• Other sites : Financial Intermediaries : Germany
    • Close x
      Capital Group
      Institutions & Consultants
      RIAs
      Private Client Services
      American Funds
      Individual Investors
      Financial Advisors
      Employers & Plan Sponsors
      Third-Party Administrators

      More Capital Group Sites

      • Capital Group Worldwide (corporate site)
      Capital Group sites
      Close x
      American Funds
      • Americas
      • Asia Pacific
      • Europe
      • Canada
      • United States
      • Asia - other
      • Hong Kong SAR
      • Singapore
      • Australia & New Zealand
      • Japan
      • Taiwan
      • Middle East
      • Austria
      • Belgium
      • Denmark
      • Finland
      • France
      • Germany
      • Iceland
      • Ireland
      • Italy
      • Liechtenstein
      • Luxembourg
      • Middle East
      • Netherlands
      • Norway
      • Portugal
      • Spain
      • Sweden
      • Switzerland
      • United Kingdom
      • Other
      • U.S. Offshore

      More Capital Group Sites

      • Capital Group Worldwide (corporate site)
      • Private Markets
      • Capital IdeasTM
      American Funds sites
  • American Funds
    • Individual Investors
    • Financial Advisors
    • Employers & Plan Sponsors
    • Third-Party Administrators
    • Institutions & Consultants
    • RIAs
    • Private Client Services

    More Capital Group Sites

    • Capital Group Worldwide (corporate site)
  • Capital Group
    • Americas
    • Asia Pacific
    • Europe
    • Back
    • Canada
    • United States
    • Back
    • Asia - other
    • Hong Kong SAR
    • Singapore
    • Australia & New Zealand
    • Japan
    • Taiwan
    • Middle East
    • Back
    • Austria
    • Belgium
    • Denmark
    • Finland
    • France
    • Germany
    • Iceland
    • Ireland
    • Italy
    • Liechtenstein
    • Luxembourg
    • Middle East
    • Netherlands
    • Norway
    • Portugal
    • Spain
    • Sweden
    • Switzerland
    • United Kingdom
    • Other
    • U.S. Offshore
    • More Capital Group Sites

    • Capital Group Worldwide (corporate site)
    • Private Markets
    • Capital IdeasTM
  • Contact Us
  • Careers
  • MARKET VOLATILITY
  • OUR STRATEGIES
    OUR STRATEGIES See All
    CLOSE x
    Jumplink Placeholder

    Funds in focus

    Fund Centre

    Fund details

    Explore our range of funds

    Upgrade your fixed income to a world leader

    Jumplink Placeholder
    hero-thumbnail-banner_287x130px

    Capital Group Global High Income Opportunities (LUX)

    Jumplink Placeholder
    ghio-tab-635x210

    Capital Group New Perspective Fund (LUX)

    Jumplink Placeholder
    D7_Website-menu-promo_287x130(en)

    Capital Group Global Allocation Fund (LUX)

    Jumplink Placeholder
    D7_ banner-CGGA campaign_970x400px
  • HOW TO INVEST
    HOW TO INVEST See All
    CLOSE x
    Jumplink Placeholder

    Charges

    Currency information

    Disclosures

    JP Morgan list of sub-custodians

    Non-dealing dates calendar

    Representative agent

    Jumplink Placeholder

    Share classes

    Shareholder notices

    Swing pricing

    Tax Centre

    Transaction and forms

  • INVESTMENT INSIGHTS
    INVESTMENT INSIGHTS See All
    CLOSE x
    Jumplink Placeholder

    CATEGORIES

    Investment insights

    Webcasts and Videos

    Jumplink Placeholder

    INVESTMENT THEMES

    Fixed Income Perspectives

  • ABOUT CAPITAL
    ABOUT CAPITAL See All
    CLOSE x
    Jumplink Placeholder

    About Capital

    ESG at Capital Group

    The Capital System

    Our People

    Our History

    Office Locations

    Capital Group’s response to the war in Ukraine

    Jumplink Placeholder

    Our beliefs

    Distinctive investment approach

    Fundamental research

    Long-term view

    Partnership

    Jumplink Placeholder

    AWARDS & RECOGNITIONS

    Best Equity Fund 2022

    Best Asset Manager 2022

  • MARKET VOLATILITY
  • OUR STRATEGIES
  • HOW TO INVEST
  • INVESTMENT INSIGHTS
  • ABOUT CAPITAL

Capital IdeasTM

Investment insights from Capital Group

Capital IdeasTM

Investmentperspektiven der Capital Group

Capital IdeasTM

Ideas y tendencias de inversión de Capital Group

Capital IdeasTM

Perspectives d’investissement de Capital Group

Capital IdeasTM

Approfondimenti di Capital Group

Capital IdeasTM

資本集團的投資灼見

Categories
  • Outlook
  • Equity
  • Fixed Income
  • Markets & Economy
  • Client Solutions
  • ESG
  • Market Volatility

    What the SVB collapse means for investors
    March 23, 2023
  • Federal Reserve

    Quick take: Bank failures push Fed to proceed with caution
    March 23, 2023
  • Market Volatility

    Asian banks: end of Fed hiking could be key
    March 17, 2023
    Rahul Sadiwala
  • Market Volatility

    ECB hikes rates but financial instability clouds outlook
    March 17, 2023
    Robert Lind
  • Market Volatility

    European bank sell-off hard to reconcile with fundamentals
    March 16, 2023
    Anita Patel
  • Market Volatility

    Quick take: How SVB’s collapse changes the Fed’s calculus
    March 16, 2023
    Timothy Ng
  • Market Volatility

    Views on the collapse of SVB Financial
    March 14, 2023
  • Global Equities

    Multinational companies can thrive in tough times
    March 3, 2023
  • U.S. Equities

    3 views on the future of growth investing
    February 24, 2023
  • Energy

    5 trends driving energy markets in 2023
    February 23, 2023
  • Fixed Income

    Investment grade outlook - security selection may be key to managing uncertainty
    February 23, 2023
    Damir Bettini
  • Multi-Asset

    Are 60-40 portfolios set for a comeback?
    February 16, 2023
    Julie Dickson
  • Fixed Income

    A multi-sector approach for reliable income
    February 14, 2023
  • India

    Can India take advantage of growing China Plus One strategy?
    February 14, 2023
  • Trade

    Reshoring supply chains: What does it mean for investors?
    February 10, 2023
  • Federal Reserve

    Quick take: Optimistic Fed not declaring victory over inflation
    February 6, 2023
    Tom Hollenberg
  • Long-Term Investing

    Rob Lovelace shares his view on the current bear market
    February 3, 2023
    Rob Lovelace
  • Bonds

    A framework for navigating uncertainty
    January 30, 2023
  • Equity

    China: What could drive its markets in 2023
    January 27, 2023
  • Bonds

    EMs with stronger fundamentals should see inflows
    January 25, 2023
    Peter Becker
  • Fixed Income

    Fixed Income Perspectives January 2023
    January 24, 2023
  • Fixed Income

    Macro insights: Outlook for bonds brighter even as growth concerns linger
    January 23, 2023
  • Fixed Income

    Emerging markets debt: Valuations appear attractive despite uncertain macro backdrop
    January 23, 2023
  • Fixed Income

    European interest rates: Increased dispersion presents opportunities
    January 23, 2023
  • Global Equities

    Four trends could power an industrial renaissance
    January 20, 2023
  • World Markets Review

    World markets review - Fourth quarter 2022
    January 13, 2023
  • Japan

    Japan: forging economic resilience amid global headwinds
    January 5, 2023
    Anne Vandenabeele
  • Central Banks

    The economy in 2023: Where we differ from market consensus
    January 3, 2023
  • Bonds

    Bond market outlook: Prospects brighten as Fed slows hikes
    December 16, 2022
  • Markets & Economy

    Quick take: Five insights on Fed policy after the latest rate hike
    December 15, 2022
  • U.S. Equities

    U.S. markets outlook for 2023
    December 12, 2022
  • Fixed Income

    Securitised credit: A useful diversifier in bond portfolios
    December 7, 2022
    Xavier Goss
  • Fixed Income

    EMD outlook for 2023: local currency yields offer protection in volatile conditions
    December 1, 2022
  • Politics

    Quick take: Austerity deferred in the UK
    November 21, 2022
    Robert Lind
  • Markets & Economy

    Quick take: Seven questions around recession in Europe
    Robert Lind
  • Market Volatility

    “Courage! We have been here before”
    November 17, 2022
  • Long-Term Investing

    Taking a long-term view
    November 16, 2022
  • Fixed Income

    Asian fixed income: Careful navigation required
    November 16, 2022
  • Dividends

    Dividends: Building resilience in a new market reality
    November 10, 2022
  • Fixed Income

    The pursuit of consistent income streams
    November 10, 2022
    Damien McCann
  • Election

    Brazil presidential election outcome
    November 8, 2022
    Thomas Kontchou
  • China

    Five outcomes from 20th Chinese Communist Party Congress
    November 8, 2022
    Kent Chan
  • Fed

    The Fed’s big question: how high is high enough?
    November 8, 2022
  • Markets & Economy

    New reality for investors: 5 big trends changing markets
    November 3, 2022
    Jody Jonsson
  • Market Volatility

    Recession watch: triggers, outlook and what next for central banks
    October 31, 2022
  • Equity

    Can non-U.S. equities overcome a strong U.S. dollar?
    October 28, 2022
  • Fixed Income

    Navigating dark clouds across emerging markets debt
    October 27, 2022
  • Fixed Income

    Unearthing opportunities in Asian credit markets
    October 27, 2022
  • Fixed Income

    Fixed Income Perspectives October 2022
    October 25, 2022
  • Market Volatility

    Quick take: Britannia unhinged
    October 25, 2022
    Robert Lind
  • Fixed Income

    U.S. midterm elections: Will the House flip?
    October 21, 2022
    Matt Miller
  • Fixed Income

    Attractive opportunities remain across 4 key credit markets
    October 17, 2022
  • Equity

    World markets review - Third quarter 2022
    October 11, 2022
  • Market Volatility

    When short term pain can bring long term gains
    October 6, 2022
    Flavio Carpenzano
  • Market Volatility

    Braving bear markets: 5 lessons from seasoned investors
    September 30, 2022
  • Fixed Income

    5 reasons to invest in US high yield
    September 30, 2022
  • Market Volatility

    Running the rule over Truss & Kwarteng’s fiscal radicalism
    September 30, 2022
  • Currencies

    Global outlook: all eyes on where US inflation lands
    September 30, 2022
    Jens Sondergaard
  • Inflation

    Is high inflation the ultimate pandemic distortion?
    September 29, 2022
  • Market Volatility

    When will the bear market end?
    September 29, 2022
  • Fixed Income

    Four roles your bond portfolio should play
    September 23, 2022
    Flavio Carpenzano
  • Equity

    Why research is critical when it comes to China investing
    September 16, 2022
    Andrew Lee
  • Election

    Can U.S. midterm elections move the market? 5 charts to watch
    September 15, 2022
  • Fixed Income

    Fixed income at Capital Group targets predictable outcomes
    January 18, 2023
    Mike Gitlin
  • Fixed Income

    The case for investment grade corporate bonds
    September 14, 2022
  • Market Volatility

    Recession watch: lessons from history and key economic indicators
    September 13, 2022
  • Bonds

    Rising yields put bond markets back on a road to normal
    September 6, 2022
    Mike Gitlin
  • Japan

    Uniquely Japan: Navigating Asia's largest advanced economy
    September 1, 2022
  • Politics

    Will the war in Ukraine outlast European unity?
    August 24, 2022
    Talha Khan
  • Multi-Asset

    Multi-asset investing in times of volatility
    August 18, 2022
    Julie Dickinson
  • Currencies

    How long might the dollar rally last?
    August 11, 2022
    Jens Sondergaard
  • Equity

    Equity investing in an inflationary environment
    August 11, 2022
    Christophe P. Braun
  • United States

    Is the US already in a recession?
    August 5, 2022
  • Fixed Income

    Fixed Income Perspectives July 2022
    July 27, 2022
  • Fixed Income

    Income as the anchor of a portfolio amid volatility
    July 21, 2022
    Flavio Carpenzano
  • Active Management

    2022 Midyear Outlook report
    July 21, 2022
    Rob Lovelace
  • Japan

    Yen's plummet puts Bank of Japan in a bind
    July 20, 2022
    Anne Vandenabeele
  • Europe

    ECB faces tough choices as it prepares to raise rates
    July 19, 2022
    Robert Lind
  • Portfolio Construction

    Building resilient portfolios amid inflation
    July 19, 2022
    Nisha Thakrar
  • Equity

    The persistence of dividend growers
    July 8, 2022
    Grant L. Cambridge
  • Fixed Income

    Where are the risks and opportunities in high yield and EMD?
    July 5, 2022
    Rob Neithart
  • Emerging Markets

    Emerging market debt: an active approach
    July 4, 2022
    Jeremy J.W. Cunningham
  • Fixed Income

    A more constructive outlook for corporate bonds, but caution is still warranted
    July 5, 2022
  • Outlook

    Rob Lovelace on all-weather investing
    June 30, 2022
    Rob Lovelace
  • Bonds

    Why should you consider owning bonds now?
    June 27, 2022
  • Fixed Income

    Credit investing amid heightened market volatility
    June 22, 2022
    Peter Becker
  • Outlook

    Bond outlook: What to know as Fed fears hit markets
    June 21, 2022
  • Fixed Income

    Look to credit opportunities amid bond market rout
    June 17, 2022
  • Fixed Income

    The US Fed's aggressive path could mean more market turmoil
    June 16, 2022
  • Trade

    Supply chain shifts signal reglobalisation
    June 20, 2022
  • Market Volatility

    A focus on inflation
    June 14, 2022
  • Emerging Markets

    Emerging markets and rising US interest rates
    June 1, 2022
  • Stock

    Globalisation: the reports of its demise are greatly exaggerated
    May 25, 2022
  • Currencies

    Downturn in the US financial cycle may be near
    May 20, 2022
    Jens Sondergaard
  • Fixed Income

    Navigating the foggy road to normal
    May 19, 2022
    Mike Gitlin
  • Market Volatility

    Relative value in EM local markets
    May 13, 2022
    Kirstie Spence
  • Aerospace

    Air travel is taking off again
    May 12, 2022
  • Emerging Markets

    Does the EM debt repricing present a good entry point?
    May 5, 2022
    Harry Phinney
  • Global Equities

    When volatility is rising, boring is beautiful
    May 3, 2022
  • Market Volatility

    The lowdown on inflation in the US and Europe
    April 29, 2022
  • Fixed Income

    Fixed Income Perspectives
    April 28, 2022
  • Market Volatility

    Investing amid exacerbating inflationary pressures
    April 22, 2022
  • Interest Rates

    Is the era of easy money coming to an end?
    April 21, 2022
  • Dividends

    Rotating into dividends in an inflationary world
    April 20, 2022
  • Fixed Income

    Investing in fixed income in a rate hiking cycle
    April 13, 2022
    Keiyo Hanamura
  • China

    My investment lessons from 40 years in China
    April 13, 2022
    Steve Watson
  • China

    How to think about investing in China today
    April 7, 2022
  • Market Volatility

    Q&A: Investing amid geopolitical uncertainty
    April 6, 2022
  • Market Volatility

    Germany's 'no' to energy embargo may prove untenable
    April 4, 2022
    Robert Lind
  • Fixed Income

    The role of fixed income
    March 31, 2022
    Flavio Carpenzano
  • Markets & Economy

    Is the spike in commodity prices sustainable?
    March 24, 2022
  • Market Volatility

    Q&A on Russian debt
    March 17, 2022
    Robert Burgess
  • Market Volatility

    Why we think the Fed is still behind the curve
    March 17, 2022
  • Market Volatility

    Commodity prices drive differentiation within EMD
    March 15, 2022
    Kirstie Spence
  • Market Volatility

    Russia-Ukraine conflict: The geopolitical and economic impact
    March 10, 2022
  • Market Volatility

    Impact of the rise in commodity prices on EM equities
    March 7, 2022
    Martyn Hole
  • Market Volatility

    Implications of Russia’s expulsion from major indices
    March 4, 2022
  • Market Volatility

    The Russia-Ukraine war could cast a meaningful economic shadow
    March 3, 2022
  • Market Volatility

    The West is united
    March 3, 2022
    John Emerson
  • Market Volatility

    EU policymakers may look to mitigate economic shock
    March 3, 2022
    Robert Lind
  • Market Volatility

    Impact of the Russia-Ukraine conflict on European banks
    March 3, 2022
    Matteo Merlo
  • Market Volatility

    Biden and Europe walk energy tightrope
    March 3, 2022
    Talha Khan
  • Market Volatility

    Energy price stabilization largely depends on sanctions
    March 3, 2022
    Przemek Nowak
  • Market Volatility

    U.S. economy faces heightened inflation risk
    March 3, 2022
    Darrell Spence
  • Market Volatility

    Invasion of Ukraine could mark turning point for cybersecurity
    March 8, 2022
    Julien Gaertner
  • Market Volatility

    U.S. defense scenario analysis
    March 8, 2022
    Shane Fogarty
  • Emerging Markets

    Gauging the impact of the Russia/Ukraine conflict on EM debt
    February 28, 2022
    Kirstie Spence
  • Market Volatility

    Staying the course
    February 28, 2022
  • Market Volatility

    Russia-Ukraine conflict threatens global economy
    February 25, 2022
    Robert Lind
  • Fixed Income

    Investing in fixed income during a hiking cycle
    February 22, 2022
    Keiyo Hanamura
  • Fixed Income

    When one plus one equals more than two
    February 22, 2022
    Rob Neithart
  • Market Volatility

    How to handle market declines
    February 11, 2022
  • Automotive

    Electric vehicles: charging towards a sustainable world
    February 9, 2022
  • Technology & Innovation

    Storm cloud: Look past turbulence in US software stocks
    February 7, 2022
  • China

    How demographic challenges are shaping the China investment story
    February 1, 2022
    Andrew Lee
  • Fixed Income

    Fixed Income Perspectives January 2022
    January 24, 2022
  • European Equity

    Investing in growing opportunities in Europe
    January 20, 2022
  • China

    How demographic challenges are shaping the China investment
    January 17, 2022
    Andrew Lee
  • Fixed Income

    Global corporate bonds 2022 outlook
    January 17, 2022
    Peter Becker
  • Currencies

    The pros and cons of Bitcoin
    January 4, 2022
  • Federal Reserve

    What the Fed pivot could mean for US rates, inflation and economy
    December 16, 2021
  • Europe

    Outlook for European equities: modest returns and volatility expected in 2022
    December 16, 2021
    Robert Lind
  • Emerging Markets

    Emerging market debt outlook for 2022
    December 9, 2021
    Kirstie Spence
  • Fixed Income

    5 reasons to invest in US high yield corporate bonds
    December 2, 2021
  • Fixed Income

    EM inflation elevated, but relatively contained
    November 12, 2021
    Arjun Madan
  • Fixed Income

    The role bonds play in a portfolio
    November 8, 2021
    Flavio Carpenzano
  • Technology & Innovation

    3 ways the cloud can change our future
    November 4, 2021
    Andy Budden
  • Inflation

    Pricing power can help companies fight inflation
    October 28, 2021
    Diana Wagner
  • Europe

    Europe: 6 reasons for higher inflation and faster growth
    October 22, 2021
    Robert Lind
  • Emerging Markets

    Frontier markets post-pandemic
    October 22, 2021
    Holger Siebrecht
  • Fixed Income

    Fixed Income Perspectives October 2021
    October 22, 2021
  • Inflation

    US Inflation: Transitory or troublesome?
    October 15, 2021
  • Equity

    Investing in a cloud-powered world
    October 13, 2021
  • China

    China's economy risks a sharp slowdown in growth
    October 6, 2021
    Stephen Green
  • Equity

    Japan corporate governance: More reforms are on the way
    September 28, 2021
    Harry Gunji
  • Monetary Policy

    The long unwinding road: Our take on Federal Reserve tapering and U.S. inflation
    September 24, 2021
  • Europe

    Europe: reasons for optimism...and caution
    September 20, 2021
    Martyn Hole
  • Demographics & Culture

    Will the pandemic threaten the future of big U.S. cities?
    September 17, 2021
  • Equity

    Above the cloud: investment opportunities across the value chain
    September 17, 2021
  • Emerging Markets

    10 trends reshaping the future of emerging markets
    September 15, 2021
    Valeria Vine
  • Technology & Innovation

    Beyond the FAANGs: Tech savvy companies in non-tech sectors
    September 3, 2021
  • Technology & Innovation

    5 predictions for the future of US media
    August 26, 2021
    Nathan Meyer
  • Fixed Income

    5 themes to investing in global bond markets
    August 23, 2021
    Andrew Cormack
  • Interest Rates

    US debt ceiling deadline could disrupt money markets
    July 19, 2021
  • Global Equities

    Big Tech stocks: How to gauge regulatory risk
    July 15, 2021
    Steve Watson
  • Technology & Innovation

    Big Tech stocks: How to gauge regulatory risk
    July 1, 2021
    Tracy Li
  • Interest Rates

    Market's view of transitory inflation may be premature
    June 29, 2021
  • Active Management

    2021 Midyear Outlook: Turning points on the road to recovery
    June 25, 2021
  • Currencies

    4 things global financial cycles are telling us
    June 16, 2021
    Jens Sondergaard
  • Emerging Markets

    Why emerging markets local currency debt in 4 charts
    June 10, 2021
  • Equity

    Why active investing is the way to go for Japanese equities
    May 28, 2021
    Christophe P. Braun
  • Fixed Income

    Global corporate bonds Q&A with Damir Bettini
    May 21, 2021
    Damir Bettini
  • Bonds

    4 reasons why US debt may not spin out of control
    May 18, 2021
  • Fed

    Quick-take on the US inflation outlook
    May 17, 2021
  • Currencies

    How to talk to clients about Bitcoin
    May 14, 2021
  • Fixed Income

    Fixed Income Perspectives April 2021
    April 30, 2021
  • U.S. Equities

    A veteran PM’s view on the pandemic’s long term impact
    April 30, 2021
    Martin Romo
  • Equity

    Time to rethink value versus growth
    April 30, 2021
    Nisha Thakrar
  • Global Equities

    Semiconductors could be the new oil – here’s why
    April 22, 2021
  • Bonds

    US high-yield bonds: 5 things to know today
    April 21, 2021
  • Long Term Investing

    The World in 2030: 10 predictions for long-term investors
    April 20, 2021
    Rob Lovelace
  • Global Equities

    The aviation industry: Five reasons for resilience
    April 9, 2021
    Todd Saligman
  • Fixed Income

    Amid a US economic boom, how high can rates go?
    April 6, 2021
  • Long-Term Investing

    A distinctive approach to investing
    April 1, 2021
    Rob Lovelace
  • Market Volatility

    Maintaining a long-term perspective in volatile markets
    April 1, 2021
  • Bonds

    Rising US rates: Untangling the Fed vs. market debate
    March 29, 2021
  • Long-Term Investing

    The post-COVID world, with Capital Group's Night Watch
    March 24, 2021
  • Emerging Markets

    Why invest in EM local currency debt?
    March 19, 2021
    Peter Becker
  • Global

    COVID and beyond: navigating the markets
    March 11, 2021
  • Markets & Economy

    The coming M&A wave: 5 key questions answered
    March 11, 2021
  • China

    China: Policy and investment implications under Biden
    March 9, 2021
  • Global Equities

    Beyond Tesla: Electric cars shift into the fast lane
    March 4, 2021
  • Long-Term Investing

    The world in 2030: Investing for the next decade
    February 19, 2021
  • Fixed Income

    Will the Fed’s new policy framework bring higher inflation?
    February 11, 2021
    Timothy Ng
  • U.S. Equities

    Has big tech become too big?
    February 11, 2021
  • U.S. Equities

    How pent-up demand could fuel U.S. market recovery
    February 5, 2021
  • Equity

    Capital Ideas Talks with Martyn Hole
    February 3, 2021
    Martyn Hole
  • Fixed Income

    Fixed Income Perspectives January 2021
    January 28, 2021
  • Global Equities

    Rob Lovelace on the year ahead
    January 28, 2021
    Rob Lovelace
  • Markets & Economy

    Capital Ideas Talks: Talking macro with Robert Lind
    January 27, 2021
    Robert Lind
  • Election

    Washington watch: Priorities emerge under new leadership
    January 21, 2021
  • United States

    What lies ahead for the US economy?
    January 11, 2021
    Darrell Spence
  • Long-Term Investing

    Capital Group New Economy: designed to capture growth and innovation
    January 7, 2021
  • Brexit

    Brexit deal builds new barriers to UK-EU trade
    December 31, 2020
    Robert Lind
  • Global Equities

    2021 Outlook: Turning points on the road to recovery
    December 16, 2020
  • Fixed Income

    Global corporate bonds Q&A with Damir Bettini
    December 3, 2020
    Damir Bettini
  • Markets & Economy

    The outlook for U.S. credit in a recessionary economy
    May 21, 2020
    Damien McCann
  • Market Volatility

    4 ways to stay calm when markets stumble
    March 5, 2020
  • STAY CONNECTED:
  • Contact Us
    • Follow Us:
    • (external link)
  • OUR COMPANY:
  • About Us
  • Careers
  • Media Relations
  • Policies
OUR STRATEGIES
  • Our strategies
  • Fund centre
  • Emerging Markets
HOW TO INVEST
  • Charges
  • Contact us
  • Currency
  • Disclosures
  • JP Morgan list of Sub-custodians
  • Paying agent
  • Shareholder notifications
  • Share classes
  • Swing pricing
  • Tax centre
  • Transactions and forms
INVESTMENT INSIGHTS
  • Investment insights
ABOUT CAPITAL
  • Our history and core beliefs
  • The Capital advantage
  • Our investment philosophy and process
  • First-hand global research
  • Our people
  • Our approach to integrating Environmental, Social and Governance issues in investing

Copyright © 2023 Capital Group. All rights reserved.

  • Legal & Regulatory Information
  • Privacy
  • Cookies
  • Summary of Investor Rights

Important information

This website is for Financial Intermediaries in Germany only.

If you are an Individual Investor click here, if you are an Institutional Investor click here. Should you be looking for information for another location, please click here.

By clicking, you acknowledge that you have fully understood and accepted the Legal and Regulatory Information.

CANCEL ACCEPT