American Funds Strategic Bond Fund Class R-1
RANAX
NASDAQ
Weiss Ratings
RANAX
Low
RANAX
Industry Average
High
Reward
1.99
0.00
7.04
Risk
2.94
0.00
7.42
Dividend
RANAX
Low
RANAX
Industry Average
High
Dividend Yield
2.37%
0.00%
> 10.00%
Dividend Yield (Forward)
2.34%
0.00%
> 10.00%
Asset Allocation
RANAX
Low
RANAX
Industry Average
High
Cash
2.63%
< 0.00%
> 20.00%
Stock
0.06%
< 0.00%
> 120.00%
U.S. Stock
0.06%
< 0.00%
> 90.00%
Non-U.S. Stock
0.00%
< 0.00%
> 40.00%
Bond
97.14%
< 10.00%
> 100.00%
U.S. Bond
82.47%
< 10.00%
> 90.00%
Non-U.S. Bond
14.67%
< 0.00%
> 20.00%
Preferred
0.08%
< 0.00%
> 10.00%
Convertible
0.09%
< 0.00%
> 10.00%
Other
0.00%
< 0.00%
> 10.00%
Performance
RANAX
Low
RANAX
Industry Average
High
1-Month Total Return
1.47%
< -10.00%
> 10.00%
3-Month Total Return
3.51%
< 0.00%
> 10.00%
6-Month Total Return
-1.35%
< -10.00%
> 0.00%
Year to Date Total Return
3.51%
< 0.00%
> 10.00%
1-Year Total Return
4.22%
< 0.00%
> 20.00%
2-Year Total Return
-0.54%
< -10.00%
> 50.00%
3-Year Total Return
-6.60%
< -10.00%
> 30.00%
5-Year Total Return
-1.08%
< -10.00%
> 170.00%
Last Bull Market Total Return
5.54%
< 0.00%
> 70.00%
Last Bear Market Total Return
-5.99%
< -60.00%
> 0.00%
Price
RANAX
Low
RANAX
Industry Average
High
Closing Price
--
$1.71
$50.34
1-Month Low Price
--
$1.68
$49.17
1-Month High Price
--
$1.74
$51.95
52-Week Low Price
--
$1.55
$44.59
52-Week High Price
--
$1.80
$99.79
NAV
RANAX
Low
RANAX
Industry Average
High
NAV
$9.20
$0.33
> $50.00
1-Month Low NAV
$9.14
$0.32
> $50.00
1-Month High NAV
$9.27
$0.35
> $50.00
52-Week Low NAV
$8.80
$0.32
> $40.00
52-Week High NAV
$9.52
$0.97
> $50.00
Beta / Standard Deviation
RANAX
Low
RANAX
Industry Average
High
Beta
1.03
< 0.00
> 10.00
Standard Deviation
8.31
0.00
> 30.00
Balance Sheet
RANAX
Low
RANAX
Industry Average
High
Total Assets
19.63B
< 3.77B
> 19.63B
Operating Ratios
RANAX
Low
RANAX
Industry Average
High
Expense Ratio
1.40%
0.00%
> 10.00%
Turnover Ratio
313.00%
< 30.00%
> 320.00%