Capital Group Funds (Canada)

Prospectus, Fund Facts & Reports

Simplified Prospectus and Annual Information Form

The prospectus describes the funds' investment objectives and strategies, their fees and expenses, and the risks inherent in investing in each fund. Investors should always read the prospectus carefully before making any investment decision. We strongly recommend that investors consult their financial advisor before making changes to their investment portfolio. The annual information form contains additional information about each fund; it is incorporated by reference into the simplified prospectus.

  ENGLISH FRENCH
Simplified Prospectus
Capital Group Funds
World Bond
Annual Information Form
Capital Group Funds
World Bond

Fund Facts

Fund Facts outline the potential benefits, risks and costs of investing in a fund and are designed to make it easy to compare funds. Investors can find more detailed information in the funds' simplified prospectus.

  ENGLISH     FRENCH
Canadian Focused Equity Series
Global Equity Series
International Equity Series
U.S. Equity Series
Emerging Markets Total Opportunities Series
Global Balanced Series
Canadian Core Plus Fixed Income Series
World Bond Series

Risk Methodology

The methodology used to identify the risk level of each fund.

  ENGLISH FRENCH
Risk Methodology

Unitholder Reports

The following periodic reports contain detailed fund financial information and a summary of the funds' investment holdings.

  ENGLISH FRENCH
Annual reports, including management report of fund performance
December 31, 2017
Canadian Focused Equity
Global Equity
International Equity
U.S. Equity
Emerging Markets Total Opportunities
Global Balanced
Canadian Core Plus Fixed Income
World Bond
Semi-annual reports, including management report of fund performance
June 30, 2017
Canadian Focused Equity
Global Equity
International Equity
U.S. Equity
Emerging Markets Total Opportunities
Global Balanced
Canadian Core Plus Fixed Income
An independent review committee has regulatory obligations governed by the National Instrument 81-107, Independent Review Committee for Investment Funds. One of the requirements is the publication of an annual report to investors that describes the committee and its activities.
Independent Review Committee 2017 Report to Investors

Proxy Voting Records

The proxy voting records include proxy voting results for applicable securities held by the funds for the period as indicated on the reports.

 
Proxy voting records
July 2016 - June 2017
Canadian Focused Equity
Global Equity
International Equity
U.S. Equity
Emerging Markets Total Opportunities
Global Balanced
Note: There is no proxy voting activity for Canadian Core Plus Fixed Income because the fund did not hold any voting securities during the reporting period.
Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all dividends and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.