Growth Funds

Capital Group KKR U.S. Equity+

Blending public and private equities to pursue higher returns than traditional public equities. Seeks opportunities for long-term capital appreciation in a portfolio of traditional U.S.-focused large and mid-cap public equity investments and primarily buyout and growth private equity investments through KKR.


  • Price at nav ($)tooltip: NAV definition not found.
    $9.72
    As of 4/2/26 (updated daily)
  • YTD Return at NAV (%)
    —
    As of —
  • Expense Ratio
    (Gross/Net %)
    1.69/1.53
  • Inception Date
    3/2/26
  • Fund Assets ($M)
    —
    As of —
  • Primary benchmark
    S&P 500 Indextooltip: 91 definition not found.

Overview

Key information

Objective
The fund’s investment objective is to seek long-term capital appreciation.
Types of investments
With respect to publicly traded equity securities, the fund expects to invest primarily in securities of large and mid-capitalization issuers. The fund’s private equity holdings will primarily be buyout and growth equity investments. As a result of the fund’s investments in K-PEC and/or other KKR Vehicles, the fund will, in effect, concentrate in the financial services group of industries by investing more than 25% of its total assets in the securities of companies that are principally engaged in such industries.
Distinguishing characteristics
The fund provides a U.S.-focused extension to traditional equity portfolios through a blended strategy which includes both publicly traded equity and private equity investments. The fund generally expects to invest approximately 60% of its net assets in a core portfolio of publicly traded equity securities and 40% in a portfolio of private equity investments. Normally, the private equity investments will comprise an allocation of approximately 30% to KKR Private Equity Conglomerate LLC or another similar KKR offering and approximately 10% in co-investments sourced by KKR. Such allocation between public and private equity securities may fluctuate (potentially significantly) depending on market conditions and the fund’s subscription and repurchase activities.
Holdings outside the U.S.
Under normal circumstances, the fund will invest at least 80% of its net assets in equity securities of companies in the United States.
Repurchase offer
The Fund expects to make repurchase offers on a quarterly basis. The Fund currently conducts quarterly repurchase offers for 5% of its outstanding shares under ordinary circumstances, subject to approval of the board. The Fund expects its first repurchase offer to be issued no later than the second full calendar quarter after the date that the Fund’s registration statement becomes effective. Written notification of each quarterly repurchase offer will be sent to shareholders at least twenty-one (21) days and no more than forty-two (42) days before the date by which shareholders can tender their shares in response to a repurchase offer (the “Repurchase Request Deadline”).

Key facts

Fund inception
3/2/26
Fund assets (millions)
—
As of — (updated —)
Shareholder accounts
—
As of — (updated monthly)
Issuers
—
As of — (updated monthly)
Public/private (%)
—
Holdings as of — (updated monthly)
One-year turnover (%)tooltip: FC_PT definition not found.
—
Minimum initial investment
$1,000
mthDividendsPaid
Regular dividends paid
June, Dec.
Capital gains paid
June, Dec.
Repurchase payment date
February, May, August, November
Fiscal year-end
March
Prospectus date
2/20/26
CUSIP
139920607
Fund number
61402

Portfolio managers

Capital Group portfolio managers years of experience are as of the previous calendar year end.
Cheryl Frank
28 years of investment industry experience
24 years with Capital Group
Greg Miliotes
28 years of investment industry experience
19 years with Capital Group
Michael Beckwith
27 years of investment industry experience
7 years with Capital Group
Jessica Spaly
Principal Investment Officer
27 years of investment industry experience
22 years with Capital Group

Returns

returns

Investment results

Total returns for periods ended — (%)
No data available

Prices & distributions

As of 4/2/26
  • Price at nav ($)tooltip: NAV definition not found.
    $9.72
  • Price change ($)
    $0.01
  • Price change (%)
    0.00
Prices distributions table
YTD dividends subtotal$0.00
YTD cap gains subtotal$0.00
YTD total distributions$0.00

Yield

As of — (updated —, %)
No data available

Portfolio composition

assetMix

Asset class exposure

As of — (updated —, %)
No data available

Valuation

As of — (updated —)
Valuation
USEJXINDEX
Price/Booktooltip: PBRAT definition not found.——
Price/Cash flowtooltip: PCRAT definition not found.——
Price/Earningstooltip: PERAT definition not found.——
Index data refers to the S&P 500 Indextooltip: 91 definition not found..

Top public equity holdings

No data available

Portfolio exposures

As of — (updated —,%)
No data available

Fees & expenses

Expenses

As of the most recent prospectus (%)
Expense ratio (gross/net)
1.69/1.53
Annual management fees
0.35
Other expenses
0.45
12b-1
0.75

Resources