Purchase Restrictions: Class F-3 shares are available through certain registered investment advisor and fee-based programs, but are not available for purchase in most employer-sponsored retirement plans. See the prospectus for details.

Summary

An income-oriented strategy. MSI is a relative value credit fund that takes advantage of investment opportunities across high yield, investment grade, and emerging markets, as well as securitized debt.

Price at NAV $9.24 as of 04/04/2025 (updated daily)
Expense Ratio1 0.37% Quarterly Fund Fact Sheet (PDF) Prospectus (PDF)

Read important investment disclosures

6.86%
1-year return
5.40%
5-year return
4.61%
Lifetime return (03/22/2019)
6.11%
30-day SEC Yield Fund at NAV

Returns as of 03/31/2025 (updated monthly) . Yield as of 02/28/2025 (updated monthly).

Read important investment disclosures

6.86%
1-year return
5.40%
5-year return
4.61%
Lifetime return (03/22/2019)
6.11%
30-day SEC Yield Fund at NAV

Returns as of 03/31/2025 (updated monthly) . Yield as of 02/28/2025 (updated monthly).

Asset Mix

001020304050607080
0.4% U.S. Equities
0.0% Non-U.S. Equities
76.0% U.S. Bonds
19.5% Non-U.S. Bonds
4.0% Cash & Equivalents3

As of 02/28/2025 (updated monthly).

Volatility & Return

Read important investment disclosures

Volatility & Return chart is not available for funds less than 10 years old.

Fund Statistics

4.4 years
Effective Duration
6.4%
Average Yield
to Worst
6.5%
Average Yield
to Maturity
6.2%
Average Coupon

% of net assets as of 02/28/2025 (updated monthly).

Morningstar Style BoxTM ‒ Fixed-Income5

Medium Quality

Moderate Interest-Rate Sensitivity

Morningstar data as of 12/31/24 (updated quarterly)

Description

Objective

The fund's primary objective is to provide a high level of current income. Its secondary objective is capital appreciation.

Distinguishing Characteristics

An income-oriented strategy that invests in a broad range of traditional, high-income asset classes. The fund is designed to provide less volatility and equity correlation than a standalone high yield or emerging market debt fund, without meaningfully reducing income. With a focus on fundamental analysis coupled with a rigorous relative value approach to sector allocation, the fund aims to generate high income across market cycles.

Types of Investments

Primarily invests in a broad range of debt securities across the credit spectrum, including high-yield and investment-grade corporate, emerging market, and securitized debt. The fund may opportunistically invest in other sectors, including U.S. government debt, municipal debt and non-corporate credit.

Holdings Outside the U.S.

The fund may invest a significant portion of its assets in securities of issuers domiciled outside the United States.

Maturity

The fund invests in debt securities with a wide range of maturities.

Portfolio Restrictions

The fund may invest substantially in securities rated Ba1 or below and BB+ or below, or in securities that are unrated but determined to be of equivalent quality by the fund’s investment adviser. The fund may invest in certain derivative instruments, such as futures contracts and swaps. The fund may invest in a derivative if, in the opinion of the investment adviser, the expected risks and rewards of the proposed investment are consistent with the investment objective and strategies of the fund.

Fund Facts

Fund Inception03/22/2019

Fund Assets (millions) $17,605.2 As of 02/28/2025 (updated monthly).

Companies/Issuers960+Holdings as of 02/28/2025 (updated monthly).

Regular Dividends Paid6--Monthly

Minimum Initial Investment$250

Capital Gains Paid6--Jun, Dec

Portfolio Turnover (2024)78%

Fiscal Year-EndDec

Prospectus Date03/01/2025

CUSIP02631W 607

Fund Number37126



Returns

No data is available at this time.

Yield

Read important investment disclosures

12-month
Distribution Rates 8

30-day SEC Yield
Fund at NAV 6.37% 6.11%

As of 02/28/2025 (updated monthly).


Valuation

Price/
Book
Price/
Cash Flow
Price/
Earnings
Fund N/A N/A N/A
Bloomberg U.S. Aggregate Index N/A N/A N/A

Fund as of . Index as of .

LEARN ABOUT THE CAPITAL SYSTEMSM

Portfolio Management 9

Years of Experience with Fund
Years of Experience with Capital Group
Years of Experience with Investment Industry
Damien J. McCann 25 25 6
Scott Sykes 23 19 6
Robert Burgess 35 9 1
Sandro Lazzarini 17 9 2
Shannon Ward 32 8 6
Xavier Goss 21 4 3

A boldface number indicates that years of experience with Capital Group is equal to years of experience with investment industry.

Ratings & Risk

Morningstar RatingTM10

Overall Morningstar RatingTMFunds rated (340)
3-yr. Morningstar RatingTM(340 funds rated)
5-yr. Morningstar RatingTM(284 funds rated)
10-yr. Morningstar RatingTM(-- funds rated) --
Overall Morningstar Risk Above Average
HIGH
LOW
Category Multisector Bond

Ratings are based on risk-adjusted returns as of 03/31/2025 (updated monthly).


Risk Measures

For the 5 Years ending 03/31/25 (updated monthly).

Fund
Standard Deviation4 6.95
Sharpe Ratio4 0.40

American Funds Benchmark11 As of 02/28/25 (updated quarterly) Bloomberg U.S. Aggregate Index Morningstar Benchmark4 As of 03/31/25 (updated quarterly) Bloomberg US Agg Bond TR USD
R-squared -- 76
Beta -- 0.96
Capture Ratio (Downside/Upside) --/-- 60/125



Holdings

Bonds Breakdown

Bond Details

0010203040506070

Total bond holdings


% of net assets as of 12/31/2024 (updated quarterly).

Top Fixed-Income Issuers

Fannie Mae 2.6%
U.S. Treasury 2.1%
Federal Home Loan Mortgage 2.0%
PG&E 1.2%
Mexico (United Mexican States) (Government) 1.1%
NFE Financing 1.0%
JPMorgan Chase 0.9%
Amgen 0.9%
Charter Communications 0.8%
Morgan Stanley 0.8%

% of net assets as of 12/31/2024 (updated quarterly).

Quarterly Holdings

Holdings Search

Geographic Breakdown

Prices & Distributions

2025
$9.40$9.46$9.35$9.24JANFEBMARAPRMAYJUNJULAUGSEPOCTNOVDEC$9.30$9.40$9.20$9.25$9.35$9.45$9.50
2016 - 2025
$10.81$10.63$8.95$9.32$9.352016201720182019202020212022202320242025$8.80$9.00$9.20$9.40$9.60$9.80$10.00$10.20$10.40$10.60$10.80$8.60$11.00

FIND HISTORICAL DISTRIBUTIONSSM

Historical Distributions

as of 04/03/25

2025
Record
Date
Calculated
Date
Pay Date Income Dividend Regular Income Dividend Special Cap. Gains
Long-Term
Cap. Gains
Short-Term
Reinvest NAV
01/31/25 01/31/25 -- $0.05005497 $0.00 $0.00 $0.00 $9.40
02/28/25 02/28/25 -- $0.04600887 $0.00 $0.00 $0.00 $9.46
03/31/25 03/31/25 -- $0.05189785 $0.00 $0.00 $0.00 $9.35
2025 Year-to-Date: Dividends Subtotal: $0.14796169 Cap Gains Subtotal: $0.00
Total Distributions: $0.14796169


Fees & Expenses

Fees

Annual Management Fees 0.33%
Other Expenses 0.04%
Service 12b-1 --

As of each fund’s most recent prospectus

Expense Ratio

MIAZX1   0.37%
Lipper Multi-Sector Income Funds Average12   % --

Fund as of most recent prospectus. Lipper Category as of 02/28/2025 (updated quarterly).

Resources





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        "id": {
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      "portfolioRestriction": "The fund may invest substantially in securities rated Ba1 or below and BB+ or below, or in securities that are unrated but determined to be of equivalent quality by the fund’s investment adviser. The fund may invest in certain derivative instruments, such as futures contracts and swaps. The fund may invest in a derivative if, in the opinion of the investment adviser, the expected risks and rewards of the proposed investment are consistent with the investment objective and strategies of the fund.",
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      ],
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        },
        {
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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. Investing for short periods makes losses more likely. Prices and returns will vary, so investors may lose money. View mutual fund expense ratios and returns. View current mutual fund SEC yields.

Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.

Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectuses and summary prospectuses, which can be obtained from a financial professional and should be read carefully before investing.

The use of derivatives involves a variety of risks, which may be different from, or greater than, the risks associated with investing in traditional securities, such as stocks and bonds.

Lower rated bonds are subject to greater fluctuations in value and risk of loss of income and principal than higher rated bonds.

The return of principal for bond portfolios and for portfolios with significant underlying bond holdings is not guaranteed. Investments are subject to the same interest rate, inflation and credit risks associated with the underlying bond holdings.

Investing outside the United States involves risks, such as currency fluctuations, periods of illiquidity and price volatility. These risks may be heightened in connection with investments in developing countries.

There have been periods when the results lagged the index(es) and/or average(s). The indexes are unmanaged and, therefore, have no expenses. Investors cannot invest directly in an index.

Source: Bloomberg Index Services Limited. BLOOMBERG® is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively "Bloomberg"). Bloomberg or Bloomberg's licensors own all proprietary rights in the Bloomberg Indices. Neither Bloomberg nor Bloomberg's licensors approves or endorses this material, or guarantees the accuracy or completeness of any information herein, or makes any warranty, express or implied, as to the results to be obtained therefrom and, to the maximum extent allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.

Investment results assume all distributions are reinvested and reflect applicable fees and expenses.

When applicable, results reflect fee waivers and/or expense reimbursements, without which they would have been lower and net expenses higher. Read details about how waivers and/or reimbursements affect the results for each fund. View results and yields without fee waiver and/or expense reimbursement.

  1. Expense ratios are as of each fund's prospectus/characteristics statement available at the time of publication.
  2. When applicable, returns for less than one year are not annualized, but calculated as cumulative total returns.
  3. Includes cash, short-term securities, other assets less liabilities, accruals, derivatives and forwards. It may also include investments in money market or similar funds managed by the investment adviser or its affiliates that are not offered to the public.
  4. Calculated by Morningstar. Due to differing calculation methods, the figures shown here may differ from those calculated by Capital Group.
  5. Read more information about Morningstar Style Box methodology. The model for the fixed-income style box is based on the two pillars of fixed-income performance: interest-rate sensitivity and credit quality. The three interest sensitivity groups are limited, moderate and extensive and the three credit quality groups are high, medium and low. These groupings display a portfolio's effective duration and third party credit ratings to provide an overall representation of the fund's risk orientation given the sensitivity to interest rate and credit rating of bonds in the portfolio.
  6. The months indicated for dividends and capital gains paid represent the anticipated current year ex-dividend date schedule for all share classes.
  7. YTD (year-to-date return): For the period from January 1 of the current year to the date shown or from inception date if first offered after January 1 of the current year.
  8. The distribution rate reflects the fund's past dividends paid to shareholders and may differ from the fund's SEC yield which reflects the rate at which the fund is earning income on its current portfolio of securities. The distribution rate reflects fee waivers and/or expense reimbursements in effect during the period. Without waivers and/or reimbursements, it would be reduced.
  9. Reflects current team at the time of publication. Years of experience in investment industry and Capital Group are as of the most recent year end. Years of experience on the fund are as of the most recent prospectus.
  10. The Morningstar Rating™ for funds, or "star rating", is calculated for managed products (including mutual funds, variable annuity and variable life subaccounts, exchange-traded funds, closed-end funds, and separate accounts) with at least a three-year history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a managed product's monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. The Morningstar Rating does not include any adjustment for sales loads. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its three-, five-, and 10-year (if applicable) Morningstar Rating metrics. The weights are: 100% three-year rating for 36-59 months of total returns, 60% five-year rating/40% three-year rating for 60-119 months of total returns, and 50% 10-year rating/30% five-year rating/20% three-year rating for 120 or more months of total returns. While the 10-year overall star rating formula seems to give the most weight to the 10-year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods. Past results are not a guarantee of results in future periods. The Morningstar Ratings are based on the share classes of each underlying fund held by the series; other underlying fund share classes may have different performance characteristics.
  11. Calculated by Capital Group. Due to differing calculation methods, the figures shown here may differ from those calculated by Morningstar.
  12. Source for Lipper expense ratio comparison: Lipper, based on institutional-load funds, excluding funds of funds, for the most recent fiscal year-ends available as of --.

Use of this website is intended for U.S. residents only.

Capital Client Group, Inc.

This content, developed by Capital Group, home of American Funds, should not be used as a primary basis for investment decisions and is not intended to serve as impartial investment or fiduciary advice.

© 2025 Morningstar, Inc. All Rights Reserved. Some of the information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar, its content providers nor Capital Group are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. Information is calculated by Morningstar. Due to differing calculation methods, the figures shown here may differ from those calculated by Capital Group.

Expressed in years, average life is time weighting the expected principal payments, taking into consideration the impact of calls and prepayments. In general, it is a better measure than average maturity for bonds that have the ability to prepay principal before they reach maturity (e.g., mortgages, mortgage-backed securities and asset-backed securities). Data shown is a weighted average of the bond holdings.

Expressed in years, average duration is a weighted average of the estimated price sensitivity of the bond holdings to a given change in interest rates. With respect to individual bonds, for example, a duration of 4 years indicates that the price of a bond will rise/fall by approximately 4% if rates in general fall/rise by 1%. Typically, bonds with a longer duration pay higher interest but are more sensitive to interest rate changes.

Effective duration is a duration calculation for bonds that takes into account that expected cash flows will fluctuate as interest rates change.

A bond's total return if held to maturity and no default occurs or options are exercised. Assumes coupons are paid on time and accounts for their present value. Assumes principal is returned at maturity.

Lower of Yield to Maturity or the bond's total return if put or call options are exercised prior to maturity but no default occurs.

The average coupon is the weighted average coupon rate of all the bond holdings.

Bloomberg U.S. Aggregate Index represents the U.S. investment-grade fixed-rate bond market. This index is unmanaged, and its results include reinvested dividends and|or distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes.

Price-to-book ratio compares a stock's market value to the value of total assets less total liabilities (book value). Adjusted for stock splits. Price-to-cash-flow (P/C) ratio is the average price to cash flow ratio of the individual stocks within a fund. Price-to-earnings (P/E) ratio takes the current price of a stock divided by its earnings per share. The ratio reflects the cost of a given stock per dollar of current annual earnings and is the most common measure of a stock's expense. The higher the P/E, the more investors are paying, and therefore the more earnings growth they are expecting.

Price-to-cash-flow (P/C) ratio is the average price to cash flow ratio of the individual stocks within a fund/model.

Price-to-earnings (P/E) ratio takes the current price of a stock divided by its earnings per share. The ratio reflects the cost of a given stock per dollar of current annual earnings and is the most common measure of a stock's expense. The higher the P/E, the more investors are paying, and therefore the more earnings growth they are expecting.

In an effort to classify funds by what they own, as well as by their prospectus objectives and styles, Morningstar developed Morningstar Categories. While the prospectus objective identifies a fund's investment goals based on the wording in the fund prospectus, the Morningstar Category identifies funds based on their actual investment styles as measured by their underlying portfolio holdings (portfolio and other statistics over the past three years).

Annualized standard deviation (based on monthly returns) is a common measure of absolute volatility that tells how returns over time have varied from the mean. A lower number signifies lower volatility.

Sharpe ratios use standard deviation and excess return to determine reward per unit of risk. The higher the number, the better the portfolio's historical risk-adjusted performance.

R-squared is a measure of the correlation between a particular return and that of a benchmark index. A measure of 100 indicates that all of the return can be explained by movements in the benchmark. Generally the higher the R-squared measure, the more reliable the beta measurement will be.

Beta relatively measures sensitivity to market movements over a specified period of time. The beta of the market (represented by the benchmark index) is equal to 1; a beta higher than 1 implies that a return was more volatile than the market. A beta lower than 1 suggests that a return was less volatile than the market. Generally the higher the R-squared measure, the more reliable the beta measurement will be.

Ratio of a fund/model/composite's return during periods when the index was down, divided by the return of the index during those periods. For example, during periods when the index was down, a down-capture ratio greater than 100 indicates the fund/model/composite produced a lower return than the index.

Ratio of a fund/model/composite's return during periods when the index was up, divided by the return of the index during those periods. For example, an up-capture ratio greater than 100 indicates the fund/model/composite produced a higher return than the index during periods when the index was up.

Funds pay their shareholders dividends (usually from income or dividends earned by the fund) during the year. Regular dividends are typically paid monthly, quarterly or semi-annually. The share prices of funds that pay dividends decrease when a dividend is paid.

A fund pays a special dividend when the income earned by the fund exceeds the income the fund has paid in the form of regular dividends throughout the year. Special dividends are distributed with the last dividend payment at the end of the calendar year. The share prices of all of our equity funds and funds of funds decrease when a special dividend is paid.

When a capital gain distribution is paid, the net asset value per share is reduced by the amount of the payment plus or minus any change in the value of the fund's holdings. Read our explanation of the effect of a capital gain on a fund's price for details. Two types of capital gains are realized by our funds - short-term and long-term. Net short-term capital gains are distributed to shareholders as income dividends and are taxed at ordinary income tax rates. Long-term capital gain distributions are taxed at a maximum 20% rate. The information above classifies gain from the sale or exchange of a capital asset held for more than one year as a long-term capital gain.

When a capital gain distribution is paid, the net asset value per share is reduced by the amount of the payment plus or minus any change in the value of the fund's holdings. Read our explanation of the effect of a capital gain on a fund's price for details. Two types of capital gains are realized by our funds - short-term and long-term. Net short-term capital gains are distributed to shareholders as income dividends and are taxed at ordinary income tax rates. Long-term capital gain distributions are taxed at a maximum 20% rate. The information above classifies gain from the sale or exchange of a capital asset held for more than one year as a long-term capital gain.

The exposure to a specific currency before taking into consideration any forward currency contracts that may increase or decrease that currency's exposure.

The value of a fund share. This is the price a shareholder of the fund would receive for each share sold. NAV is calculated daily and does not account for any sales charges and/or transaction fees.

The price of a share with the maximum sales charge assessed on that share.

The 7-day SEC yield is calculated by annualizing dividends paid over the past seven days. Compared with returns, the 7-day SEC yield more accurately reflects the fund's current earnings. If shown, the net 7-day SEC yield reflects waivers/reimbursements; the gross yield does not reflect waivers/reimbursements.