Asset Allocation
1. Compared to a 100% global equity portfolio.
2. Compared to a 100% global equity portfolio.
The investment team behind this fund
Aline Avzaradel
San Francisco
18 years with Capital
Alfonso Barroso
London
28 years with Capital
Grant L. Cambridge
Los Angeles
26 years with Capital
Charles E. Ellwein
San Francisco
17 years with Capital
David A. Hoag
Los Angeles
31 years with Capital
Winnie Kwan
Hong Kong
23 years with Capital
James B. Lovelace
Los Angeles
41 years with Capital
Fergus N. MacDonald
Los Angeles
19 years with Capital
Caroline Randall
London
17 years with Capital
Bradley J. Vogt
Washington, D.C.
35 years with Capital
Steven Watson
Hong Kong
33 years with Capital
Philip Winston
London
26 years with Capital
Research Portfolio
Research analysts are allocated
part of the fund assets to manage
Additional information on how this fund can help meet your clients’ needs
Capital Group manages equity assets through three investment groups. These groups make investment and proxy voting decisions independently. Fixed income investment professionals provide fixed income research and investment management across the Capital organization; however, for securities with equity characteristics, they act solely on behalf of one of the three equity investment groups.
Data as at 31 December 2022 and attributed to Capital Group, unless otherwise specified.
Asset Allocation
Market Volatility
Bérenger de la Blache, CFA
Managing Director,
Financial Intermediaries & Institutional
Luxembourg, Belgium & France
Kim Pex
Managing Director,
Financial Intermediaries & Institutional
Luxembourg, Belgium & France
Grégoire Seron
Marketing Director
Luxembourg, Belgium & France
Fatiha Benmaamar
Client Group Assistant
Data as at 31 December 2022 and attributed to Capital Group, unless otherwise specified.
In USD terms. Capital Group Capital Income Builder (LUX) was launched 21 September 2018. The investment results referenced here are for the Capital Group Capital Income Builder Composite (defined as a single group of discretionary portfolios that collectively represent a particular investment strategy or objective). This is intended to illustrate our experience and capability in managing this strategy over the long term. Our Luxembourg fund has been a member of this composite since launch.
Results referenced for the Capital Group Capital Income Builder Composite, from inception on 21 September 2018 (net of fees, Z).
Index is 70% MSCI ACWI (net dividends reinvested) / 30% Bloomberg US Aggregate Bond. Sources: MSCI, Bloomberg
Risk factors you should consider before investing: