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American Funds American Mutual 12/31/25
     FUND INFORMATION  PEER GROUP ANALYSIS - Large Value  RISK VS. RETURN (5 YEARS*)
 Fund  Capital Group  32.0           20.0
 Family:
 Fund Inception:  05/01/2009
 Portfolio  Team Managed  26.0
 Manager:
                                     16.0
 Total  111,726 Million
 Assets:
 20.0
 Turnover  31.00 %
                                     12.0
 14.0
 Firm and Management  Return        Return (% )
 Capital Group is a global asset  8.0  8.0
 manager headquartered in Los
 Angeles, California. The firm was
 founded in 1931 and launched the  2.0
 American Funds family of mutual      4.0
 funds in 1934.  -4.0
 Investment Strategy                  0.0
 American Funds employs a multi-  -10.0  4.0  8.0  12.0  16.0  20.0
 manager approach, where each  Last  Year  1  3  5  7  10  Risk (Standard Deviation %)
 portfolio manager runs a sleeve of  Quarter  To Date  Year  Years  Years  Years  Years
 the portfolio. This not only helps  ¢ £  American Funds American Mutual  1.74 (82)  16.47 (36)  16.47 (36)  13.80 (48)  12.10 (43)  12.44 (48)  11.67 (22)  Return  Standard
                                                            Deviation
 diversify portfolios, but it also helps  ˜   Russell 1000 Value Index  3.81 (38)  15.91 (44)  15.91 (44)  13.90 (46)  11.33 (59)  12.10 (55)  10.53 (55)  ¢ £  American Funds American Mutual  12.10  11.83
 American Funds avoid key person     ˜   Russell 1000 Value Index  11.33  14.55
 risk. American Funds American  Median  3.25  15.46  15.46  13.63  11.73  12.30  10.64  ¾  Median  11.73  14.30
 Mutual focuses on high-quality,
 dividend paying stocks. The fund
 generally has a higher yield than  CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS
 the benchmark. This fund has the
 flexibility to hold bonds or large  2024  2023  2022  2021  2020  2019  2018
 cash balances when there are  American Funds American Mutual  15.30 (41)  9.75 (61)  -4.19 (35)  25.33 (59)  5.10 (33)  22.12 (85)  -1.78 (3)
 limited opportunities in equity  Russell 1000 Value Index  14.37 (52)  11.46 (48)  -7.54 (67)  25.16 (61)  2.80 (53)  26.54 (37)  -8.27 (44)
 markets.  Large Value Median  14.51  11.22  -5.63  26.03  2.95  25.54  -8.72
 Innovest Assessment:
 American Funds American  ROLLING 3 YEAR RETURN AND PERCENTILE RANKINGS
 Mutual’s quality, dividend-focused  3  3  3  3  3  3       3
 approach gives the portfolio  Years  Years  Years  Years  Years  Years  Years
 potential to protect on the  Ending  Ending  Ending  Ending  Ending  Ending  Ending
 downside with equity markets are  Dec-2025  Dec-2024  Dec-2023  Dec-2022  Dec-2021  Dec-2020  Dec-2019
 more volatile. However, this fund  American Funds American Mutual  13.80 (48)  6.63 (44)  9.64 (50)  8.07 (30)  17.17 (60)  8.02 (20)  12.27 (17)
 will likely underperform when  Russell 1000 Value Index  13.90 (46)  5.63 (63)  8.86 (67)  5.96 (72)  17.64 (52)  6.07 (49)  9.68 (56)
 equity markets are rallying.  Large Value Median  13.63  6.34  9.63  7.02  17.70  5.93  9.97




 *If less than 5 years, data is since inception of fund share class.

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