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American Funds® International Vantage Fund
![Growth
fund](/retirement/participant/img/fund-colors/fund-growth.gif)
Overview
American Funds International Vantage Fund may be considered by:
- Individuals seeking prudent growth potential of companies based in developed markets outside the U.S.
- IInvestors with low to moderate risk tolerance who want the opportunity for a smoother return profile over a full market cycle
- IInvestors looking for a core international equity holding that pursues growth and capital preservation
Objective
The fund's investment objective is to provide prudent growth of capital and conservation of principal.
Manager
The fund is managed by Capital Research and Management Company, one of the nation’s oldest, largest investment management firms. Since 1931, Capital Research has invested with a long-term focus based on thorough research and attention to risk.
Fund information
- Began operations: 4/01/11
- Net and gross expense ratios:* 1.19% / 1.26%
- Investment expenses paid annually: $11.90 for a $1,000 balance
- Ticker symbol: RIVIX
*Fund expenses are estimated as of the fund’s prospectus. Please see the fund’s most recent prospectus for details.
You can estimate the investment expenses you’re paying annually by multiplying your balance in the fund by the expense ratio.
Top 10 holdings
(Percentage of net assets shown are for the most recent period available as of 6/30/24; holdings are subject to change)
- Novo Nordisk 4.5%
- ASML 3.3%
- SAP 2.9%
- Safran 2.7%
- AstraZeneca 2.6%
- TotalEnergies 2.5%
- TSMC 2.3%
- London Stock Exchange Group 2.1%
- L'Oréal 1.7%
- Nestlé 1.7%
Past results
The bar graph below shows the fund’s annual results and illustrates the fund’s fluctuations over the past 10 years. (These percentages are based on Class R-3 shares at net asset value after the share class inception date of May 15, 2002. All Class R-3 share results prior to this date, or prior to the date of first sale, are hypothetical based on Class A share results, adjusted for typical additional estimated expenses, and are calculated without a sales charge. These results are updated annually as of 12/31. Other share class results will vary.)
Figures shown are past results and are not predictive of results in future periods. Current and future results may be lower or higher than those shown here. For more current information and month-end results, click here. Share price and return will vary, so you may lose money. Investing for short periods makes losses more likely.
Average annual total returns through 6/30/24
Class R-3 Shares
Latest10 years | Latest5 years | Latest3 years | Latestyear | |
---|---|---|---|---|
At net asset value | 5.20% | 6.40% | 0.53% | 7.06% |
Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect fee waivers and/or expense reimbursements, without which the results would have been lower. See results without waivers and/or reimbursements. Read details about how waivers and/or reimbursements affect the results for each fund.
The fund began investment operations on April 1, 2011, but was only available to a limited number of investors. Now available on the American Funds platform, the reorganized fund has adopted the results and financial history of the original fund.
We offer a range of share classes designed to meet the needs of retirement plan sponsors and participants. The different share classes incorporate varying levels of advisor compensation and service provider payments.Class R-3 shares were first offered on November 8, 2019. Class R-3 share results prior to the date of first sale are hypothetical based on the results of the original share class of the fund, adjusted for typical estimated expenses.