American Funds Investment Co of America Cl F-1 Shs

American Funds Investment Co of America Cl F-1 Shs

AICFX
American Funds Investment Co of America Cl F-1 ShsUS flagNASDAQ
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USD
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Capital Structure

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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChatGPT
Sector
Financial Services
Industry
Asset Management
Address
333 S Hope St - 55th Fl (micg) Los Angeles CA United States of America 90071
IPO Date
Mar 15, 2001
Business
American Funds Investment Company of America Class F-1 (AICFX) is an open-end mutual fund managed by Capital Research and Management Company that seeks long-term growth of capital and income through a diversified portfolio primarily invested in common stocks, most of which have a history of paying dividends; it may allocate up to 15% of assets to bonds and cash equivalents. The fund's portfolio emphasizes large-cap blend U.S. equities across sectors including information technology (30.1%), industrials (13.3%), health care (11.2%), consumer discretionary (9.8%), financials (9.5%), and communication services (9.4%), with approximately 88% in U.S. equities, 8-9% in non-U.S. equities, and the balance in cash and minimal bonds as of October 31, 2025; it holds over 196 issuers and maintains a portfolio turnover rate of 32%. Launched on January 1, 1934, and domiciled in the United States, the fund operates globally with primary exposure to U.S. markets supplemented by positions in Canada, Europe, Japan, and emerging markets excluding China; it is part of the American Funds family offered by Capital Group Companies, headquartered in Los Angeles, California. In recent developments, Capital Group, the parent organization, formed an exclusive strategic partnership with KKR in 2024 to launch hybrid public-private investment solutions, including fixed income funds such as Capital Group KKR Core Plus+ and Capital Group KKR Multi-Sector+ in early 2025, and a public-private equity interval fund expected in 2026, aimed at broadening access to alternative investments for individual investors and financial professionals. The firm expanded its active ETF lineup with four equity and three fixed income offerings in 2025, bringing its total ETF platform to 21 funds, while enhancing retirement plan services for small and mid-sized businesses and issuing its 2025 and 2026 investment outlooks highlighting opportunities in AI, fixed income, and global resilience. These initiatives reflect Capital Group's strategic shifts toward fixed income growth, international expansion including new offices in Miami and London, and diversification beyond core U.S. equities amid competitive pressures from passive funds.