Returns

  • American Funds
  • Resources
Mutual Funds

63 American Funds

Internal Prompt
Read important investment disclosures

Settings: Share Class F3, Returns Monthly at NAV

YTD Returns at NAV (%)
1,2
Average Annual Total Returns at NAV (%)
As of 3/31/2025
Expense Ratio (%)
3
Fund Name Daily
As of 4/25/2025
Month-End
As of 3/31/2025
1 yr.
3 yr.
5 yr.
10 yr.
15 yr.
Fund Lifetime
2
Max Sales Charge (%) Gross Net
Growth
-5.80 -6.48 2.56 6.78 14.26 10.26 11.77
11.70
5/01/1967
-- 0.34 0.34
1.45 0.81 4.74 6.31 12.47 8.57 --
8.69
4/01/2011
-- 0.45 0.45
10.29 6.92 3.32 5.47 9.76 6.27 --
6.02
4/01/2011
-- 0.54 0.54
4.44 2.62 0.31 3.27 9.93 5.32 5.92
10.10
4/16/1984
-- 0.47 0.47
-5.41 -6.35 7.11 8.91 17.59 12.90 13.16
13.87
12/01/1973
-- 0.30 0.30
-5.57 -5.81 5.27 7.49 13.97 10.52 12.02
11.47
12/01/1983
-- 0.41 0.41
-0.68 -1.87 5.96 5.89 15.61 10.74 10.93
12.40
3/13/1973
-- 0.41 0.41
2.65 1.70 3.33 3.31 10.82 6.44 6.08
7.86
6/17/1999
-- 0.57 0.57
-5.65 -6.48 -7.19 -1.55 9.69 6.80 8.36
9.27
4/30/1990
-- 0.65 0.65
Growth & Income
5.53 4.96 5.95 3.22 7.37 2.75 --
2.91
2/03/2014
-- 0.77 0.77
-0.89 2.50 10.30 7.48 14.87 9.94 11.07
11.78
2/21/1950
-- 0.27 0.27
0.26 -0.02 5.50 7.48 13.97 8.27 8.83
10.44
3/26/1993
-- 0.41 0.41
-3.06 -3.14 7.15 10.20 17.70 11.80 12.26
12.66
8/01/1978
-- 0.28 0.28
9.90 7.51 5.23 6.27 11.89 5.29 5.86
6.78
10/01/2008
-- 0.54 0.54
-3.72 -2.92 10.10 11.69 18.77 11.75 12.18
12.44
1/01/1934
-- 0.27 0.27
-1.66 0.38 9.72 9.65 18.07 11.69 12.59
12.19
7/31/1952
-- 0.26 0.26
Equity-Income
4.48 5.18 12.07 6.44 10.86 6.33 7.25
9.01
7/30/1987
-- 0.27 0.27
3.68 4.76 11.56 6.12 11.77 7.42 8.61
10.79
12/01/1973
-- 0.27 0.27
Balanced
-1.06 -0.15 8.36 6.52 11.13 8.36 9.48
10.64
7/26/1975
-- 0.25 0.25
1.94 1.83 5.00 4.10 8.38 5.37 --
6.09
2/01/2011
-- 0.47 0.47
YTD Returns at NAV (%)
1,2
Average Annual Total Returns at NAV (%)
As of 3/31/2025
Expense Ratio (%)
3
Fund Name Daily
As of 4/25/2025
Month-End
As of 3/31/2025
1 yr.
3 yr.
5 yr.
10 yr.
15 yr.
Fund Lifetime
2
Max Sales Charge (%) Gross Net
Bond
2.13 2.35 5.03 0.79 1.10 2.80 --
3.06
12/14/2012
-- 0.32 0.31
4.67 3.63 4.09 4.80 4.88 -- --
3.63
4/22/2016
-- 0.54 0.54
4.39 4.39 7.04 -0.55 2.00 2.54 --
1.93
12/14/2012
-- 0.29 0.29
3.73 3.40 5.56 0.67 0.04 1.56 --
1.99
11/01/2010
-- 0.31 0.26
1.06 1.58 6.86 3.91 5.40 -- --
4.61
3/22/2019
-- 0.37 0.37
4.80 3.90 5.86 -1.43 0.21 -- --
2.54
3/18/2016
-- 0.31 0.31
0.93 1.18 8.56 5.67 8.81 5.23 5.95
7.71
2/19/1988
-- 0.32 0.32
2.82 2.86 5.18 0.55 0.45 2.00 2.92
7.06
5/28/1974
-- 0.25 0.24
5.79 3.14 2.46 -1.29 -0.93 0.60 1.44
5.23
8/04/1987
-- 0.48 0.48
3.10 2.55 6.19 2.18 1.33 1.90 2.17
4.43
2/19/1988
-- 0.28 0.25
2.03 1.61 5.85 3.06 1.68 1.76 1.52
1.89
10/02/2006
-- 0.29 0.29
3.85 3.35 5.59 -0.03 -0.48 1.49 2.26
5.13
10/17/1985
-- 0.29 0.25
Tax-Exempt Bond
0.53 1.03 3.60 2.39 1.40 1.37 1.44
1.48
8/07/2009
-- 0.25 0.24
-2.42 -0.95 1.23 1.41 1.24 2.00 --
2.94
11/01/2010
-- 0.37 0.31
-1.76 0.30 4.98 2.94 3.53 3.74 5.04
5.30
9/26/1994
-- 0.32 0.32
0.12 0.84 3.15 2.34 1.55 1.79 2.45
3.66
10/06/1993
-- 0.26 0.26
-1.33 -0.17 2.38 1.85 1.53 2.37 3.47
5.96
10/03/1979
-- 0.25 0.25
-1.76 -0.29 2.26 1.82 1.50 2.33 3.73
5.07
10/28/1986
-- 0.29 0.29
Money Market
1.28 1.01 4.74 4.10 2.44 1.63 1.08
1.02
5/01/2009
-- 0.31 0.31
7-Day SEC yield (gross/net):
4.04%/4.04%
as of 03/31/2025 (updated monthly)
YTD Returns at NAV (%)
1,2
Average Annual Total Returns at NAV (%)
As of 3/31/2025
Expense Ratio (%)
3
Fund Name Daily
As of 4/25/2025
Month-End
As of 3/31/2025
1 yr.
3 yr.
5 yr.
10 yr.
15 yr.
Fund Lifetime
2
Max Sales Charge (%) Gross Net
Portfolio Series
-2.03 -2.83 3.28 5.47 13.51 8.73 --
10.50
5/18/2012
-- 0.45 0.45
-4.40 -4.99 4.08 6.87 14.99 9.98 --
11.89
5/18/2012
-- 0.38 0.38
-0.90 -0.58 6.91 6.86 13.05 8.65 --
9.98
5/18/2012
-- 0.34 0.34
0.31 0.81 6.89 5.45 10.60 7.41 --
8.73
5/18/2012
-- 0.35 0.35
1.81 2.65 8.59 5.18 9.15 6.18 --
7.07
5/18/2012
-- 0.30 0.30
-0.30 1.10 6.60 5.71 9.11 6.65 --
7.76
5/18/2012
-- 0.33 0.33
2.60 2.14 6.01 2.47 1.50 1.86 --
1.77
5/18/2012
-- 0.28 0.28
0.41 0.90 3.28 2.33 1.48 1.73 --
1.97
5/18/2012
-- 0.27 0.27
Retirement Income Portfolio Series
1.39 2.06 8.86 5.94 10.52 -- --
7.59
8/28/2015
-- 0.32 0.32
2.39 2.96 8.76 4.76 8.43 -- --
6.51
8/28/2015
-- 0.31 0.31
2.82 3.34 8.37 3.41 6.19 -- --
5.32
8/28/2015
-- 0.30 0.30
YTD Returns at NAV (%)
1,2
Average Annual Total Returns at NAV (%)
As of 3/31/2025
Expense Ratio (%)
3
Fund Name Daily
As of 4/25/2025
Month-End
As of 3/31/2025
1 yr.
3 yr.
5 yr.
10 yr.
15 yr.
Fund Lifetime
2
Max Sales Charge (%) Gross Net
Retirement Target Date
-1.75 -1.93 -- -- -- -- --
7.57
5/03/2024
-- 0.39 0.39
-1.83 -1.94 5.14 6.36 13.51 -- --
13.80
3/27/2020
-- 0.39 0.39
-1.79 -1.91 5.17 6.34 13.47 9.08 --
9.08
3/27/2015
-- 0.39 0.39
-1.68 -1.76 5.26 6.38 13.52 9.13 9.95
10.26
2/01/2010
-- 0.39 0.39
-1.44 -1.39 5.74 6.43 13.65 9.19 9.98
7.96
2/01/2007
-- 0.37 0.37
-1.19 -1.09 5.96 6.45 13.60 9.15 9.95
7.94
2/01/2007
-- 0.37 0.37
-0.78 -0.73 6.27 6.37 13.39 9.02 9.85
7.86
2/01/2007
-- 0.36 0.36
0.21 0.32 6.71 5.72 12.25 8.50 9.48
7.56
2/01/2007
-- 0.34 0.34
0.87 0.99 6.78 5.06 10.30 7.50 8.80
7.01
2/01/2007
-- 0.33 0.33
1.72 1.98 7.43 4.60 8.99 6.72 8.09
6.39
2/01/2007
-- 0.31 0.31
1.94 2.31 7.84 4.49 8.09 6.08 7.28
5.77
2/01/2007
-- 0.30 0.30
2.13 2.54 7.91 4.29 7.75 5.70 6.76
5.48
2/01/2007
-- 0.30 0.30
2.33 2.76 8.20 4.29 7.28 5.41 6.38
5.20
2/01/2007
-- 0.29 0.29
1-63 of 63 results