investment team behind this fund
Portfolio Manager
San Francisco office
Equity Portfolio Manager
San Francisco office
Portfolio Manager
Los Angeles office
Portfolio Manager
San Francisco office
Equity Portfolio Manager
Los Angeles office
Portfolio Manager
Los Angeles office
San Francisco office
Equity Portfolio Manager
Los Angeles office
Chair and Chief Investment Officer
San Francisco office
Research analysts are allocated part of the fund assets to manage
WHY CAPITAL GROUP
For more than 90 years, we've been searching the world for long-term opportunities, making Capital one of the oldest global investors today.
US$2.8T
in total assets managed
27 years
average investment experience of our portfolio managers
US$2.2T
equity assets managed
The Capital SystemTM combines independent, high-conviction decision-making with the diversity that comes from multiple perspectives.
We believe ESG is key to successful investing. So we consider environmental, social and governance issues before we invest.
Don't hesitate to reach out if you have questions or need assistance.
All information as at 30 June 2025 and attributed to Capital Group, unless otherwise specified.
1. Launched on 17 June 2016, Capital Group Investment Company of America (LUX) is managed by the same experienced team and follows the same investment approach as the Capital Group Investment Company of America strategy (inception: 31 December 1933).
The information in relation to the index is provided for context and illustration only. The fund is actively managed. It is not managed in reference to a benchmark.
Capital Group Investment Company of America (LUX)
Counterparty risk: Other financial institutions provide services to the fund such as safekeeping of assets, or may serve as a counterparty to financial contracts such as derivatives. There is a risk the counterparty will not meet their obligations.
Equities risk: The prices of equity securities may decline in response to certain events, including those directly involving the companies whose securities are owned by the fund, overall market changes, local, regional or global political, social or economic instability and currency fluctuations.
Operational risk: The risk of potential loss resulting from inadequate or failed internal processes, people and systems or from external events.
Risk factors you should consider before investing: