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American Funds Capital World Growth and Income Fund Class R-6

 (MUTF:RWIGX)   Watch this mutual fund  
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Performance

Trailing returns

1 day   +0.26%
   
1 week   +1.54%
   
4 week   +6.90%
   
3 month   +9.35%
   
YTD   +13.84%
   
1 year   +33.71%
   
3 years*   +15.58%
   
5 years*   -  
*annualized
Best 3 month return+18.81%  
Worst 3 month return-17.79%  

Morningstar statistics

Morningstar category: World Stock
  Return Risk Rating
3 years Average Average
5 years Average Average
10 years Above Average Average
Overall Average Average
Morningstar style  Learn more
      Large
      Mid
      Small
Value Blend Growth  

Key statistics

Total assets77.09B 
Front load-  
Deferred load-  
Expense ratio0.45%  
Management fee-  
Fund familyAmerican Funds 

Asset allocation

Cash4.27%  
Stocks92.52%  
Bonds1.59%  
Preferred0.16%  
Convertible0.13%  
Other1.33%  

Purchase information

InitialUS$0  
AdditionalUS$0  
41.83-0.32(-0.76%)
May 22, 4:00PM EDT Overall Morningstar RatingTM

Description

The investment seeks long-term growth of capital while providing current income. The fund invests primarily in common stocks of well-established companies located around the world, many of which have the potential to pay dividends. It invests, on a global basis, in common stocks that are denominated in U.S. dollars or other currencies. Under normal market circumstances, the fund invests a significant portion of its assets in securities of issuers domiciled outside the United States. The fund may also invest in issuers in developing countries.
Fund filings (PDF) »
Asset managers:
Joyce Gordon (Started: Feb 1, 2008)
Sung Lee (Started: Feb 1, 2006)
Jeanne Carroll (Started: Feb 1, 2004)
David Riley (Started: Feb 1, 2007)
L. Barroso (Started: Feb 1, 2007)
Stephen Bepler (Started: Mar 26, 1993)
Mark Denning (Started: Mar 26, 1993)
Eric Richter (Started: Feb 1, 2009)
Advisor Company:
Capital Research and Management Company
Fund family reports on Morningstar »
American Funds, 4 Embarcadero Center P.O. Box 7650, San Francisco, CA 94120, USA

Risk

  1 year 3 years 5 years 10 years  
Alpha* 5.34 3.22 2.85 2.69
Beta* 0.69 0.84 0.87 0.87
Mean annual return 1.55 0.91 0.37 1.01
R-squared* 96.39 95.61 96.36 95.38
Standard deviation 11.45 16.79 20.59 16.16
Sharpe ratio 1.62 0.64 0.20 0.64
* Against standard index

Top 10 holdings

Security Net Assets  
Novartis AG (NVSEF) 3.40%  
Philip Morris International, Inc. (PM) 2.56%  
Amgen Inc (AMGN) 2.21%  
Bayer AG (BAYN) 2.01%  
BP PLC (BPAQF) 1.89%  
Altria Group Inc. (MO) 1.82%  
Microsoft Corporation (MSFT) 1.46%  
Home Depot, Inc. (HD) 1.37%  
Gilead Sciences Inc (GILD) 1.30%  
AbbVie Inc (ABBV) 1.27%