C
American Funds Multi-Sector Income Fund Class R-1 RMDNX
NASDAQ
Recommendation
NAV
Total Assets
Dividend Yield
Turnover Ratio
Expense Ratio
Weiss Ratings RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Rating C
Reward Index Fair
Reward Grade C-
Risk Index Fair
Risk Grade C
Company Info RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Provider Capital Group
Manager/Tenure (Years) Damien J. McCann (7), Scott Sykes (7), Shannon Ward (7), 3 others
Website --
Fund Information RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Fund Name American Funds Multi-Sector Income Fund Class R-1
Category Multisector Bond
Sub-Category US Fixed Income
Prospectus Objective Corporate Bond - General
Inception Date May 01, 2020
Open/Closed To New Investors Open
Minimum Initial Investment 250.00
Minimum Subsequent Investment 50.00
Front End Fee --
Back End Fee --
Dividends and Shares RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Dividend Yield 5.38%
Dividend RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Dividend Yield (Forward) 0.00%
Asset Allocation RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Cash 2.30%
Stock 0.33%
U.S. Stock 0.33%
Non-U.S. Stock 0.00%
Bond 96.98%
U.S. Bond 78.87%
Non-U.S. Bond 18.11%
Preferred 0.21%
Convertible 0.17%
Other Net 0.00%
Price History RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
7-Day Total Return 0.73%
30-Day Total Return 0.32%
60-Day Total Return 2.65%
90-Day Total Return 0.14%
Year to Date Total Return 1.10%
1-Year Total Return 6.56%
2-Year Total Return 13.49%
3-Year Total Return 23.82%
5-Year Total Return 12.83%
Price RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Closing Price --
1-Month Low Price --
1-Month High Price --
52-Week Low Price --
52-Week Low Price (Date) --
52-Week High Price --
52-Week High Price (Date) --
NAV RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Nav $9.39
1-Month Low NAV $9.28
1-Month High NAV $9.41
52-Week Low NAV $9.23
52-Week Low NAV (Date) Mar 27, 2026
52-Week High NAV $9.59
52-Week High Price (Date) Sep 16, 2025
Beta / Standard Deviation RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Beta 0.80
Standard Deviation 4.96
Balance Sheet RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Total Assets 21.90B
Operating Ratios RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Expense Ratio 1.45%
Turnover Ratio 102.00%
Performance RMDNX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Last Bull Market Total Return 7.10%
Last Bear Market Total Return -8.27%