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ARLCX

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Analysis and statistics

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About

ARLCX.US represents the American Funds Capital World Growth and Income Fund Class R6. It is a mutual fund that seeks to provide long-term growth of capital and income by investing in a diversified portfolio of equity securities of companies around the world, including the United States. The fund primarily invests in common stocks and may also invest in other securities, such as preferred stocks, bonds, and convertible securities. It is managed by Capital Research and Management Company and is designed for investors seeking a balance between growth and income potential with a global perspective.
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Factors

Market Interest Rates: Rising interest rates typically decrease bond values, negatively impacting ARLCX's price as its fixed-income holdings become less attractive.

Credit Quality of Holdings: Downgrades in the credit ratings of bonds within ARLCX's portfolio can lead to price declines due to increased default risk.

Inflation Expectations: Higher inflation erodes the real value of fixed-income assets, potentially lowering ARLCX's price as investors demand higher yields.

Economic Growth: Strong economic growth can lead to higher interest rates and inflation, impacting ARLCX's value negatively. Slower growth may have the opposite effect.

Fund Management Decisions: Investment strategies, security selection, and duration management by ARLCX's managers can influence its performance and price.

Supply and Demand: Investor demand for ARLCX shares impacts its price, with higher demand generally leading to price increases and lower demand leading to price decreases.

Geopolitical Events: Global events like political instability or trade wars can affect market sentiment and interest rates, influencing ARLCX's value.

Fund Expenses: ARLCX's expense ratio impacts its overall returns, affecting its attractiveness and indirectly its price. Lower expenses are generally more favorable.

Liquidity of Holdings: Difficulty in selling the bonds held by ARLCX can affect its price, especially during periods of market stress when liquidity may be limited.

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