Capital Group Multi-Sector Income Fund (LUX)

A multi-sector approach for reliable income

Views on the collapse of SVB Financial

We're here with the support and solutions you need.

Don't hesitate to reach out if you have questions or need assistance.

Feike Goudsmit
Head of Client Group
Nordics, Benelux, France and
Middle East

+31 (0)20 797 7575

Jaap Kraan
Relationship Manager
Netherlands and Nordics

+31 (0)20 797 7583

Thomas van Onna, CFA
Relationship Manager
Netherlands and Nordics

+31 (0)20 797 7579

Adinda Brouwer
Business Development Associate

+31 (0)20 797 7581

Lediane Toledo
Senior Client Manager

+31 (0)20 797 7582

Martin Hofman
Managing Director
Marketing Northern Europe

+31 (0)20 797 7578

Elleke Reipen
Marketing Director

+31 (0)20 797 7574

Sharina Abdoel
EU Client Group Assistant

+31 (0)20 797 7577

All data as at 31 December 2022 and attributed to Capital Group, unless otherwise specified.

  1. Indices used to represent US high yield corporates: Bloomberg US High Yield Index 2% Issuer Cap; US investment-grade corporates: Bloomberg US Corporate Index; emerging market government bonds: JPMorgan EMBI Global Diversified Index
  2. Reference index: 45% Bloomberg US High Yield Index 2% Issuer Cap; 30% Bloomberg US Corporate Index; 15% JPMorgan EMBI Global Diversified Index; 8% Bloomberg CMBS Ex AAA Index; 2% Bloomberg ABS Ex AAA Index 
  3. Carbon footprint data is based on weighted average carbon intensity


Risk factors you should consider before investing:

  • The value of investments and income from them can go down as well as up and you may lose some or all of your initial investment.
  • Past results are not a guarantee of future results.
  • If the currency in which you invest strengthens against the currency in which the underlying investments are made, the value of your investment will decrease. Currency hedging seeks to limit this, but there is no guarantee that hedging will be totally successful.
  • The Prospectus – together with any locally-required offering documentation – sets out risks, which, depending on the fund, may include risks associated with investing in fixed income, derivatives, emerging markets and/or high-yield securities; emerging markets are volatile and may suffer from liquidity problems.
  • The fund may invest in financial derivative instruments for investment purposes, hedging and/or efficient portfolio management.


The information in relation to the index is provided for context and illustration only. The fund is an actively managed UCITS. It is not managed in reference to a benchmark.

Past results are not a guarantee of future results.