Capital Group American Balanced Strategy
A US-focused balanced strategy with more than 45 years of pursuing long-term growth and conserving capital.
Part of an equity strategy with nearly half a century of experience in identifying potential future global champions that can provide an attractive combination of long-term growth and resilience.
Capital Group Global Allocation
A simple global multi-asset portfolio which avoids the complexity of many other multi-asset strategies by investing in liquid, high-quality equities and fixed income securities with low correlations.
Capital Group Global Corporate
Offers global exposure to corporate investment-grade bonds through a truly research driven, fundamental approach – around 90% of our expected excess returns to be driven by security and sector selection.
Drawing on integrated research and multi-level risk management, designed to generate attractive yields from US dollar-denominated corporate investment-grade bonds whilst maintaining stability and capital preservation.
Capital Group Global High Income Opportunities
Using a bottom-up approach to invest broadly across higher yielding sectors with different return drivers can help to provide more consistent levels of income.