0000051931-18-001438.txt : 20181231 0000051931-18-001438.hdr.sgml : 20181231 20181231124446 ACCESSION NUMBER: 0000051931-18-001438 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 24 CONFORMED PERIOD OF REPORT: 20181031 FILED AS OF DATE: 20181231 DATE AS OF CHANGE: 20181231 EFFECTIVENESS DATE: 20181231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS CENTRAL INDEX KEY: 0001474365 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-22349 FILM NUMBER: 181259217 BUSINESS ADDRESS: STREET 1: 6455 IRVINE CENTER DRIVE CITY: IRVINE STATE: CA ZIP: 92618 BUSINESS PHONE: 213-486-9200 MAIL ADDRESS: STREET 1: 333 SOUTH HOPE STREET CITY: LOS ANGELES STATE: CA ZIP: 90071 FORMER COMPANY: FORMER CONFORMED NAME: CAPITAL PRIVATE CLIENT SERVICES FUNDS DATE OF NAME CHANGE: 20100323 FORMER COMPANY: FORMER CONFORMED NAME: PERSONAL INVESTMENT MANAGEMENT PORTFOLIO SERIES DATE OF NAME CHANGE: 20091014 0001474365 S000027394 Capital Group Core Municipal Fund C000082662 Share class CCMPX 0001474365 S000027395 Capital Group Short-Term Municipal Fund C000082663 Share class CSTMX 0001474365 S000027396 Capital Group California Core Municipal Fund C000082664 Share class CCCMX 0001474365 S000027397 Capital Group California Short-Term Municipal Fund C000082665 Share class CCSTX 0001474365 S000027398 Capital Group Core Bond Fund C000082666 Share class CCBPX 0001474365 S000031199 Capital Group Global Equity Fund C000096877 Share class CGLOX 0001474365 S000031200 Capital Group International Equity Fund C000096878 Share class CNUSX 0001474365 S000031201 Capital Group U.S. Equity Fund C000096879 Share class CUSEX N-CSR 1 cgpcs_ncsr.htm N-CSR

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

Certified Shareholder Report of

Registered Management Investment Companies

 

Investment Company Act File Number: 811-22349

 

Capital Group Private Client Services Funds

(Exact Name of Registrant as Specified in Charter)

 

6455 Irvine Center Drive

Irvine, California 92618

(Address of Principal Executive Offices)

 

Registrant's telephone number, including area code: (213) 486-9200

 

Date of fiscal year end: October 31

 

Date of reporting period: October 31, 2018

 

Courtney R. Taylor

Capital Group Private Client Services Funds

333 South Hope Street

Los Angeles, California 90071

(Name and Address of Agent for Service)

 

ITEM 1 – Reports to Stockholders

 

 

Capital Group Core Municipal FundSM

Capital Group Short-Term Municipal FundSM

Capital Group California Core Municipal FundSM

Capital Group California Short-Term Municipal FundSM

Capital Group Core Bond FundSM

 

Capital Group Global Equity FundSM

Capital Group International Equity FundSM

Capital Group U.S. Equity FundSM

 

Annual report for the year ended October 31, 2018

 

 

In-depth research
and a global
investment
perspective can
lead to strong
long-term outcomes.

 

Beginning January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, we intend to no longer mail paper copies of the fund’s shareholder reports, unless specifically requested from the funds or your financial intermediary, such as a broker-dealer or bank. Instead, the reports will be made available on the fund’s website (capitalgrouppcsfunds.com); you will be notified by mail and provided with a website link to access the report each time a report is posted.

 

You may elect to receive paper copies of all future reports free of charge. If you invest through a financial intermediary, you may contact your financial intermediary to request that you continue to receive paper copies of your shareholder reports. If you invest directly with the fund, you may inform the funds that you wish to continue receiving paper copies of your shareholder reports by contacting us at (800) 421-4225. Your election to receive reports in paper will apply to all funds held with the fund’s transfer agent or through your financial intermediary.

 


 

 

Capital Group Core Municipal Fund seeks to provide current income exempt from federal income tax while preserving your investment.

 

Capital Group Short-Term Municipal Fund seeks to preserve your investment and secondarily to provide current income exempt from federal income tax.

 

Capital Group California Core Municipal Fund seeks to provide current income exempt from federal and California income taxes while preserving your investment.

 

Capital Group California Short-Term Municipal Fund seeks to preserve your investment and secondarily to provide current income exempt from federal and California income taxes.

 

Capital Group Core Bond Fund seeks to provide you with current income while preserving your investment.

 

Capital Group Global Equity Fund seeks to provide prudent growth of capital and conservation of principal.

 

Capital Group International Equity Fund seeks to provide prudent growth of capital and conservation of principal.

 

Capital Group U.S. Equity Fund seeks to provide prudent growth of capital and conservation of principal.

 

Each fund is one of more than 40 offered by Capital Group, home of American Funds, one of the nation’s largest mutual fund families. For more than 85 years, Capital Group has invested with a long-term focus based on thorough research and attention to risk.

 

Fund results shown in this report are at net asset value. Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share prices and returns will vary, so investors may lose money. Investing for short periods makes losses more likely.

 

Here are the total returns on a $1,000 investment with all distributions reinvested for periods ended September 30, 2018 (the most recent calendar quarter-end), and the total annual fund operating expense ratios as of the prospectus dated January 1, 2019 (unaudited):

 

   Cumulative
total returns
  Average annual
total returns
  Gross  Net
   1 year  5 years  Lifetime*  expense ratios  expense ratios
                
Capital Group Core Municipal Fund   –0.03%   1.70%   2.29%   0.27%   0.27%
Capital Group Short-Term Municipal Fund   0.16    0.93    1.29    0.32    0.30 
Capital Group California Core Municipal Fund   0.20    2.05    2.43    0.27    0.27 
Capital Group California Short-Term Municipal Fund   –0.05    0.83    1.11    0.31    0.30 
Capital Group Core Bond Fund   –0.85    1.24    2.02    0.28    0.28 
Capital Group Global Equity Fund   11.43    9.22    8.90    0.67    0.65 
Capital Group International Equity Fund   4.12    5.13    5.38    0.67    0.65 
Capital Group U.S. Equity Fund   14.07    11.87    11.11    0.45    0.43 

 

* Since 4/13/10, except since 4/1/11 for Capital Group Global Equity Fund, Capital Group International Equity Fund and Capital Group U.S. Equity Fund.

 

When applicable, investment results reflect fee waivers and/or expense reimbursements, without which results would have been lower. The investment adviser is currently reimbursing a portion of other expenses for the funds. Investment results and the net expense ratio reflect the reimbursement, without which the results would have been lower and the expense ratio would have been higher. This reimbursement will be in effect through at least January 1, 2020, unless modified or terminated by the fund’s board. The adviser may elect at its discretion to extend, modify or terminate the reimbursement at that time.

 

Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.

 
Contents
     
1   Letter to investors
     
4   Fund reviews
     
    Investment portfolios
     
14   Capital Group Core Municipal Fund
     
32   Capital Group Short-Term Municipal Fund
     
42   Capital Group California Core Municipal Fund
     
54   Capital Group California Short-Term Municipal Fund
     
61   Capital Group Core Bond Fund
     
70   Capital Group Global Equity Fund
     
74   Capital Group International Equity Fund
     
77   Capital Group U.S. Equity Fund
     
80   Financial statements
     
109   Board of trustees and other officers

 

Dear fellow investors:

 

Global equities inched narrowly higher in the 12 months ended October 31, 2018, as a rally throughout much of the period was counterbalanced by intermittent bouts of selling, including a notable downdraft in the final month. In the U.S., equities gained ground as low unemployment, rising wages and vibrant consumer confidence were buoyed by tax cuts and increased federal spending. However, rising bond yields and concerns about the valuations of prominent technology stocks contributed to the late-period selloff.

 

Equity weakness was most pronounced overseas as hopes for a synchronized global expansion gave way to renewed jitters about growth in Europe and China. European stocks were hamstrung by currency trends, economic sluggishness and political flare-ups. China fell into a bear market amid softening economic growth and the specter of a prolonged showdown with the U.S. over international trade.

 

Fixed income markets were affected by rising interest rates, with the Federal Reserve tightening credit in response to robust economic conditions. Bond yields rose early in the year as signs of synchronized global growth emerged, and again toward the end of the period as the U.S. economy raced ahead. The Fed is expected to continue tightening, though at a gradual pace with rates remaining low by historical standards.

 

Fixed income commentary

 

The Capital Group Core Municipal, Short-Term Municipal and California Core Municipal funds outpaced their respective benchmarks. The Capital Group Core Bond and California Short-Term Municipal funds trailed their benchmarks.

 

Capital Group Core Municipal Fund and Capital Group Short-Term Municipal Fund

 

The Core Municipal Fund declined 0.32%, slightly exceeding its benchmark, which declined 0.46%. The fund invests in a range of high-quality revenue bonds, which are issued to finance public-related services such as roads, bridges, airports and schools. Roughly 19% of the fund’s assets were in housing-related securities, with 11% in health care.

 

The Short-Term Municipal Fund rose 0.05% compared to the 0.02% decline of its benchmark. Nearly 30% of the fund’s assets were in housing-related securities, with a further 8% in health care. Compared to its benchmark, the fund was slightly overweight tobacco, transportation and utilities.

 

Capital Group California Core Municipal Fund and Capital Group California Short-Term Municipal Fund

 

The California Core Municipal Fund fell 0.27%, compared to a decline of 0.42% in its benchmark. The fund had overweight positions in education and health care securities. It was underweight transportation and utilities.

 

The California Short-Term Municipal Fund dropped 0.07%, compared to a decline of 0.03% in its benchmark. The fund had nearly one-quarter of its assets in tax-related holdings, including tax allocation securities, which are often issued to finance redevelopment projects. An additional 19% of assets were in general obligation bonds, and nearly 10% in health-related securities.

 

Capital Group Core Bond Fund

 

On a total return basis, the Core Bond Fund dropped 1.14%, compared to the decline of 1.02% in its benchmark. The fund had an underweight position in U.S. Treasuries and a slight underweight in investment-grade corporate bonds. It was overweight asset-backed securities, whose repayment streams are tied to mortgages, credit cards and auto loans.

 

Managers have emphasized caution and avoided taking undue credit or market risks. They have been drawn to high-quality securities and shorter durations to

 

Private Client Services Funds 1
 

help minimize the potential impact of adverse market shifts.

 

The fixed income market may undergo volatility in the coming year if the Federal Reserve continues to raise short-term interest rates in response to U.S. economic conditions. However, bonds remain a fundamental element of well-balanced portfolios regardless of market conditions. Bonds can generate income and offer diversification from equities, which are especially important at a time of uncertainty in the global economy.

 

Equity commentary

 

Over the past 12 months, the Capital Group Global Equity Fund advanced 0.25%, slightly behind the 1.15% gain in its benchmark, the MSCI World Index. The Capital Group International Equity Fund declined 6.09%, outpacing its benchmark, the MSCI EAFE Index, which fell 6.85%. The Capital Group U.S. Equity Fund rose 5.30%, shy of the 7.35% gain in the S&P 500 Index.

 

Capital Group Global Equity Fund

 

The fund was boosted partially by technology and Internet-related companies with vibrant earnings and global footprints. GoDaddy, an Internet domain registrar and web hosting company, reported positive earnings thanks to heavy demand for web design and management services. Financial exchange operator CME Group was helped by increased volatility in the financial markets as well as a secular expansion in the demand for data and analytical services.

 

Financial payments giant Visa reported strong results as the global surge in travel and consumer spending spurred credit and debit card activity. The growth in air travel also propelled Safran, a French aircraft engineering company, as carriers increased capacity during an aerospace upgrade cycle. Online juggernaut Amazon registered strong results in its traditional online retail business and its cloud computing division.

 

On the flip side, results were weighed down by declines at a variety of companies, some due to industry dynamics and others because of business-specific ailments. Two energy-related companies depressed results as capital spending by major oil companies remained subdued despite the rebound in oil prices. That affected equipment and services providers. Shares of Enbridge fell as the pipeline company endured a series of delays in a planned transmission expansion. Oilfield services giant Schlumberger was squeezed by the reluctance of large oil companies to step up infrastructure spending.

 

Incyte, a biopharmaceutical company specializing in oncology-related research, wrestled with poor results of a cancer therapy that halted clinical trials. Shares of Micro Focus International, a software and information technology company, were trampled by an earnings warning and the unexpected resignation of its chief executive. Cigarette maker British American Tobacco endured falling cigarette demand and concerns about increased regulation by the U.S. Food and Drug Administration.

 

Capital Group International Equity Fund

 

International stocks were knocked off stride by disappointing economic data as growth in the eurozone throttled back from its late-2017 pace. Stocks were also dragged down by renewed political turmoil across much of the continent, including economic powerhouse Germany, which revived fears of populist movements hobbling regulatory reforms and economic progress. There were some positive signs as the eurozone labor market tightened and wage growth picked up. But the near-term outlook was clouded by slack global demand, the chronic troubles of countries such as Italy, and the scuffle with the U.S. over trade.

 

Companies across a variety of industries contributed to results. Safran rode an aerospace upgrade cycle as carriers increased capacity in response to the global travel boom. Shares of AstraZeneca moved higher as the U.K.-based pharmaceutical company’s Imfinzi oncological compound gained regulatory approval in Japan. Satellite operator SES outlined plans to expand its network

 

2 Private Client Services Funds
 

business to complement its traditional broadcast operations.

 

MercadoLibre, an Argentinian company that operates e-commerce websites and electronic auctions, benefited from the steady expansion of Latin America’s e-commerce market to grow at a notably faster rate than its competitors. The fund was also positively impacted by a modest cash position, which can act as a counterbalance during a declining market.

 

On the downside, shares of Micro Focus International plummeted as the company lowered earnings guidance, triggering the unexpected resignation of its chief executive. British American Tobacco was affected by falling cigarette demand and increased regulations by the U.S. Food and Drug Administration.

 

Genmab, a Danish biotechnology company, was weighed down by disappointing progress in its non-Hodgkin lymphoma drug. SMC, which makes compressed-air components used in manufacturing, was set back by currency effects and global trade tensions that cast a shadow over its manufacturing facilities in China. Vodafone, an international telecommunications company, was hurt by intensifying competition across a number of markets.

 

Capital Group U.S. Equity Fund

 

The fund was paced by gains in technology and Internet-related companies, as investors were drawn to businesses with strong earnings growth and promising long-term prospects in areas such as data analysis, cloud computing and artificial intelligence. The top contributor to results was Jack Henry & Associates, a provider of information technology to the financial services industry that benefited from strong earnings and lower corporate tax rates. Profits also rose at Visa thanks to a global surge in travel and consumer spending.

 

Other contributors included Microsoft, which advanced as revenue at the company’s cloud computing division surpassed that of its traditional software licensing operation. CME Group benefited from increased volatility in the financial markets as well as a secular expansion in the demand for data and analytical services. Amazon registered strong growth in both its online retail business and its cloud computing unit. Though the long-term outlook for the technology sector remained encouraging, the fund took profits in some holdings and lightened exposure overall as share prices and valuations swelled.

 

On the downside, the fund was negatively impacted by Newell Brands. The consumer goods conglomerate struggled with a bungled acquisition, a bitter clash with activist investors and sharply decreased sales brought on partly by shifting consumer spending habits. Incyte was stung by poor results of a cancer therapy that halted clinical trials. Insurance provider Chubb was affected by reports that Amazon is considering a plan to enter the home insurance business.

 

A pair of energy-related companies detracted from results as oil prices rebounded from their extended lows, but spending plans and budgets continued to fluctuate due to ongoing uncertainty about the recovery’s durability. Shares of Enbridge were hurt by a series of delays in a planned pipeline expansion. Schlumberger was burdened by the reluctance of large energy companies to step up infrastructure spending.

 

We thank you for the trust you have placed in us and for your continued investment in the fund, and look forward to reporting to you again in six months.

 

Sincerely,

 

 

John S. Armour
President

 

December 17, 2018

 

Private Client Services Funds 3
 

Capital Group Core Municipal Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Bloomberg Barclays Municipal Short-Intermediate 1-10 Years Index is a market value-weighted index that includes investment-grade tax-exempt bonds with maturities of one to 10 years. This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: Bloomberg Index Services Ltd.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group Core Municipal Fund   –0.32%  1.50%  2.24%

 

Portfolio quality summary* Percent of net assets

 

 

* Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. In assigning a credit rating to a security, the fund looks specifically to the ratings assigned to the issuer of the security by Standard & Poor’s, Moody’s and/or Fitch. If agency ratings differ, the security will be considered to have received the highest of those ratings, consistent with the fund’s investment policies. Securities in the “unrated” category (above) have not been rated by a rating agency; however, the investment adviser performs its own credit analysis and assigns comparable ratings that are used for compliance with the fund’s investment policies. The ratings are not covered by the Report of Independent Registered Public Accounting Firm.

 

4 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Bloomberg Barclays Municipal Short 1-5 Years Index is a market value-weighted index that includes investment-grade tax-exempt bonds with maturities of one to five years. This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: Bloomberg Index Services Ltd.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group Short-Term Municipal Fund   0.05%  0.82%  1.27%

 

Portfolio quality summary* Percent of net assets

 

 

* Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. In assigning a credit rating to a security, the fund looks specifically to the ratings assigned to the issuer of the security by Standard & Poor’s, Moody’s and/or Fitch. If agency ratings differ, the security will be considered to have received the highest of those ratings, consistent with the fund’s investment policies. Securities in the “unrated” category (above) have not been rated by a rating agency; however, the investment adviser performs its own credit analysis and assigns comparable ratings that are used for compliance with the fund’s investment policies. The ratings are not covered by the Report of Independent Registered Public Accounting Firm.

 

Private Client Services Funds 5
 

Capital Group California Core Municipal Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Bloomberg Barclays California Short-Intermediate Municipal Index is a market value-weighted index that includes only investment grade tax-exempt bonds that are issued from California with maturities of one to 10 years. This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: Bloomberg Index Services Ltd.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group California Core Municipal Fund  –0.27%  1.83%  2.36%

 

Portfolio quality summary* Percent of net assets

 

 

* Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. In assigning a credit rating to a security, the fund looks specifically to the ratings assigned to the issuer of the security by Standard & Poor’s, Moody’s and/or Fitch. If agency ratings differ, the security will be considered to have received the highest of those ratings, consistent with the fund’s investment policies. Securities in the “unrated” category (above) have not been rated by a rating agency; however, the investment adviser performs its own credit analysis and assigns comparable ratings that are used for compliance with the fund’s investment policies. The ratings are not covered by the Report of Independent Registered Public Accounting Firm.

 

6 Private Client Services Funds
 

Capital Group California Short-Term Municipal Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Bloomberg Barclays California Short Municipal Index is a market value-weighted index that includes only investment-grade tax-exempt bonds that are issued from California and with maturities of one to five years. This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: Bloomberg Index Services Ltd.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group California Short-Term Municipal Fund  –0.07%  0.71%  1.10%

 

Portfolio quality summary* Percent of net assets

 

 

* Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. In assigning a credit rating to a security, the fund looks specifically to the ratings assigned to the issuer of the security by Standard & Poor’s, Moody’s and/or Fitch. If agency ratings differ, the security will be considered to have received the highest of those ratings, consistent with the fund’s investment policies. Securities in the “unrated” category (above) have not been rated by a rating agency; however, the investment adviser performs its own credit analysis and assigns comparable ratings that are used for compliance with the fund’s investment policies. The ratings are not covered by the Report of Independent Registered Public Accounting Firm.

 

Private Client Services Funds 7
 

Capital Group Core Bond Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 The Bloomberg Barclays Intermediate A+ U.S. Government/Credit Index is a market value-weighted index that tracks the total return of fixed-rate, publicly placed, dollar denominated obligations issued by the U.S. Treasury, U.S. government agencies and quasi-federal corporations, corporate or foreign debt guaranteed by the U.S. government, and U.S. corporate and foreign debentures and secured notes that meet specified maturity, liquidity and quality requirements, with maturities of one to 10 years, excluding BBB-rated securities. This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: Bloomberg Index Services Ltd.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group Core Bond Fund  –1.14%  1.09%  1.97%

 

Portfolio quality summary* Percent of net assets

 

 

* Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. In assigning a credit rating to a security, the fund looks specifically to the ratings assigned to the issuer of the security by Standard & Poor’s, Moody’s and/or Fitch. If agency ratings differ, the security will be considered to have received the highest of those ratings, consistent with the fund’s investment policies. Securities in the “unrated” category (above) have not been rated by a rating agency; however, the investment adviser performs its own credit analysis and assigns comparable ratings that are used for compliance with the fund’s investment policies. The ratings are not covered by the Report of Independent Registered Public Accounting Firm.
These securities are guaranteed by the full faith and credit of the U.S. government.

 

8 Private Client Services Funds
 

Capital Group Global Equity Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 MSCI World Index is a free float-adjusted market capitalization-weighted index that is designed to measure equity market results of developed markets. The index consists of more than 20 developed market country indexes, including the United States. Results reflect dividends net of withholding taxes. This index is unmanaged, and its results include reinvested dividends and/ or distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: MSCI.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group Global Equity Fund   0.25%  6.68%  7.63%

 

Industry sector diversification Percent of net assets

 

 

Private Client Services Funds 9
 

Capital Group Global Equity Fund October 31, 2018

 

Country diversification by domicile  Percent of
net assets
United States   50.34%
France   9.53 
Japan   5.97 
United Kingdom   5.71 
Hong Kong   3.54 
Taiwan   2.10 
Denmark   2.00 
Canada   1.64 
Switzerland   1.64 
Netherlands   1.56 
Sweden   1.14 
Other countries   4.96 
Short-term securities & other assets less liabilities   9.87 

 

10 Private Client Services Funds
 

Capital Group International Equity Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Includes reinvested dividends and capital gain distributions.
2 MSCI EAFE (Europe, Australasia, Far East) Index is a free float-adjusted market capitalization-weighted index that is designed to measure developed equity market results, excluding the United States and Canada. Results reflect dividends net of withholding taxes. This index is unmanaged, and its results include reinvested dividends and/or distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: MSCI.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group International Equity Fund   –6.09%  2.81%  4.15%

 

Industry sector diversification Percent of net assets

 

 

Private Client Services Funds 11
 

Capital Group International Equity Fund October 31, 2018

 

Country diversification by domicile  Percent of
net assets
France   17.12%
Japan   14.02 
United Kingdom   13.54 
Denmark   5.24 
Hong Kong   4.43 
Switzerland   3.72 
Germany   2.83 
Sweden   2.24 
Netherlands   2.05 
United States   2.02 
Taiwan   1.84 
Finland   1.25 
Other countries   6.08 
Short-term securities & other assets less liabilities   23.62 

 

12 Private Client Services Funds
 

Capital Group U.S. Equity Fund October 31, 2018

 

How a $25,000 investment has grown

 

 

1 Standard & Poor’s 500 Composite Index is a market capitalization-weighted index based on the results of approximately 500 widely held common stocks. This index is unmanaged, and its results include reinvested dividends and/or distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.S. federal income taxes. Investors cannot invest directly in an index. Source: S&P Dow Jones Indices LLC.
2 Includes reinvested dividends and capital gain distributions.

 

Results are for past periods and are not predictive of results for future periods. Current and future results may be lower or higher than those shown. Share price and returns will vary so investors may lose money. The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $25,000 investment

For periods ended October 31, 2018

 

   1 year  5 years  Lifetime
          
Capital Group U.S. Equity Fund  5.30%  9.60%  10.05%

 

Industry sector diversification Percent of net assets

 

 

Private Client Services Funds 13
 

Capital Group Core Municipal Fund

Investment portfolio October 31, 2018

 

Bonds, notes & other debt instruments 91.09%  Principal amount
(000)
   Value
(000)
 
Alabama 1.39%          
21st Century Auth., Tobacco Settlement Rev. Ref. Bonds, Series 2012-A, 5.00% 2021  $2,230   $2,367 
Black Belt Energy Gas Dist., Gas Supply Rev. Bonds, Series 2017-A, 4.00% 2047 (put 2022)   2,050    2,129 
Federal Aid Highway Fin. Auth., Federal Highway Grant Anticipation Bonds, Series 2012, 5.00% 2023 (preref. 2022)   100    110 
City of Huntsville, Electric Rev. Bonds, Series 2017-A, 5.00% 2021   250    271 
City of Huntsville, Electric Rev. Bonds, Series 2017-A, 5.00% 2022   450    497 
City of Huntsville, Electric Rev. Bonds, Series 2017-B, 5.00% 2021   225    243 
City of Huntsville, Electric Rev. Bonds, Series 2017-B, 5.00% 2022   400    442 
County of Jefferson, Limited Obligation Rev. Ref. Bonds, Series 2017, 5.00% 2020   500    525 
         6,584 
 
Alaska 0.07%          
Housing Fin. Corp., General Mortgage Rev. Bonds, Series 2016-A, 3.50% 2046   270    275 
Housing Fin. Corp., Home Mortgage Rev. Ref. Bonds, Series 2012-A, 4.00% 2040   55    55 
         330 
 
Arizona 1.21%          
Agricultural Improvement and Power Dist., Electric System Rev. Bonds (Salt River Project), Series 2009-A, 5.00% 2020 (preref. 2019)   5    5 
Board of Regents of the Arizona State University System, Rev. Bonds, Series 2017-A, 5.00% 2024   400    454 
Board of Regents of the Arizona State University System, Rev. Ref. Bonds, Series 2017-B, 5.00% 2024   400    454 
Health Facs. Auth., Rev. Ref. Bonds (Phoenix Children’s Hospital), Series 2013-A-1, (SIFMA Municipal Swap Index + 1.85%) 3.45% 2048 (put 2020)1   3,100    3,131 
County of Maricopa, Industrial Dev. Auth., Education Rev. Bonds (GreatHearts Arizona Projects), Series 2017-A, 5.00% 2027   745    849 
City of Phoenix, Industrial Dev. Auth., Lease Rev. Bonds (Rowan University Project), Series 2012, 5.00% 2022   800    835 
         5,728 
 
Arkansas 0.13%          
Dev. Fin. Auth., Health Care Rev. Bonds (Baptist Memorial Health Care), Series 2015-B-3, (SIFMA Municipal Swap Index + 1.55%) 3.15% 2044 (put 2022)1   600    612 
 
California 2.28%          
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2006-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2045 (put 2023)1   2,200    2,248 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2007-E-3, (SIFMA Municipal Swap Index + 0.70%) 2.30% 2047 (put 2019)1   1,150    1,153 
City of Cathedral City, Successor Agcy. to the Redev. Agcy., Tax Allocation Housing Rev. Ref. Bonds (Merged Redev. Project Area), Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2025   620    695 
Econ. Recovery Rev. Ref. Bonds, Series 2009-A, 5.25% 2021 (preref. 2019)   65    67 
Econ. Recovery Rev. Ref. Bonds, Series 2009-A, 5.25% 2021 (preref. 2019)   35    36 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2026   1,125    1,314 
Health Facs. Fncg. Auth., Insured Rev. Ref. Bonds (Marshall Medical Center), Series 2015, 5.00% 2028   315    357 
Infrastructure and Econ. Dev. Bank, Rev. Bonds (The Colburn School), Series 2015-B, (SIFMA Municipal Swap Index + 1.20%) 2.80% 2037 (put 2022)1   1,000    1,024 
City of Irvine, Reassessment Dist. No. 13-1, Limited Obligation Improvement Bonds, Series 2013, 3.125% 2021   65    67 
Irvine Unified School Dist., Community Facs. Dist. No. 09-1, Special Tax Bonds, Series 2017-A, BAM insured, 5.00% 2025   250    279 
City of Los Angeles, Multi Family Housing Rev. Bonds (Jordan Downs Phase 1B Apartments), Series 2018-A-2, 2.08% 2022 (put 2021)   150    149 
   
14 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Murrieta Valley Unified School Dist., Public Fncg. Auth., Special Tax Rev. Bonds, Series 2016-A, 5.00% 2022  $1,250   $1,369 
RNR School Fncg. Auth., Community Facs. Dist. No. 92-1, Special Tax Bonds, Series 2017-A, BAM insured, 5.00% 2028   1,000    1,145 
Statewide Communities Dev. Auth., Insured Rev. Bonds (Viamonte Senior Living 1 Project), Series 2018-B, 3.00% 2025   200    202 
Statewide Communities Dev. Auth., Insured Rev. Bonds (Viamonte Senior Living 1 Project), Series 2018-B, 3.00% 2026   500    503 
Statewide Communities Dev. Auth., Rev. Bonds (American Baptist Homes of the West), Series 2013-A, 5.00% 2023   200    216 
         10,824 
 
Colorado 2.35%          
City of Colorado Springs, Utilities System Rev. Ref. Bonds, Series 2018-A-1, 5.00% 2025   1,000    1,158 
City and County of Denver, Airport System Rev. Ref. Bonds, Series 2009-A, 5.25% 2028   200    206 
E-470 Public Highway Auth., Rev. Bonds, Series 2017-A, (1-month USD-LIBOR x 0.67 + 0.90%) 2.442% 2039 (put 2019)1   200    200 
E-470 Public Highway Auth., Rev. Bonds, Series 2017-B, (1-month USD-LIBOR x 0.67 + 1.05%) 2.578% 2039 (put 2021)1   200    202 
Educational and Cultural Facs. Auth., Rev. Ref. Bonds (Johnson & Wales Univ. Project), Series 2013-B, 5.00% 2023   1,590    1,745 
Health Facs. Auth., Health Facs. Rev. and Rev. Ref. Bonds (Evangelical Lutheran Good Samaritan Society Project), Series 2015-A, 5.00% 2024   1,825    2,009 
Health Facs. Auth., Health Facs. Rev. and Rev. Ref. Bonds (Evangelical Lutheran Good Samaritan Society Project), Series 2017, 5.00% 2019   500    507 
Health Facs. Auth., Hospital Rev. Bonds (Adventist Health System/Sunbelt Obligated Group), Series 2016-C, 5.00% 2036 (put 2023)   1,570    1,745 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2018-C, Class I, 4.25% 2048   800    844 
City of Loveland, Centerra Metropolitan Dist. No. 1, Rev. Ref. Bonds, Series 2017, 2.70% 2019   492    493 
City of Loveland, Centerra Metropolitan Dist. No. 1, Rev. Ref. Bonds, Series 2017, 5.00% 20202   1,250    1,306 
Mountain Shadows Metropolitan Dist., Limited Tax G.O. Ref. and Improvement Bonds, Series 2016, 4.00% 2026   735    733 
         11,148 
 
Connecticut 1.89%          
Health and Educational Facs. Auth., Rev. Bonds (Yale University Issue), Series 1999-U-1, 1.00% 2033 (put 2019)   750    748 
Health and Educational Facs. Auth., Rev. Bonds (Yale University Issue), Series 2017-C-2, 5.00% 2057 (put 2023)   1,500    1,659 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2014-C-1, 4.00% 2044   220    226 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2016-A-1, 4.00% 2045   680    702 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2017-A-1, 4.00% 2047   3,555    3,689 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2017-C-1, 4.00% 2047   1,365    1,417 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2017-D, 4.00% 2047   285    296 
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2015-A, 3.50% 2044   230    234 
         8,971 
 
District of Columbia 0.27%          
G.O. Bonds, Series 2018-B, 5.00% 2026   500    581 
Washington Convention and Sports Auth., Dedicated Tax Rev. Ref. Bonds, Series 2018-A, 5.00% 2027   600    696 
         1,277 
   
Private Client Services Funds 15
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Florida 6.11%          
County of Brevard, Health Facs. Auth., Rev. Ref. Bonds (Health First, Inc. Project),          
Series 2014, 5.00% 2021  $500   $529 
County of Brevard, Health Facs. Auth., Rev. Ref. Bonds (Health First, Inc. Project), Series 2014, 5.00% 2022   500    539 
City of Cape Coral, Utility Improvement Rev. Ref. Assessment Bonds (Various Areas), Series 2017, Assured Guaranty Municipal insured, 1.90% 2020   960    943 
Citizens Property Insurance Corp., Personal Lines Account/Commercial Lines Account  Senior Secured Bonds, Series 2012-A-1, 5.00% 2019   1,500    1,525 
City of Clearwater, Water and Sewer Rev. Ref. Bonds, Series 2009-B, 5.00% 2018   100    100 
Connerton West Community Dev. Dist., Improvement Rev. Ref. Bonds, Series 2018-A-1, Assured Guaranty Municipal insured, 3.00% 2026   345    337 
Connerton West Community Dev. Dist., Improvement Rev. Ref. Bonds, Series 2018-A-1, Assured Guaranty Municipal insured, 3.20% 2027   355    348 
Connerton West Community Dev. Dist., Improvement Rev. Ref. Bonds, Series 2018-A-1, Assured Guaranty Municipal insured, 3.25% 2028   370    361 
Board of Education, Public Education Capital Outlay Rev. Ref. Bonds, Series 2017-C, 5.00% 2027   1,000    1,173 
Higher Educational Facs. Fncg. Auth., Educational Facs. Rev. Ref. Bonds (Nova Southeastern University Project), Series 2012-A, 5.00% 2022   1,000    1,074 
Higher Educational Facs. Fncg. Auth., Educational Facs. Rev. Ref. Bonds (Nova Southeastern University Project), Series 2016, 5.00% 2026   655    737 
Housing Fin. Corp., Multi Familiy Housing Rev. Bonds (Logan Heights Apartments), Series 2018-F, 1.90% 2020   2,000    1,983 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds (Special Program), Series 2010-A, 5.00% 2028   90    91 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds (Special Program), Series 2010-B, 4.50% 2029   150    152 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds (Special Program), Series 2011-B, 4.50% 2029   125    127 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds, Series 2017-1, 4.00% 2048   1,470    1,531 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds, Series 2018-1, 4.00% 2049   1,375    1,435 
City of Jacksonville, Better Jacksonville Sales Tax Rev. Ref. Bonds, Series 2011, 5.00% 2019   1,000    1,026 
JEA Electric System Rev. Bonds, Series Three 2014-A, 5.00% 2022   600    647 
JEA, Water and Sewer System Rev. Bonds, Series 2017-A, 5.00% 2023   750    828 
County of Martin, Health Facs. Auth., Hospital Rev. Bonds (Martin Memorial Medical Center), Series 2012, 3.50% 2019   100    101 
City of Miami Beach, Health Facs. Auth., Hospital Rev. and Rev. Ref. Bonds (Mount Sinai Medical Center of Florida), Series 2014, 5.00% 2027   145    157 
Mid-Bay Bridge Auth., Rev. Ref. Bonds, Series 2015-C, Assured Guaranty Municipal insured, 5.00% 2021   575    615 
Orlando Utilities Commission, Utility System Rev. Bonds, Series 2009-B, 5.00% 2023   225    228 
County of Palm Beach, Health Facs. Auth., Rev. Bonds (Lifespace Communities, Inc.), Series 2015-C, 5.00% 2027   300    316 
City of Pompano Beach, Rev. Bonds (John Knox Village Project), Series 2015, 5.00% 2023   620    677 
South Florida Water Management Dist., Certs. of Part., Series 2015, 5.00% 2025   1,500    1,713 
City of South Miami, Health Facs. Auth., Hospital Rev. Ref. Bonds (Baptist Health South Florida Obligated Group), Series 2017, 5.00% 2021   500    536 
City of South Miami, Health Facs. Auth., Hospital Rev. Ref. Bonds (Baptist Health South Florida Obligated Group), Series 2017, 5.00% 2024   500    562 
Southeast Overtown/Park West Community Redev. Agcy., Tax Increment Rev. Bonds, Series 2014-A-1, 5.00% 20192   1,000    1,010 
Southeast Overtown/Park West Community Redev. Agcy., Tax Increment Rev. Bonds, Series 2014-A-1, 5.00% 20212   785    830 
Tolomato Community Dev. Dist., Rev. Ref. Bonds, Series 2018-A-1, Assured Guaranty Municipal insured, 2.625% 2024   1,075    1,050 
Dept. of Transportation, Bridge Construction Bonds, Series 2018-B, 5.00% 2025   2,000    2,304 
Village Community Dev. Dist. No. 6, Rev. Ref. Bonds, Series 2017, 4.00% 2020   350    359 
County of Volusia, Educational Facs. Auth., Educational Facs. Rev. Ref. Bonds (Embry-Riddle Aeronautical University, Inc. Project), Series 2015-B, 5.00% 2028   1,000    1,115 
   
16 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Water Pollution Control Fncg. Corp., Water Pollution Control Rev. Bonds, Series 2008-A, 5.00% 2020  $186   $187 
Water Pollution Control Fncg. Corp., Water Pollution Control Rev. Bonds, Series 2008-A, 5.00% 2022   400    403 
Water Pollution Control Fncg. Corp., Water Pollution Control Rev. Bonds, Series 2008-A, 5.00% 2023   300    302 
City of Winter Garden, Winter Garden Village at Fowler Groves Community Dev. Dist., Special Assessment Rev. Ref. Bonds, Series 2016, 3.00% 2024   1,010    993 
         28,944 
 
Georgia 1.29%          
County of DeKalb, Hospital Auth., Rev. Ref. Anticipation Certificates (DeKalb Medical Center, Inc. Project), Series 2009, 5.00% 2024   200    206 
Municipal Electric Auth., Project One Bonds, Series 2009-B, 5.00% 2020   755    778 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2014-A-1, 4.00% 2044   885    908 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2015-A-1, 3.50% 2045   720    733 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2015-B-1, 3.50% 2045   330    336 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2017-A, 4.00% 2047   795    826 
Municipal Electric Auth., Project One Bonds, Series 2016-A, 4.00% 2021   1,000    1,030 
Private Colleges and Universities Auth., Rev. Bonds (The Savannah College of Art and Design Projects), Series 2014, 5.00% 2020   1,250    1,297 
         6,114 
 
Guam 0.36%          
A.B. Won Pat International Airport Auth., General Rev. Bonds, Series 2013-B, 5.00% 2023   1,200    1,260 
Waterworks Auth., Water and Wastewater System Rev. Ref. Bonds, Series 2014-A, 5.00% 2019   440    446 
         1,706 
 
Hawaii 0.23%          
G.O. Bonds, Series 2011-DZ, 5.00% 2019 (escrowed to maturity)   645    665 
Dept. of Transportation, Airports Division, Lease Rev. Certs. of Part., Series 2010-A, 5.00% 2022   400    418 
         1,083 
 
Idaho 0.23%          
Housing and Fin. Assn., Grant and Rev. Anticipation Bonds (Federal Highway Trust Fund), Series 2015-A, 5.00% 2022   1,000    1,092 
 
Illinois 10.85%          
Build Illinois Bonds, Sales Tax Rev. Bonds, Series 2013, 5.00% 2020   3,325    3,447 
Build Illinois Bonds, Sales Tax Rev. Ref. Bonds, Series 2010, 5.00% 2019   250    254 
Build Illinois Bonds, Sales Tax Rev. Ref. Bonds, Series 2016-C, 4.00% 2026   1,000    1,039 
Build Illinois Bonds, Sales Tax Rev. Ref. Bonds, Series 2016-D, 4.00% 2021   250    258 
County of Champaign, Community Unit School Dist. No. 4, G.O. School Building Bonds, Series 2017, 5.00% 2021   1,000    1,054 
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.),          
Assured Guaranty Municipal insured, Series 2018-A, 5.00% 2023   1,100    1,192 
City of Chicago, Chicago Midway Airport, Rev. Ref. Bonds, Series 2013-B, 5.00% 2021   500    527 
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2017-D, 5.00% 2026   1,135    1,287 
City of Chicago, Wastewater Transmission Rev. Bonds, Series 2012, 5.00% 2020   650    669 
City of Chicago, Wastewater Transmission Rev. Bonds, Series 2012, Assured Guaranty Municipal insured, 4.00% 2021   1,000    1,029 
City of Chicago, Wastewater Transmission Rev. Bonds, Series 2012, Assured Guaranty Municipal insured, 5.00% 2023   500    532 
City of Chicago, Wastewater Transmission Rev. Bonds, Series 2014, 5.00% 2020    515    530 
City of Chicago, Wastewater Transmission Rev. Ref. Bonds, Series 2017-B, 5.00% 2022   250    267 
   
Private Client Services Funds 17
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Illinois (continued)        
City of Chicago, Water Rev. Ref. Bonds, Series 2004, 5.00% 2019  $950   $975 
City of Chicago, Water Rev. Ref. Bonds, Series 2004, 5.00% 2021   1,895    2,020 
Counties of Cook, DuPage, Kane, Lake, McHenry and Will, Regional Transportation Auth., G.O. Rev. Ref. Bonds, Series 1997, FGIC-National insured, 6.00% 2020   2,000    2,074 
County of Cook, Community College Dist. No. 508 (City Colleges of Chicago), Unlimited Tax G.O. Bonds, Series 2013, 5.00% 2023   200    214 
Counties of Cook, DuPage, Kane, Lake, McHenry and Will, Regional Transportation Auth., G.O. Bonds, Series 2000, MBIA insured, 6.25% 2021   1,000    1,098 
Educational Facs. Auth., Rev. Bonds (University of Chicago), Series 1998-B, 1.65% 2025 (put 2019)   2,000    1,998 
Fin. Auth., Rev. Bonds (Art Institute of Chicago), Series 2016, 5.00% 2025   125    140 
Fin. Auth., Rev. Bonds (Art Institute of Chicago), Series 2016, 5.00% 2026   120    136 
Fin. Auth., Rev. Bonds (Clean Water Initiative Revolving Fund), Series 2016, 4.00% 2025   1,310    1,414 
Fin. Auth., Rev. Bonds (Clean Water Initiative Revolving Fund), Series 2016, 4.00% 2026   1,000    1,081 
Fin. Auth., Rev. Bonds (Clean Water Initiative Revolving Fund), Series 2016, 5.00% 2021   150    159 
Fin. Auth., Rev. Bonds (Clean Water Initiative Revolving Fund), Series 2017, 5.00% 2020   700    733 
Fin. Auth., Rev. Bonds (Lifespace Communities), Series 2015-A, 5.00% 2027   590    631 
Fin. Auth., Rev. Bonds (Northwestern Memorial Healthcare), Series 2017-B, 5.00% 2057 (put 2022)   275    302 
Fin. Auth., Rev. Bonds (OSF Healthcare System), Series 2015-A, 5.00% 2027   250    279 
Fin. Auth., Rev. Bonds (Presbyterian Homes Obligated Group), Series 2016-A, 5.00% 2024   310    339 
Fin. Auth., Rev. Bonds (Presence Health Network Obligated Group), Series 2016-C, 5.00% 2026   600    687 
Fin. Auth., Rev. Bonds (Rush University Medical Center Obligated Group), Series 2015-A, 5.00% 2021   500    537 
Fin. Auth., Rev. Ref. Bonds (Advocate Health Care Network), Series 2008-A-1, 5.00% 2030 (put 2020)   1,500    1,549 
Fin. Auth., Rev. Ref. Bonds (Advocate Health Care Network), Series 2008-A-3, 5.00% 2030 (put 2019)   1,000    1,014 
G.O. Bonds, Series 2012, 5.00% 2019   285    287 
G.O. Bonds, Series 2017-B, 5.00% 2019   1,000    1,022 
G.O. Bonds, Series 2017-D, BMA insured, 5.00% 2020   4,105    4,251 
G.O. Rev. Ref. Bonds, Series 2012, 5.00% 2020   325    335 
G.O. Rev. Ref. Bonds, Series 2016, 5.00% 2026   1,000    1,040 
G.O. Rev. Ref. Bonds, Series 2012, 5.00% 2021   970    1,004 
Housing Dev. Auth., Multi Family Housing Rev. Notes (Marshall Field Garden Apartment Homes), Series 2015, (SIFMA Municipal Swap Index + 1.00%) 2.60% 2050 (put 2025)1   2,000    1,983 
Board of Trustees of the Illinois State University, Auxiliary Facs. System Rev. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2022   1,465    1,555 
Municipal Electric Agcy., Power Supply System Rev. Ref. Bonds, Series 2015-A, 5.00% 2027   1,000    1,122 
Railsplitter Tobacco Settlement Auth., Tobacco Settlement Rev. Bonds, Series 2017, 5.00% 2023   500    548 
Regional Transportation Auth., G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2028   2,000    2,272 
Sales Tax Securitization Corp., Sales Tax Rev. Ref. Bonds, Series 2017-A, 5.00% 2023   2,000    2,179 
Sales Tax Securitization Corp., Sales Tax Rev. Ref. Bonds, Series 2017-A, 5.00% 2024   1,000    1,101 
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2015-A, 5.00% 2027   1,250    1,410 
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2015-A, 5.00% 2028   1,110    1,248 
Board of Trustees of the University of Illinois, Auxiliary Facs. System Rev. Ref. Bonds, Series 2005-A, National insured, 5.50% 2023   500    560 
Board of Trustees of the University of Illinois, Rev. Ref. Certs. of Part., Series 2008-A, Assured Guaranty Municipal insured, 5.25% 2024   30    30 
         51,412 
   
18 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Indiana 0.70%        
Fin. Auth., Hospital Rev. Ref. Bonds (Beacon Health Obligated Group), Series 2013-A, 4.00% 2019  $500   $507 
Fin. Auth., Econ. Dev. Rev. Ref. Bonds (Republic Services, Inc. Project), Series 2010-B, 1.85% 2028 (put 2018)   2,000    2,000 
Fin. Auth., Hospital Rev. Bonds (Parkview Health), Series 2009, 5.50% 2024   20    20 
Fin. Auth., Hospital Rev. Bonds (Parkview Health), Series 2009, 5.50% 2024 (preref. 2019)   80    81 
City of Whiting, Environmental Facs. Rev. Bonds (BP Products North America Inc. Project), Series 2008, 1.85% 2044 (put 2019)   700    697 
         3,305 
 
Iowa 0.45%          
Fin. Auth., Single Family Mortgage Bonds, Series 2017-A, 4.00% 2047   2,070    2,148 
 
Kentucky 0.23%          
Housing Corp., Housing Rev. Bonds, Series 2010-B, 5.00% 2027   60    60 
Property and Buildings Commission, Rev. Ref. Bonds (Project No. 119), Series 2018, 5.00% 2020   1,000    1,039 
         1,099 
 
Louisiana 1.58%          
Citizens Property Insurance Corp., Assessment Rev. Ref. Bonds, Assured Guaranty          
Municipal insured, Series 2015, 5.00% 2021   775    828 
Louisiana Stadium and Exposition Dist., Rev. Ref. Bonds, Series 2013-A, 5.00% 2022   1,500    1,633 
New Orleans Aviation Board, Gulf Opportunity Zone CFC Rev. Bonds (Consolidated Rental Car Project), Series 2009-A, 6.25% 2030   1,000    1,007 
Parish of St. Charles, Gulf Opportunity Zone Rev. Bonds (Valero Project), Series 2010, 4.00% 2040 (put 2022)   2,000    2,085 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2013-A, 5.50% 2028   930    931 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2013-A, 5.50% 2029   1,000    1,016 
         7,500 
 
Maine 0.27%          
Housing Auth., Mortgage Purchase Bonds, Series 2017-A, 4.00% 2047   660    685 
Dept. of Transportation, Grant Anticipation Bonds, Series 2018-A, 5.00% 2026   500    578 
         1,263 
 
Maryland 1.75%          
County of Baltimore, Consolidated Public Improvement Bonds, Series 2018, 4.00% 2019   2,000    2,016 
Community Dev. Administration, Dept. of Housing and Community Dev., Residential Rev. Bonds, Series 2014-C, 4.00% 2044   645    666 
Community Dev. Administration, Dept. of Housing and Community Dev., Residential Rev. Bonds, Series 2018-A, 4.50% 2048   220    234 
G.O. Rev. Ref. Bonds, State and Local Facs. Loan of 2017, Second Series B, 5.00% 2026   2,000    2,335 
County of Montgomery, Housing Opportunities Commission, Single Family Housing Rev. Bonds, Series 2017-A, 4.00% 2048   940    975 
County of Montgomery, Housing Opportunities Commission, Single Family Housing Rev. Bonds, Series 2018-A, 4.00% 2049   2,000    2,083 
         8,309 
   
Private Client Services Funds 19
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Massachusetts 0.92%        
Dev. Fin. Agcy., Rev. Bonds (Partners HealthCare System Issue), Series 2017-S, 5.00% 2024  $1,000   $1,129 
Dev. Fin. Agcy., Rev. Ref. Bonds (Suffolk University Issue), Series 2017, 5.00% 2021   750    794 
Dev. Fin. Agcy., Rev. Ref. Bonds (Suffolk University Issue), Series 2017, 5.00% 2022   875    941 
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 169, 4.00% 2044   620    635 
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 172, 4.00% 2045   845    869 
         4,368 
 
Michigan 3.69%          
Detroit School Dist., Unlimited Tax G.O. School Building and Site Improvement Rev. Ref. Bonds, Series 2012-A, 5.00% 2019   1,400    1,419 
Fin. Auth., Local Government Loan Program Rev. Bonds (Detroit Water and Sewerage Dept., Sewage Disposal System Rev. and Rev. Ref. Local Project Bonds), Series 2014-C-3, Assured Guaranty Municipal insured, 5.00% 2024   1,000    1,125 
Fin. Auth., Local Government Loan Program Rev. Bonds (Detroit Water and Sewerage Dept., Sewage Disposal System Rev. and Rev. Ref. Local Project Bonds), Series 2014-C-5, National insured, 5.00% 2020   750    782 
Fin. Auth., Local Government Loan Program Rev. Bonds (Detroit Water and Sewerage Dept., Sewage Disposal System Rev. Ref. Local Project Bonds), Series 2015-C, 5.00% 2027   250    277 
Hospital Fin. Auth., Hospital Rev. Ref. Bonds (Henry Ford Health System), Series 2016, 5.00% 2026   1,500    1,708 
Hospital Fin. Auth., Hospital Rev. Ref. Bonds (Trinity Health Credit Group), Series 2008-C, 5.00% 2021   650    701 
Hospital Fin. Auth., Hospital Rev. Ref. Bonds (Trinity Health Credit Group), Series 2008-C, 5.00% 2022   475    522 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2014, 4.00% 2044   1,155    1,187 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2016-B, 3.50% 2047   500    509 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2017-B, 3.50% 2048   415    424 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2018-A, 4.00% 2048   900    938 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2018-C, 4.25% 2049   3,430    3,618 
Strategic Fund, Limited Obligation Rev. Ref. Bonds (Detroit Edison Co. Exempt Facs. Project), Series 1995-CC, 1.45% 2030 (put 2021)   1,000    958 
Strategic Fund, Limited Obligation Rev. Ref. Bonds (Detroit Edison Co. Exempt Facs. Project), Series 2008-KT, 5.625% 2020   1,160    1,219 
County of Wayne, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2018-A, 5.00% 2029   990    1,143 
Wayne County, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2012-A, 5.00% 2022   850    935 
         17,465 
 
Minnesota 1.91%          
City of Coon Rapids, Multi Family Housing Rev. Ref. Bonds (Drake Apartments Project), Series 2018-A, 2.20% 2021 (put 2020)   300    299 
Various Purpose G.O. Bonds, Series 2018-A, 5.00% 2027   990    1,168 
Various Purpose G.O. Ref. Bonds, Series 2017-D, 5.00% 2024   1,500    1,709 
Housing Fin. Agcy., Homeownership Fin. Bonds (Mortgage-Backed Securities Program), Series 2010-A, 4.25% 2028   90    91 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2012-D, 4.00% 2040   175    178 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2014-B, 4.00% 2038   575    592 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2015-B, 3.50% 2046   1,400    1,426 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2017-B, 4.00% 2047   1,090    1,128 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2017-E, 4.00% 2048   480    499 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2018-B, 4.00% 2048   495    517 
   
20 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
City of Maplewood, Multi Family Housing Rev. Ref. Bonds (Maple Pond Apartments Project), Series 2018-A, 2.20% 2021 (Put 2020)3  $600   $599 
City of St. Paul, Housing and Redev. Auth., Multi Family Housing Rev. Bonds (Millberry Apartments Project), Series 2018-A, 2.15% 2021 (put 2020)   250    249 
City of St. Paul, Housing and Redev. Auth., Multi Family Housing Rev. Bonds (Millberry Apartments Project), Series 2018-A, 2.20% 2021 (put 2020)   600    598 
         9,053 
 
Mississippi 0.45%          
Gaming Tax Rev. Ref. Bonds, Series 2015-E, 5.00% 2026   500    562 
Hospital Equipment and Facs. Auth., Rev. Bonds (Baptist Memorial Health Care), Series 2015-A, 5.00% 2021   1,490    1,573 
         2,135 
 
Missouri 1.26%          
Health and Educational Facs. Auth., Health Facs. Rev. Bonds (Saint Luke’s Health System, Inc.), Series 2016, 5.00% 2026   1,435    1,626 
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (First Place Homeownership Loan Program), Series 2016-B, 3.50% 2041   2,675    2,732 
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (First Place Homeownership Loan Program), Series 2017-B, 3.25% 20474   544    531 
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (Special Homeownership Loan Program), Series 2014-A, 4.00% 2041   830    856 
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (Special Homeownership Loan Program), Series 2015-A, 3.75% 2038   195    201 
City of Lee’s Summit, I-470 and 350 Transportation Dev. Dist., Transportation Sales Tax Rev. Ref. and Improvement Bonds, Series 2007, RADIAN insured, 4.60% 2029   15    15 
         5,961 
 
Montana 0.05%          
Board of Housing, Single Family Mortgage Bonds, Series 2016-A-2, 3.50% 2044   220    224 
 
Nebraska 1.81%          
Central Plains Energy Project, Gas Supply Rev. Ref. Bonds, Series 2014, 5.00% 2039 (put 2019)   1,250    1,284 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2013-A, 3.00% 2043   135    136 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2014-A, 4.00% 2044   290    299 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2015-C, 3.50% 2045   825    840 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2016-A, 3.50% 2046   2,235    2,280 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2016-C, 3.50% 2046   290    295 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2018-A, 4.00% 2048   980    1,022 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2018-C, 4.00% 2048   2,310    2,411 
         8,567 
 
Nevada 2.33%          
Clark County School Dist., Limited Tax G.O. Building and Rev. Ref. Bonds, Series 2017-A, 5.00% 2026   620    699 
Clark County School Dist., Limited Tax G.O. Building and Rev. Ref. Bonds, Series 2017-C, 5.00% 2020   600    626 
Clark County School Dist., Limited Tax G.O. Building and Rev. Ref. Bonds, Series 2017-C, 5.00% 2027   750    850 
Clark County School Dist., Limited Tax G.O. Building Bonds, Series 2018-A, 5.00% 2029   1,000    1,133 
Clark County School Dist., Limited Tax G.O. Rev. Ref. Bonds, Series 2016-D, 5.00% 2023   1,000    1,098 
County of Clark, Las Vegas-McCarran International Airport, Passenger Fac. Charge Rev. Ref. Bonds, Series 2015-C, 5.00% 2024   2,705    3,049 
   
Private Client Services Funds 21
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Nevada (continued)        
County of Clark, Limited Tax G.O. Stadium Improvement Bonds, Series 2018-A, 5.00% 2025  $1,000   $1,147 
County of Clark, Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2010, 1.875% 2031 (put 2020)   2,000    1,979 
City of Henderson, Local Improvement Dist. No. T-17 (Madeira Canyon), Limited Obligation Ref. Bonds, Series 2017, 2.00% 2023   490    460 
         11,041 
 
New Hampshire 0.65%          
Health and Education Facs. Auth., Rev. Bonds (Southern New Hampshire University), Series 2017, 5.00% 2020   300    309 
Health and Education Facs. Auth., Rev. Bonds (Southern New Hampshire University), Series 2017, 5.00% 2021   600    633 
Health and Education Facs. Auth., Rev. Bonds (Southern New Hampshire University), Series 2017, 5.00% 2022   320    344 
Health and Education Facs. Auth., Rev. Bonds (University System of New Hampshire Issue), Series 2017-A, 5.00% 2022   500    547 
Health and Education Facs. Auth., Rev. Bonds (University System of New Hampshire Issue), Series 2017-A, 5.00% 2023   600    667 
Health and Education Facs. Auth., Rev. Bonds (Southern New Hampshire University), Series 2012, 4.00% 2022   575    600 
         3,100 
 
New Jersey 2.61%          
Atlantic City, Tax Appeal Rev. Ref. Bonds, Series 2017-A, BAM insured, 5.00% 2020   100    103 
Atlantic City, Tax Appeal Rev. Ref. Bonds, Series 2017-A, BAM insured, 5.00% 2022   200    214 
Econ. Dev. Auth., Cigarette Tax Rev. Ref. Bonds, Series 2012, 5.00% 2019   1,200    1,219 
Econ. Dev. Auth., School Facs. Construction Bonds, Series 2005-K, 5.50% 2019   550    568 
Econ. Dev. Auth., School Facs. Construction Rev. Ref. Bonds, Series 2014-PP, 5.00% 2019   1,000    1,016 
Econ. Dev. Auth., School Facs. Contruction Rev. Bonds, Series 2013-NN, 5.00% 2020   480    495 
Garden State Preservation Trust, Open Space and Farmland Preservation Rev. Ref. Bonds, Series 2012-A, 5.00% 2020   1,000    1,045 
Garden State Preservation Trust, Open Space and Farmland Preservation Rev. Ref. Bonds, Series 2012-A, 5.00% 2021   200    213 
Housing and Mortgage Fin. Agcy., Multi Family Conduit Rev. Bonds (Georgia King Village Project), Series 2018-E, 2.45% 2021 (put 2020)   525    525 
Housing and Mortgage Fin. Agcy., Single Family Housing Rev. Bonds, Series 2018-A, 4.50% 2048   515    548 
South Jersey Transportation Auth., Transportation System Rev. Bonds, Series 2012, 5.00% 2020   500    524 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Bonds, Series 2018-A, 5.00% 2021   2,250    2,383 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Bonds, Series 2018-A, 5.00% 2029   700    777 
Transit Corp., Grant Anticipation Notes (Federal Transit Administration Section 5307 Urbanized Area Formula Funds), Series 2014-A, 5.00% 2021   1,000    1,059 
Transportation Trust Fund Auth., Transportation System Bonds, Series 2008-A, 6.00% 2038   1,085    1,090 
Transportation Trust Fund Auth., Transportation System Bonds, Series 2016, 5.00% 2019   585    595 
         12,374 
 
New Mexico 0.67%          
City of Farmington, Pollution Control Rev. Ref. Bonds (Southern California Edison Company Four Corners Project), Series 2005-B, 1.875% 2029 (put 2020)   2,000    1,979 
Mortgage Fin. Auth., Tax-Exempt Single Family Mortgage Program Bonds, Series 2018-B-1, Class I, 4.00% 2049   1,150    1,200 
New Mexico Educational Assistance Foundation, Educational Loan Bonds, Series 2010-1, Class A2, (3-month USD-LIBOR + 0.65%) 2.971% 20281   20    20 
         3,199 
   
22 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
New York 5.06%        
Brooklyn Arena Local Dev. Corp., Pilot Rev. Ref. Bonds (Brooklyn Events Center LLC), Series 2016-A, Assured Guaranty Municipal insured, 5.00% 2022  $210   $228 
Build NYC Resource Corp., Rev. Ref. Bonds (Ethical Culture Fieldston School Project), Series 2015, 5.00% 2024   395    443 
Dormitory Auth., State Sales Tax Rev. Bonds, Series 2018-E, 5.00% 2022   1,000    1,091 
Housing Fin. Agcy., Affordable Housing Rev. Green Bonds, Series 2018-D, 2.35% 2021   2,000    1,990 
Housing Fin. Agcy., Affordable Housing Rev. Green Bonds, Series 2018-H, 2.75% 2022   600    600 
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-C, (1-month USD-LIBOR x 0.70 + 0.75%) 2.329% 2033 (put 2023)1   1,000    1,000 
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-D-2, (SIFMA Municipal Swap Index + 0.45%) 2.05% 2044 (put 2022)1   750    749 
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, (SIFMA Municipal Swap Index + 0.58%) 2.18% 2039 (put 2020)1   2,000    2,003 
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2017-C-2A, 4.00% 2019   2,000    2,022 
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044   2,100    2,146 
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 203, 3.50% 2047   1,785    1,823 
New York City G.O. Bonds, Series 2017-C, 5.00% 2027   2,000    2,319 
New York City G.O. Bonds, Fiscal 2018, Series 2017-C, 5.00% 2025   1,960    2,248 
New York City Housing Dev. Corp., Multi Family Housing Rev. Bonds (Sustainable Neighborhood Bonds), Series 2017-G-2-A, 2.00% 2057 (put 2021)   2,500    2,467 
New York City Housing Dev. Corp., Multi Family Rev. Bonds (8 Spruce Street), Series 2014-E, 3.50% 2048   320    313 
New York City Transitional Fin. Auth., Building Aid Rev. Bonds, Fiscal 2009 Series S-5, 5.00% 2019 (escrowed to maturity)   100    101 
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2019, Series 2018-A-1, 5.00% 2023   1,250    1,396 
Public Housing Capital Fund Rev. Trust I, Trust Certificates, Series 2012, 4.50% 20222,4   300    299 
County of Suffolk, Econ. Dev. Corp., Rev. Ref. Bonds (Peconic Landing at Southold, Inc. Project), Series 2010, 3.125% 2030   225    216 
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2013-A, 5.00% 2019   500    507 
         23,961 
 
North Carolina 0.92%          
Housing Fin. Agcy., Home Ownership Rev. Ref. Bonds, Series 38-B, 4.00% 2047   1,915    1,990 
University of North Carolina at Charlotte, General Rev. Ref. Bonds, Series 2017-A, 5.00% 2023   1,000    1,117 
University of North Carolina at Greensboro, General Rev. Ref. Bonds, Series 2017, 5.00% 2023   1,125    1,250 
         4,357 
 
North Dakota 0.52%          
Housing Fin. Agcy., Homeownership Rev. Bonds (Home Mortgage Fin. Program), Series 2016-D, 3.50% 2046   825    841 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2012-A, 3.75% 2042   205    209 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2015-B, 4.00% 2036   510    525 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2017-D, 4.00% 2048   495    515 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2017-F, 4.00% 2048   345    359 
         2,449 
   
Private Client Services Funds 23
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Ohio 3.10%        
County of Allen, Hospital Facs. Rev. Bonds (Mercy Health), Series 2017-A, 5.00% 2022  $700   $757 
County of Allen, Hospital Facs. Rev. Bonds (Mercy Health), Series 2017-B, 5.00% 2047 (put 2022)   575    625 
County of Allen, Hospital Facs. Rev. Ref. Bonds (Catholic Healthcare Partners), Series 2010-B, 5.00% 2019   2,000    2,046 
County of Allen, Hospital Facs. Rev. Ref. Bonds (Catholic Healthcare Partners), Series 2010-B, 5.00% 2020   1,030    1,076 
City of Cleveland, Airport System Rev. Ref. Bonds, Series 2009-C, Assured Guaranty insured, 5.00% 2027   235    236 
City of Cleveland, Airport System Rev. Ref. Bonds, Series 2012-A, 5.00% 2025   1,000    1,067 
G.O. Bonds, Common Schools Bonds, Series 2018-A, 5.00% 2024   1,000    1,135 
County of Hamilton, Hospital Facs. Rev. Bonds (UC Health), Series 2014, 5.00% 2025   400    443 
Higher Education G.O. Rev. Ref. Bonds, Series 2017-C, 5.00% 2026   2,000    2,330 
Hospital Rev. Ref. Bonds (Cleveland Clinic Health System Obligated Group), Series 2017-A, 5.00% 2024   1,650    1,854 
Housing Fin. Agcy., Residential Mortgage Rev. Bonds (Mortgage-Backed Securities Program), Series 2017-A, 4.50% 2047   1,640    1,729 
G.O. Rev. Ref. Bonds, Common Schools Bonds, Series 2017-B, 5.00% 2027   990    1,166 
County of Warren, Healthcare Facs., Rev. Ref. Bonds (Otterbein Homes Obligated Group), Series 2014, 5.00% 2020   200    208 
         14,672 
 
Oklahoma 0.18%          
Trustees of the Tulsa Airports Improvement Trust, General Airport Rev. Ref. Bonds, Series 2015-D, BAM insured, 5.00% 2020   815    848 
 
Oregon 0.79%          
Facs. Auth., Rev. Bonds (University of Portland Projects), Series 2015-A, 5.00% 2031   600    669 
G.O. Bonds (Veteran’s Welfare Bonds Series 94), Series 2014-H, 4.00% 2044   740    755 
Housing and Community Services Dept., Mortgage Rev. Bonds (Single Family Mortgage Program), Series 2016-A, 4.00% 2047   855    884 
Housing and Community Services Dept., Mortgage Rev. Bonds (Single Family Mortgage Program), Series 2017-A, 4.00% 2047   1,160    1,205 
Housing and Community Services Dept., Mortgage Rev. Bonds (Single Family Mortgage Program), Series 2018-A, 4.50% 2049   200    213 
         3,726 
 
Pennsylvania 3.91%          
County of Allegheny, Airport Auth., Airport Rev. Bonds, Series 2013-A, 5.00% 2022   400    431 
County of Allegheny, Hospital Dev. Auth. Rev. Bonds (Allegheny Health Network Obligated Group Issue), Series 2018-A, 5.00% 2026   385    430 
County of Butler, Hospital Facs. Rev. Bonds (Butler Health System Project), Series 2015-A, 4.00% 2021   325    336 
East Hempfield Township, Industrial Dev. Auth., Rev. and Rev. Ref. Bonds (Willow Valley Communities Project), Series 2016, 5.00% 2023   300    329 
Fncg. Auth., Rev. Bonds (Tobacco Master Settlement Payment), Series 2018, 5.00% 2020   750    779 
Fncg. Auth., Rev. Bonds (Tobacco Master Settlement Payment), Series 2018, 5.00% 2021   375    397 
Higher Educational Facs. Auth., Rev. Ref. Bonds (Drexel University), Series 2017, 5.00% 2021   1,250    1,329 
Housing Fin. Agcy., Single Family Mortgage Rev. Bonds, Series 2017-122, 4.00% 2046   1,795    1,864 
County of Montgomery, Higher Education and Health Auth., Hospital Rev. Bonds (Abington Memorial Hospital Obligated Group), Series 2012-A, 5.00% 2031 (preref. 2022)   325    355 
County of Montgomery, Higher Education and Health Auth., Rev. Bonds, Series 2018-A, 2.32% 2051 (put 2023)1   400    400 
County of Montgomery, Industrial Dev. Auth., Rev. Bonds (Foulkeways at Gwynedd Project), Series 2016, 5.00% 2026   400    440 
   
24 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
County of Montour, Geisinger Auth. Health System Rev. Bonds (Geisinger Health System), Series 2014-B, (1-month USD-LIBOR x 0.67 + 1.07%) 2.607% 2028 (put 2024)1  $1,500   $1,531 
County of Northampton, General Purpose Auth., Hospital Rev. Bonds (St. Luke’s University Health Network Project), Series 2018-B, (1-month USD-LIBOR x 0.70 + 1.04%) 2.619% 2048 (put 2022)1   175    175 
Philadelphia School Dist., G.O. Bonds, Series 2018-A, 5.00% 2020   750    785 
Philadelphia School Dist., Rev. Ref. G.O. Bonds, Series 2016-F, 5.00% 2023   1,500    1,641 
City of Pittsburgh, Urban Redev. Auth., Rev. Bonds (Crawford Square Apartments Project), Series 2018, 2.25% 2020 (put 2020)   660    658 
Scranton School Dist., G.O. Bonds, Series 2017-E, BAM insured, 5.00% 2026   1,000    1,110 
Turnpike Commission, Turnpike Rev. Bonds, Series 2005-A, Assured Guaranty Municipal insured, 5.25% 2025   1,000    1,159 
Turnpike Commission, Turnpike Rev. Bonds, Series 2014-B-1, (SIFMA Municipal Swap Index + 0.98%) 2.58% 20211   950    961 
University of Pittsburgh - Of the Commonwealth System of Higher Education Panthers, Series 2018, (SIFMA Municipal Swap Index + 0.24%) 1.84% 20211   1,000    1,000 
County of York, Industrial Dev. Auth., Pollution Control Rev. Ref. Bonds (Philadelphia Electric Co. Project), Series 1993-A, 2.55% 2036 (put 2020)   2,440    2,425 
         18,535 
 
Puerto Rico 0.66%          
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Higher Education Rev. and Rev. Ref. Bonds (Inter American University of Puerto Rico Project), Series 2012, 5.00% 2019   710    718 
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Hospital Rev. and Rev. Ref. Bonds (Hospital Auxilio Mutuo Obligated Group Project), Series 2011-A, 5.00% 2019   1,340    1,356 
Infrastructure Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2005-C, 5.50% 2020   1,000    1,049 
         3,123 
 
Rhode Island 0.30%          
Commerce Corp., Grant Anticipation Rev. Ref. Bonds (Dept. of Transportation), Series 2016-A, 5.00% 2022   500    545 
Commerce Corp., Grant Anticipation Rev. Ref. Bonds (Dept. of Transportation), Series 2016-A, 5.00% 2023   500    555 
Health and Educational Building Corp., Hospital Fncg. Rev. Ref. Bonds (Lifespan Obligated Group Issue), Series 2016, 5.00% 2023   300    328 
         1,428 
 
South Carolina 1.67%          
Housing Fin. and Dev. Auth., Mortgage Rev. Bonds, Series 2017-A, 4.00% 2047   705    729 
Housing Fin. and Dev. Auth., Mortgage Rev. Bonds, Series 2017-B, 4.00% 2047   175    182 
Housing Fin. and Dev. Auth., Mortgage Rev. Ref. Bonds, Series 2016-A, 4.00% 2036   1,035    1,069 
Jobs-Econ. Dev. Auth., Hospital Rev. Ref. Bonds (Palmetto Health), Series 2013-A, 5.00% 2023 (escrowed to maturity)   2,730    3,044 
County of Lexington, Health Services Dist., Inc., Hospital Rev. Ref. Bonds, Series 2017, 5.00% 2022   600    652 
County of Lexington, Health Services Dist., Inc., Hospital Rev. Ref. Bonds, Series 2017, 5.00% 2024   500    556 
Public Service Auth., Rev. Obligations (Santee Cooper), Series 2012-D, 5.00% 2028   1,000    1,052 
Public Service Auth., Rev. Obligations (Santee Cooper), Series 2014-C, 5.00% 2022   350    379 
Housing Fin. and Dev. Auth., Mortgage Rev. Bonds, Series 2011-1, 4.50% 2030   225    229 
         7,892 
   
Private Client Services Funds 25
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
South Dakota 0.81%        
Housing Dev. Auth., Homeownership Mortgage Bonds, Series 2014-E, 4.00% 2044  $1,430   $1,476 
Housing Dev. Auth., Homeownership Mortgage Bonds, Series 2016-D, 3.50% 2046   435    444 
Housing Dev. Auth., Homeownership Mortgage Bonds, Series 2017-B, 4.00% 2047   1,840    1,914 
         3,834 
 
Tennessee 1.58%          
Housing Dev. Agcy., Homeownership Program Bonds, Series 2012-1-C, 4.50% 2037   315    324 
Housing Dev. Agcy., Homeownership Program Bonds, Series 2012-2-C, 4.00% 2038   350    357 
Housing Dev. Agcy., Housing Fin. Program Bonds, Series 2010-A-1, 5.00% 2027   45    45 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-2-A, 4.00% 2045   675    696 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2015-2-A, 4.00% 2046   1,025    1,059 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2017-1, 4.00% 2042   830    862 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2017-B-2, 4.00% 2042   845    877 
City of Memphis, Electric System Rev. Ref. Bonds, Series 2008, 5.00% 2018   100    100 
Metropolitan Government of Nashville and Davidson County, G.O. Improvement Bonds, Series 2013-A, 5.00% 2026 (preref. 2023)   1,020    1,130 
Metropolitan Government of Nashville and Davidson County, Health and Educational Facs. Board, Collateralized Multi Family Housing Rev. Bonds (Trevecca Towers II Project), Series 2018, 2.00% 2022 (put 2021)   2,075    2,061 
         7,511 
 
Texas 14.27%          
Arlington Higher Education Fin. Corp., Education Rev. and Rev. Ref. Bonds (Uplift Education), Series 2017-A, 5.00% 2023   885    982 
Arlington Higher Education Fin. Corp., Education Rev. and Rev. Ref. Bonds (Uplift Education), Series 2017-A, 5.00% 2024   400    449 
Arlington Higher Education Fin. Corp., Education Rev. Bonds (Uplift Education), Series 2017-B, 5.00% 2026   450    515 
Arlington Higher Education Fin. Corp., Education Rev. Bonds (Uplift Education), Series 2017-B, 5.00% 2027   250    288 
City of Arlington, Permanent Improvement Rev. Ref. Bonds, Series 2018, 5.00% 2024   1,535    1,740 
Austin Convention Enterprises, Convention Center Hotel Rev. Ref. Bonds, Series 2017-A, 5.00% 2019   350    351 
Austin Convention Enterprises, Convention Center Hotel Rev. Ref. Bonds, Series 2017-A, 5.00% 2020   850    877 
City of Austin, Water and Wastewater System Rev. Ref. Bonds (Travis, Williamson and Hays Counties), Series 2015-A, 5.00% 2022   900    992 
Beaumont Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2017, 5.00% 2026   1,500    1,732 
County of Bexar, Combination Tax and Rev. Certificates of Obligation, Series 2013-B, 5.00% 2025   500    558 
Clear Creek Independent School Dist., Unlimited Tax School Building Bonds, Series 2018, 5.00% 2028   1,100    1,274 
Clifton Higher Education Fin. Corp., Education Rev. and Ref. Bonds (Idea Public Schools), Series 2017, 5.00% 2027   650    747 
Clifton Higher Education Fin. Corp., Education Rev. Bonds (Idea Public Schools), Series 2018, 5.00% 2025   500    565 
Comal Independent School Dist., Unlimited Tax School Building Bonds, Series 2017, 5.00% 2026   1,000    1,154 
Port of Corpus Christi, Senior Lien Rev. Bonds, Series 2018-A, 5.00% 2027   490    570 
Cypress-Fairbanks Independent School Dist., Unlimited Tax School Building Bonds, Series 2017-A-3, 3.00% 2043 (put 2020)   1,000    1,012 
City of Dallas, Waterworks and Sewer System Rev. Ref. Bonds, Series 2016-A, 5.00% 2028   955    1,096 
City of Denton, Utility System Rev. Bonds, Series 2017, 5.00% 2028   2,000    2,290 
Denton Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2015, 5.00% 2026   1,000    1,132 
Dickinson Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2013, 1.35% 2037 (put 2017)   500    497 
   
26 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Fort Bend Independent School Dist., Unlimited Tax School Building Bonds, Series 2017-E, 5.00% 2025  $1,230   $1,406 
Frisco Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2016, 5.00% 2026   500    575 
County of Harris, Cultural Education Facs. Fin. Corp., Thermal Utility Rev. Bonds (Teco Project), Series 2009-A, 5.00% 2023 (preref. 2019)   125    129 
County of Harris, Cultural Education Facs. Fin. Corp., Thermal Utility Rev. Bonds (Teco Project), Series 2010, 5.00% 2018   275    275 
County of Harris, Health Facs. Dev. Corp., Hospital Rev. Ref. Bonds (Memorial Hermann Healthcare System), Series 2013-B, (SIFMA Municipal Swap Index + 0.90%) 2.50% 20221   250    254 
County of Harris, Health Facs. Dev. Corp., Rev. Ref. Bonds (CHRISTUS Health), Series 2005-A-4, Assured Guaranty Municipal insured, 1.99% 20311   150    150 
County of Harris, Sports Auth., Rev. Ref. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2019   400    412 
Harris County, Toll Road Rev. Ref. Bonds, Series 2012-B, (SIFMA Municipa Swap index + 0.45%) 2.05% 20211   2,850    2,850 
Dept. of Housing and Community Affairs, Multi Family Housing Rev. Bonds (Springs Apartments), Series 2018, 2.23% 2021 (put 2020)3   1,500    1,496 
City of Houston, Airport System Rev. and Rev. Ref. Bonds, Series 2018-B, 5.00% 2025   1,500    1,712 
City of Houston, Airport System Rev. and Rev. Ref. Bonds, Series 2018-B, 5.00% 2028   1,000    1,164 
City of Houston, Combined Utility System, Rev. and Rev. Ref. Bonds, Series 2016-B, 5.00% 2027   500    576 
City of Houston, Higher Education Fin. Corp., Higher Education Rev. bonds (Rice University Project), Series 2010-A, 5.00% 2040 (preref. 2020)   1,410    1,470 
City of Houston, Public Improvement Rev. Ref. Bonds, Series 2017-A, 5.00% 2022   250    272 
Houston Independent School Dist., Limited Tax Schoolhouse Bonds, Series 2014-A-1B, 2.20% 2039 (put 2020)3   1,870    1,868 
Houston Independent School Dist., Limited Tax Schoolhouse Bonds, Series 2017, 3.00% 2021   1,300    1,323 
Katy Independent School Dist., Rev. Ref. Bonds, Series 2015-C, (1-month USD-LIBOR x 0.67 + 0.55%) 2.077% 2036 (put 2019)1   750    751 
Keller Independent School Dist., Unlimited Tax Rev. Ref. Bonds., Series 2014-A, 5.00% 2024   1,500    1,699 
Klein Independent School Dist., Unlimited Tax Schoolhouse Bonds, Series 2018, 5.00% 2024   1,000    1,123 
Lamar Consolidated Independent School Dist., Rev. Ref. Bonds, Series 2012-B, 5.00% 2022   1,000    1,087 
Lewisville Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2017, 5.00% 2027   1,115    1,283 
Lower Colorado River Auth., Transmission Contract Rev. Ref. and Improvement Bonds (LCRA Transmission Services Corp. Project), Series 2018, 5.00% 2021   1,000    1,067 
Lower Colorado River Auth., Transmission Contract Rev. Ref. Bonds (LCRA Transmission Services Corp. Project), Series 2018, 5.00% 2024   250    281 
Board of Regents of the Texas A&M University System, Rev. Fncg. System Bonds, Series 2017-E, 5.00% 2022   1,425    1,558 
New Hope Cultural Education Facs. Fin. Corp., Retirement Fac. Rev. Bonds (Westminster Project), Series 2016, 5.00% 2028   200    217 
North East Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2017, 2.375% 2047 (put 2022)   500    497 
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2012-C, 1.95% 2038 (put 2019)   1,700    1,700 
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2015-A, 5.00% 2030   300    331 
City of Olmos Park, Higher Education Facs. Corp., Higher Education Rev. Improvement and Ref. Bonds (University of the Incarnate Word Project), Series 2012, 5.00% 2019   980    1,009 
Pasadena Independent School Dist., Unlimited Tax School Building Bonds, Series 2018, 5.00% 2020   1,450    1,504 
Public Fin. Auth., G.O. Rev. Ref. Bonds, Series 2018-A, 5.00% 2022   555    611 
Red River Education Fin. Corp., Higher Education Rev. Ref. Bonds (St. Edward’s University Project), Series 2017, 5.00% 2019   750    762 
Sam Rayburn Municipal Power Agcy., Power Supply System Rev. Ref. Bonds, Series 2012, 5.00% 2020   1,180    1,235 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2012, 5.25% 2024   930    1,058 
   
Private Client Services Funds 27
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Texas (continued)        
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-A, 2.25% 2033 (put 2019)  $1,000   $1,001 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-C, 3.00% 2045 (put 2019)   1,000    1,009 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-D, 3.00% 2045 (put 2020)   1,000    1,012 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2016, 5.00% 2028   1,000    1,145 
Sherman Independent School Dist., Unlimited Tax School Building Bonds, Series 2018-A, 5.00% 2027   1,000    1,158 
Board of Regents of the Texas Tech University System, Rev. Fncg. System Rev. Ref. and Improvement Bonds, Series 2017-A, 5.00% 2026   1,000    1,145 
Transportation Commission, G.O. Mobility Fund and Rev. Ref. Bonds, Series 2014-A, 5.00% 2023   1,165    1,305 
Board of Regents of the University of North Texas System, Rev. Fncg. System Rev. Ref. and Improvement Bonds, Series 2018-A, 5.00% 2025   240    274 
Board of Regents of the University of North Texas System, Rev. Fncg. System Rev. Ref. and Improvement Bonds, Series 2018-A, 5.00% 2026   760    875 
Water Dev. Board, State Water Implementation Rev. Fund, Rev. Bonds (Master Trust), Series 2015-A, 5.00% 2024   1,100    1,242 
Water Dev. Board, State Water Implementation Rev. Fund, Rev. Bonds (Master Trust), Series 2018-A, 5.00% 2023   1,310    1,466 
Water Dev. Board, State Water Implementation Rev. Fund, Rev. Bonds (Master Trust), Series 2018-A, 5.00% 2029   2,990    3,484 
         67,642 
 
Utah 0.24%          
Housing Corp., Single Family Mortgage Bonds, Class III, Series 2015-D-2, 4.00% 2045   470    486 
School Fin. Auth., Charter School Rev. Bonds (Utah Charter Academies Project), Series 2018, 4.00% 2021   310    321 
School Fin. Auth., Charter School Rev. Bonds (Utah Charter Academies Project), Series 2018, 4.00% 2022   335    350 
         1,157 
 
Vermont 0.07%          
Housing Fin. Agcy., Multiple Purpose Bonds, Series 2018-A, 4.00% 2048   340    354 
 
Virginia 0.64%          
City of Chesapeake, Chesapeake Transportation System Toll Road Rev. Ref. Bonds, Series 2012-A, 4.00% 2019   850    860 
Commonwealth Transportation Board, Federal Transportation Grant Anticipation Rev. and Rev. Ref. Notes, Series 2017, 5.00% 2022   2,000    2,179 
         3,039 
 
Washington 3.53%          
Various Purpose G.O. Bonds, Series 2012-A, 5.00% 2025 (preref. 2021)   1,390    1,495 
Various Purpose G.O. Bonds, Series 2017-D, 5.00% 2028   1,000    1,159 
Various Purpose G.O. Bonds, Series 2018-C, 5.00% 2026   1,500    1,734 
Various Purpose G.O. Bonds, Series 2018-C, 5.00% 2027   1,445    1,685 
Various Purpose G.O. Rev. Ref. Bonds, Series 2013-R-C, 5.00% 2021   530    569 
Various Purpose G.O. Rev. Ref. Bonds, Series 2018-R-D, 5.00% 2026   990    1,152 
County of Grant, Public Utility Dist. No. 2, Electric System Rev. Ref. Bonds, Series 2017-N, 2.00% 2044 (put 2020)   1,000    991 
County of Grant, Public Utility Dist. No. 2, Electric System Rev. Ref. Bonds, Series 2017-O, 5.00% 2022   670    725 
County of Grant, Public Utility Dist. No. 2, Electric System Rev. Ref. Bonds, Series 2017-O, 5.00% 2023   555    611 
   
28 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
County of Grant, Public Utility Dist. No. 2, Electric System Rev. Ref. Bonds, Series 2017-O, 5.00% 2024  $275   $307 
Health Care Facs. Auth., Rev. Bonds (Catholic Health Initiatives), Series 2013-B-1, (SIFMA Municipal Swap Index + 1.00%) 2.60% 2035 (put 2021)1   500    502 
Health Care Facs. Auth., Rev. Ref. Bonds (Providence Health & Services), Series 2012-B, 5.00% 2042 (put 2021)   800    860 
Health Care Facs. Auth., Rev. Ref. Bonds (Providence St. Joseph Health), Series 2018-B, 5.00% 2027   500    580 
Housing Fin. Commission, Nonprofit Housing Rev. Ref. Bonds (Horizon House Project), Series 2017, 5.00% 2020   480    491 
Housing Fin. Commission, Nonprofit Housing Rev. Ref. Bonds (Horizon House Project), Series 2017, 5.00% 2023   550    587 
Housing Fin. Commission, Single Family Program Bonds, Series 2017-1-N, 4.00% 2047   915    944 
City of Seattle, Municipal Light and Power Improvement and Rev. Ref. Bonds, Series 2018-C-2, (SIFMA Municipal Swap Index + 0.49%) 2.09% 2046 (put 2023)1   2,225    2,226 
Port of Seattle, Rev. Bonds, Series 2009-A, 5.25% 2027 (preref. 2019)   100    102 
         16,720 
 
West Virginia 0.41%          
Econ. Dev. Auth., Solid Waste Disposal Facs. Rev. Bonds (Appalachian Power Co. - AMOS Project), Series 2009-B, 2.625% 2042 (Put 2022)   750    743 
Econ. Dev. Auth., Solid Waste Disposal Facs. Rev. Ref. Bonds (Appalachian Power Co. - Amos Project), Series 2015-A, 1.90% 2040 (put 2019)   1,000    998 
West Virginia Hospital Fin. Auth., Hospital Rev. Ref. and Improvement Rev. Bonds (Cabell Huntington Hospital Obligated Group), Series 2018-A, 5.00% 2029   165    185 
         1,926 
 
Wisconsin 2.44%          
G.O. Bonds, Series 2015-A, 5.00% 2031 (preref. 2023)   2,000    2,227 
Health and Educational Facs. Auth., Health Facs. Rev. Bonds (SSM Health Care), Series 2018-B, 5.00% 2038 (put 2023)   1,300    1,405 
Health and Educational Facs. Auth., Rev. Bonds (Advocate Aurora Health Care Credit          
Group), Series 2018-C-2, (SIFMA Municipal Swap Index + 0 .45%) 2.05% 2054 (put 2022)1   2,000    2,001 
Health and Educational Facs. Auth., Rev. Bonds (Advocate Aurora Health Care Credit Group), Series 2018-C-3, (SIFMA Municipal Swap Index + 0 .55%) 2.15% 2054 (put 2023)1   1,130    1,130 
Housing and Econ. Dev. Auth., Home Ownership Rev. Bonds, Series 2017-C, 4.00% 2048   590    614 
Housing and Econ. Dev. Auth., Home Ownership Rev. Bonds, Series 2018-B, 4.00% 2048   1,180    1,228 
Public Fin. Auth., Hospital Rev. Ref. Bonds (Renown Regional Medical Center Project), Series 2016-A, 5.00% 2022   300    326 
Public Fin. Auth., Tax Increment Fin. Grant Rev. Bonds (Statler Hilton & Dallas Central Library), Series 2016, 0% 2027   1,500    957 
Transportation Rev. Ref. Bonds, Series 2017-2, 5.00% 2022   1,000    1,097 
WPPI Energy, Power Supply System Rev. Bonds, Series 2016-A, 5.00% 2026   500    575 
         11,560 
 
Total bonds, notes & other debt instruments (cost: $436,610,000)        431,670 
 
Short-term securities 9.31%          
State of Connecticut, Health and Educational Facs. Auth., IAM Commercial Paper,          
Series 2018-S-1, 1.67% 11/6/2018   3,000    3,000 
State of Illinois, Fin. Auth., Demand Rev. Bonds (University of Chicago Medical Center), Series 2011-A, 1.68% 20441   1,500    1,500 
State of Maryland, Health and Higher Educational Facs. Auth., IAM Commercial Paper, Series 2018-B, 1.72% 11/1/2018   1,000    1,000 
State of Maryland, County of Montgomery, IAM Commercial Paper, Series 2009-B, 1.70% 11/7/2018   2,000    2,000 
   
Private Client Services Funds 29
 

Capital Group Core Municipal Fund

 

Short-term securities (continued)  Principal amount
(000)
   Value
(000)
 
State of Massachusetts, G.O. Rev. Anticipation Notes, Series 2018-A, 4.00% 4/25/2019  $3,000   $3,030 
State of Massachusetts, G.O. Rev. Anticipation Notes, Series 2018-C, 4.00% 6/20/2019   3,000    3,040 
State of Michigan, Strategic Fund, Demand Limited Obligation Rev. Bonds (Air Products and Chemicals, Inc. Project), Series 2007, 1.67% 20421   5,000    5,000 
State of Mississippi, Hospital Equipment and Facs. Auth., Rev. Bonds (Baptist Memorial Health Care), Series 2004-B-2, 2.125% 2022 (put 2019)5   200    200 
State of Missouri, Health and Educational Facs. Auth., Demand Educational Facs. Rev. Bonds (Washington University), Series 1996-A, 1.65% 20301   2,800    2,800 
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2018-A-1, 4.00% 8/15/2019   1,500    1,522 
State of New York, New York City G.O. Bonds, Fiscal 2014, Series 2013-D-3, 1.68% 20381   5,000    5,000 
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2016, Series 2015-A-4, 1.70% 20411   6,385    6,385 
State of New York, Triborough Bridge and Tunnel Auth., General Rev. Bonds (MTA Bridges and Tunnels), Series 2003-B-1, 1.69% 20331   1,000    1,000 
State of Tennessee, City of Clarksville, Public Building Auth., Pooled Fncg. Rev. Bonds, Series 2003, Bank of America LOC, 1.62% 20331   565    565 
State of Texas, Gulf Coast Industrial Dev. Auth., Rev. Bonds (ExxonMobil Project), Series 2012, 1.68% 20411   2,000    2,000 
State of Texas, Mission Econ. Dev. Corp., Solid Waste Disposal Rev. Bonds (Allied Waste North America, Inc. Project), Series 2008-A, 1.97% 2020 (put 2019)5   575    575 
State of Texas, Tax and Rev. Anticipation Notes, Series 2018, 4.00% 8/29/2019   500    508 
State of Texas, University of Texas, IAM Commercial Paper, Series 2018-A, 1.68% 11/7/2018   5,000    5,000 
           
Total short-term securities (cost: $44,133,000)        44,125 
Total investment securities 100.40% (cost: $480,743,000)        475,795 
Other assets less liabilities (0.40%)        (1,872)
 
Net assets 100.00%       $473,923 

 

Futures contracts

 

                     Unrealized 
                     (depreciation) 
             Notional   Value at   appreciation 
      Number of      amount6  10/31/20187  at 10/31/2018 
Contracts  Type  contracts   Expiration  (000)   (000)   (000) 
2 Year U.S. Treasury Note Futures  Long   45   January 2019   $ 9,000    $ 9,479   $ (29)
5 Year U.S. Treasury Note Futures  Long   130   January 2019   13,000    14,610    18 
                               $ (11)
   
1 Coupon rate may change periodically. For short-term securities, the date of the next scheduled coupon rate change is considered to be the maturity date.
2 Acquired in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $3,445,000, which represented .73% of the net assets of the fund.
3 Step bond; coupon rate may change at a later date.
4 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
5 For short-term securities, the mandatory put date is considered to be the maturity date.
6 Notional amount is calculated based on the number of contracts and notional contract size.
7 Value is calculated based on the notional amount and current market price.
   
30 Private Client Services Funds
 

Capital Group Core Municipal Fund

 

Key to abbreviations and symbol

Agcy. = Agency

AMT = Alternative Minimum Tax

Auth. = Authority

Certs. of Part.  = Certificates of Participation

Dept. = Department

Dev. = Development

Dist. = District

Econ. = Economic

Fac. = Facility

Facs. = Facilities

Fin. = Finance

Fncg. = Financing

G.O. = General Obligation

LIBOR = London Interbank Offered Rate

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

SIFMA = Securities Industry and Financial Markets Association

TECP = Tax-Exempt Commercial Paper

   
Private Client Services Funds 31
 

Capital Group Short-Term Municipal Fund

Investment portfolio October 31, 2018

 

Bonds, notes & other debt instruments 91.37%  Principal amount
(000)
   Value
(000)
 
Alabama 0.56%          
21st Century Auth., Tobacco Settlement Rev. Ref. Bonds, Series 2012-A, 5.00% 2019  $250   $254 
Black Belt Energy Gas Dist., Gas Supply Rev. Bonds, Series 2016-A, 4.00% 2046 (put 2021)   500    516 
         770 
           
Arizona 0.42%          
County of Maricopa, Industrial Dev. Auth., Rev. Bonds (GreatHearts Arizona Projects), Series 2017-A, 4.00% 2021   565    585 
           
California 3.25%          
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2006-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2045 (put 2023)1   1,500    1,533 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-C, 1.875% 2047 (put 2019)   500    500 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (St. Joseph Health System), Series 2013-C, 5.00% 2043 (put 2019)   1,000    1,026 
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (J. Paul Getty Trust), Series 2011-A-4, (3-month USD-LIBOR x 0.70 + 0.37%) 2.047% 2038 (put 2020)1   1,000    1,003 
Menifee Union School Dist., Public Fncg. Auth., Special Tax Rev. Bonds, Series 2016-A, BAM insured, 4.00% 2021   400    416 
         4,478 
           
Colorado 0.97%          
City of Colorado Springs, Utilities System Rev. Ref. Bonds, Series 2018-A-1, 5.00% 2023   500    562 
E-470 Public Highway Auth., Rev. Bonds, Series 2017-A, (1-month USD-LIBOR x 0.67 + 0.90%) 2.442% 2039 (put 2019)1   500    500 
Park Creek Metropolitan Dist., Limited Property Tax Supported Rev. Ref. Bonds, Series 2015-A, 5.00% 2021   260    279 
         1,341 
           
Connecticut 4.09%          
Health and Educational Facs. Auth., Rev. Bonds (Ascension Health Senior Credit Group), Series 1999-B, 1.65% 2029 (put 2019)   470    469 
Health and Educational Facs. Auth., Rev. Bonds (Sacred Heart University Issue), Series 2017-I-1, 5.00% 2022   500    545 
Health and Educational Facs. Auth., Rev. Bonds (Yale University Issue), Series 1999-U-1, 1.00% 2033 (put 2019)   1,470    1,466 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2014-C-1, 4.00% 2044   430    442 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2016-A-1, 4.00% 2045   225    232 
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2017-A-1, 4.00% 2047   890    924 
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2013-B-2, 4.00% 2032   430    440 
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2014-D-1, 4.00% 2044   590    604 
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2015-C-1, 3.50% 2045   495    504 
         5,626 
           
Florida 4.49%          
County of Collier, Heritage Bay Community Dev. Dist., Capital Improvement Rev. Bonds, Series 2018-A-2, 2.25% 2021   355    351 
County of Collier, Heritage Bay Community Dev. Dist., Capital Improvement Rev. Bonds, Series 2018-A-2, 2.50% 2022   500    494 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds, Series 2011-A, 4.50% 2029   120    122 
Housing Fin. Corp., Multi Familiy Housing Rev. Bonds (Logan Heights Apartments), Series 2018-F, 1.90% 2020   1,000    991 

 

32 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Housing Fin. Corp., Homeowner Mortgage Rev. Bonds (Special Program), Series 2011-B, 4.50% 2029  $70   $71 
Housing Fin. Corp., Multi Familiy Mortgage Rev. Bonds (Lake Mangonia Apartments), Series 2018-B, 1.75% 2019   150    150 
JEA, Electric System Rev. Bonds, Series 2012-B, 5.00% 2023   1,095    1,179 
County of Orange, Health Facs. Auth., Health Care Facs. Rev. Bonds (Presbyterian Retirement Communities Project), Series 2015, 4.00% 2020   710    728 
City of Orlando, Utilities Commission, Utility System Rev. Ref. Bonds, Series 2017-A, 5.00% 2027 (put 2020)   1,500    1,578 
County of Palm Beach, Health Facs. Auth., Rev. Bonds (Lifespace Communities, Inc.), Series 2015-C, 5.00% 2021   500    520 
         6,184 
           
Georgia 1.41%          
City of Atlanta, Airport Passenger Fac. Charge and General Rev. Bonds, Series 2010-B, Assured Guaranty Municipal insured, 5.00% 2019   95    96 
Municipal Electric Auth., Project One Bonds, Series 2009-B, 5.00% 2020   860    887 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2015-A-1, 3.50% 2045   135    137 
Housing and Fin. Auth., Single Family Mortgage Bonds, Series 2017-A, 4.00% 2047   790    820 
         1,940 
           
Illinois 10.65%          
Build Illinois Bonds, Sales Tax Rev. Bonds, Series 2013, 5.00% 2020   1,000    1,037 
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2011-C, 6.50% 2041 (preref. 2021)   450    491 
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2016-C, 5.00% 2020   1,000    1,032 
City of Chicago, Second Lien Water Rev. Bonds, Series 2004, 5.00% 2020   100    105 
City of Chicago, Wastewater Transmission Rev. Bonds, Series 2014, 5.00% 2024   475    521 
City of Chicago, Wastewater Transmission Rev. Ref. Bonds, Series 2008-C, 5.00% 2021   500    525 
City of Chicago, Wastewater Transmission Rev. Ref. Bonds, Series 2017-B, 5.00% 2022   1,010    1,080 
City of Chicago, Water Rev. Ref. Bonds, Series 2014, 3.00% 2019   1,065    1,072 
City of Chicago, Water Rev. Ref. Bonds, Series 2017-2, 5.00% 2021   180    192 
Counties of Cook, DuPage, Kane, Lake, McHenry and Will, Regional Transportation Auth., G.O. Bonds, Series 2000, MBIA insured, 6.25% 2021   460    505 
Fin. Auth., National Rural Utilities Cooperative Fin. Corp., Guaranteed Solid Waste Disposal Rev. Bonds (Prairie Power, Inc. Project), Series 2008-A, 1.75% 2042 (put 2020)   490    484 
Fin. Auth., Rev. Bonds (Art Institute of Chicago), Series 2016, 5.00% 2023   100    110 
Fin. Auth., Rev. Bonds (Art Institute of Chicago), Series 2016, 5.00% 2024   130    144 
Fin. Auth., Rev. Bonds (OSF Healthcare System), Series 2015-A, 5.00% 2021   1,100    1,182 
Fin. Auth., Rev. Ref. Bonds (Advocate Health Care Network), Series 2008-A-1, 5.00% 2030 (put 2020)   1,000    1,032 
Fin. Auth., Rev. Bonds (Presbyterian Homes Obligated Group), Series 2016-A, 5.00% 2023   225    244 
Housing Dev. Auth., Multi Family Housing Rev. Notes (Marshall Field Garden Apartment Homes), Series 2015, (SIFMA Municipal Swap Index + 1.00%) 2.60% 2050 (put 2025)1   1,000    992 
Board of Trustees of the Illinois State University, Auxiliary Facs. System Rev. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2022   600    637 
Board of Trustees of the Illinois State University, Auxiliary Facs. System Rev. Bonds, Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2023   500    538 
Board of Trustees of the Illinois State University, Auxiliary Facs. System Rev. Bonds, Series 2018-B, Assured Guaranty Municipal insured, 5.00% 2022   500    531 
Railsplitter Tobacco Settlement Auth., Tobacco Settlement Rev. Bonds, Series 2010, 5.50% 2023 (preref. 2021)   160    173 

 

Private Client Services Funds 33
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Illinois (continued)          
Sales Tax Securitization Corp., Sales Tax Rev. Ref. Bonds, Series 2017-A, 5.00% 2021  $500   $527 
Board of Trustees of the University of Illinois, Rev. Ref. Certs. of Part., Series 2016-A, 4.00% 2019   1,000    1,014 
Village of Volo, Special Service Areas Nos. 3 and 6 (Symphony Meadows/Lancaster Falls Projects), Special Tax Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 3.00% 2021   500    500 
         14,668 
           
Indiana 1.48%          
Fin. Auth., State Revolving Fund Program Bonds, Series 2010-B, 5.00% 2029 (preref. 2020)   1,000    1,036 
Health and Educational Facs. Fncg. Auth., Rev. Bonds (Ascension Health Senior Credit Group), Series 2001-A-2, 4.00% 2036 (put 2019)   1,000    1,007 
         2,043 
           
Iowa 0.39%          
Fin. Auth., State Revolving Fund Rev. Bonds, Series 2011, 5.00% 2026 (preref. 2021)   495    532 
           
Kentucky 0.51%          
Housing Corp., Housing Rev. Bonds (Jefferson Green Apartments Project), Series 2018, 2.20% 2022 (put 2021)   685    681 
Housing Corp., Housing Rev. Bonds, Series 2010-B, 5.00% 2027   20    20 
         701 
           
Louisiana 0.64%          
Citizens Property Insurance Corp., Assessment Rev. Ref. Bonds, Assured Guaranty Municipal insured, Series 2015, 5.00% 2021   300    321 
Housing Fin. Agcy., Single Family Mortgage Rev. Bonds (Mortgage-Backed Securities Program), Series 2011-A, GNMA-FNMA insured, 4.60% 2028   5    5 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2013-A, 5.00% 2020   280    291 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2013-A, 5.00% 2021   250    265 
         882 
           
Maine 0.60%          
Housing Auth., Mortgage Purchase Bonds, Series 2017-A, 4.00% 2047   470    488 
Maine Municipal Bond Bank (Dept. of Transportation), Grant Anticipation Bonds, Series 2018-A, 5.00% 2023   300    335 
         823 
           
Maryland 2.49%          
County of Baltimore, Consolidated Public Improvement Bonds, Series 2018, 4.00% 2019   1,000    1,008 
County of Baltimore, Rev. Bonds (Oak Crest Village, Inc. Fac.), Series 2016, 5.00% 2022   400    429 
Community Dev. Administration, Dept. of Housing and Community Dev., Residential Rev. Bonds, Series 2018-A, 4.50% 2048   435    463 
County of Montgomery, Housing Opportunities Commission, Single Family Housing Rev. Bonds, Series 2017-A, 4.00% 2048   465    483 
County of Montgomery, Housing Opportunities Commission, Single Family Housing Rev. Bonds, Series 2018-A, 4.00% 2049   1,000    1,041 
         3,424 

 

34 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Massachusetts 1.04%          
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 169, 4.00% 2044  $120   $123 
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 183, 3.50% 2046   750    763 
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 171, 4.00% 2044   540    554 
         1,440 
           
Michigan 4.29%          
City of Detroit, Water and Sewerage Dept., Sewage Disposal System Rev. and Rev. Ref. Bonds, Series 2012-A, 5.00% 2023   700    756 
Fin. Auth., Local Government Loan Program Rev. Bonds (Detroit Water and Sewerage Dept., Sewage Disposal System Rev. and Rev. Ref. Local Project Bonds), Series 2014-C-5, National insured, 5.00% 2020   500    521 
Grant Anticipation Rev. Ref. Bonds, Series 2016, 5.00% 2020   1,000    1,038 
Hospital Fin. Auth., Hospital Rev. Ref. Bonds (Ascension Health Senior Credit Group), Series 2010-B, 5.00% 2019   300    309 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2014, 4.00% 2044   655    673 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2017-B, 3.50% 2048   140    143 
Housing Dev. Auth., Single Family Mortgage Rev. Bonds, Series 2018-C, 4.25% 2049   1,435    1,514 
Strategic Fund, Limited Obligation Rev. Ref. Bonds (Detroit Edison Co. Exempt Facs. Project), Series 2008-ET-2, 1.45% 2029 (put 2021)   325    311 
County of Wayne, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2015-G, 5.00% 2021   300    324 
County of Wayne, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2018-C, 5.00% 2023   290    324 
         5,913 
           
Minnesota 1.30%          
City of Coon Rapids, Multi Family Housing Rev. Ref. Bonds (Drake Apartments Project), Series 2018-A, 2.20% 2021 (put 2020)   700    699 
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2012-D, 4.00% 2040   60    61 
City of Maplewood, Multi Family Housing Rev. Ref. Bonds (Maple Pond Apartments Project), Series 2018-A, 2.20% 2021 (Put 2020)2   280    279 
City of Minneapolis, Multi Family Rev. Bonds (Albright Townhomes Project), Series 2018, 2.00% 2021 (put 2019)   750    749 
         1,788 
           
Missouri 1.03%          
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (First Place Homeownership Loan Program), Series 2016-B, 3.50% 2041   1,220    1,246 
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (Special Homeownership Loan Program), Series 2009-E-4, 4.25% 2030   165    169 
         1,415 
           
Montana 0.16%          
Board of Housing, Single Family Mortgage Bonds, Series 2016-A-2, 3.50% 2044   220    224 
           
Nebraska 2.39%          
Central Plains Energy Project, Gas Supply Rev. Ref. Bonds, Series 2014, 5.00% 2039 (put 2019)   1,000    1,027 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2013-E, 3.00% 2043   185    186 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2014-A, 3.00% 2044   120    120 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2014-A, 4.00% 2044   535    552 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2016-A, 3.50% 2046   415    423 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2016-C, 3.50% 2046   290    295 
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2018-C, 4.00% 2048   660    689 
         3,292 

 

Private Client Services Funds 35
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
New Jersey 4.09%          
Econ. Dev. Auth., School Facs. Construction Rev. Ref. Bonds, Series 2014-PP, 5.00% 2019  $750   $762 
Garden State Preservation Trust, Open Space and Farmland Preservation Rev. Ref. Bonds, Series 2012-A, 5.00% 2018   550    550 
Housing and Mortgage Fin. Agcy., Multi Family Housing Conduit Rev. Bonds (Garden Spires Project), Series 2018-A, 2.02% 2021   1,000    991 
Housing and Mortgage Fin. Agcy., Multi Family Conduit Rev. Bonds (Georgia King Village Project), Series 2018-E, 2.45% 2021 (put 2020)   215    215 
Housing and Mortgage Fin. Agcy., Single Family Housing Rev. Bonds, Series 2018-A, 4.50% 2048   715    760 
Tobacco Settlement Fncg. Corp., Tobacco Settlement Bonds, Series 2018-A, 5.00% 2021   1,250    1,324 
Transportation Trust Fund Auth., Federal Highway Reimbursement Rev. Ref. Bonds, Series 2018-A, 4.00% 2020   495    507 
Transportation Trust Fund Auth., Transportation System Bonds, Series 2015-AA, 5.00% 2021   500    527 
         5,636 
           
New Mexico 1.45%          
City of Farmington, Pollution Control Rev. Ref. Bonds (Southern California Edison Company Four Corners Project), Series 2005-A, 1.875% 2029 (put 2020)   1,000    990 
City of Farmington, Pollution Control Rev. Ref. Bonds (Southern California Edison Company Four Corners Project), Series 2005-B, 1.875% 2029 (put 2020)   1,000    989 
New Mexico Educational Assistance Foundation, Educational Loan Bonds, Series 2010-1, Class A2, (3-month USD-LIBOR + 0.65%) 2.971% 20281   20    20 
         1,999 
           
New York 7.93%          
Build NYC Resource Corp., Rev. Ref. Bonds (Ethical Culture Fieldston School Project), Series 2015, 5.00% 2024   360    404 
Dormitory Auth., State Sales Tax Rev. Bonds, Series 2018-E, 5.00% 2022   500    545 
Housing Fin. Agcy., Affordable Housing Rev. Green Bonds, Series 2017-H, 1.65% 2021   350    342 
Housing Fin. Agcy., Affordable Housing Rev. Green Bonds, Series 2018-D, 2.35% 2021   1,000    995 
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-C, (1-month USD-LIBOR x 0.70 + 0.75%) 2.329% 2033 (put 2023)1   300    300 
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-C, (1-month USD-LIBOR x 0.70 + 0.75%) 2.329% 2033 (put 2023)1   750    749 
Metropolitan Transportation Auth., Dedicated Tax Fund Bonds, Series 2002-B-3-B, (SIFMA Municipal Swap Index + 0.90%) 2.50% 20181   650    650 
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, (SIFMA Municipal Swap Index + 0.58%) 2.18% 2039 (put 2020)1   2,600    2,604 
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044   845    864 
New York City G.O. Bonds, Fiscal 2018, Series 2017-C, 5.00% 2023   1,000    1,116 
New York City Housing Dev. Corp., Multi Family Housing Rev. Bonds (Sustainable Neighborhood Bonds), Series 2017-C-2, 1.70% 2021   350    344 
New York City Housing Dev. Corp., Multi Family Housing Rev. Bonds (Sustainable Neighborhood Bonds), Series 2017-G-2-A, 2.00% 2057 (put 2021)   500    493 
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2019, Series 2018-A-1, 5.00% 2023   750    838 
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2019, Series 2018-B-1, 5.00% 2024   395    448 
Public Housing Capital Fund Rev. Trust I, Trust Certificates, Series 2012, 4.50% 20223,4   222    221 
         10,913 
           
North Carolina 0.29%          
Housing Fin. Agcy., Home Ownership Rev. Ref. Bonds, Series 38-B, 4.00% 2047   385    400 

 

36 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
North Dakota 1.26%          
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2012-A, 3.75% 2042  $95   $97 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2015-A, 4.00% 2038   1,070    1,099 
Housing Fin. Agcy., Housing Fin. Program Bonds (Home Mortgage Fin. Program), Series 2015-D, 4.00% 2046   520    536 
         1,732 
           
Ohio 1.28%          
Higher Education G.O. Rev. Ref. Bonds, Series 2017-C, 5.00% 2026   500    582 
Housing Fin. Agcy., Residential Mortgage Rev. Bonds (Mortgage-Backed Securities Program), Series 2017-A, 4.50% 2047   970    1,023 
Housing Fin. Agcy., Single Family Mortgage Rev. Bonds, Series 2011-2, 4.50% 2028   150    154 
         1,759 
           
Oklahoma 0.77%          
Housing Fin. Agcy., Collateralized Rev. Bonds (Windsong Apartments), Series 2018, 2.05% 2021 (put 2020)2   500    498 
Housing Fin. Agcy., Single Family Mortgage Rev. Bonds (Homeownership Loan Program), Series 2012-A, 5.00% 2043   395    410 
City of Stillwater, Utility System and Sales Tax Rev. Bonds, Series 2014-A, 4.00% 2019   150    153 
         1,061 
           
Oregon 0.55%          
G.O. Bonds (Veteran’s Welfare Bonds Series 94), Series 2014-H, 4.00% 2044   740    756 
           
Pennsylvania 3.91%          
Fncg. Auth., Rev. Bonds (Tobacco Master Settlement Payment), Series 2018, 5.00% 2020   500    519 
Housing Fin. Agcy., Single Family Mortgage Rev. Bonds, Series 2017-122, 4.00% 2046   445    462 
County of Montgomery, Higher Education and Health Auth., Hospital Rev. Bonds (Abington Memorial Hospital Obligated Group), Series 2012-A, 5.00% 2031 (preref. 2022)   750    819 
County of Montgomery, Higher Education and Health Auth., Rev. Bonds, Series 2018-A, 2.32% 2051 (put 2023)1   500    500 
Philadelphia School Dist., Rev. Ref. G.O. Bonds, Series 2016-F, 5.00% 2019   500    511 
City of Pittsburgh, Urban Redev. Auth., Rev. Bonds (Crawford Square Apartments Project), Series 2018, 2.25% 2020 (put 2020)   275    274 
Turnpike Commission, Turnpike Rev. Bonds, Series 2016, 5.00% 2021   750    798 
Turnpike Commission, Turnpike Rev. Bonds, Series 2018-B, (SIFMA Municipal Swap Index + 0.50%) 2.11% 20211   1,000    1,000 
University of Pittsburgh - Of the Commonwealth System of Higher Education Panthers, Series 2018, (SIFMA Municipal Swap Index + 0.24%) 1.84% 20211   500    500 
         5,383 
           
Rhode Island 1.13%          
Commerce Corp., Grant Anticipation Rev. Ref. Bonds (Dept. of Transportation), Series 2016-A, 5.00% 2021   920    983 
Housing and Mortgage Fin. Corp., Homeownership Opportunity Bonds, Series 66-A-1, 4.00% 2033   560    576 
         1,559 

 

Private Client Services Funds 37
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
South Carolina 1.20%          
Housing Fin. and Dev. Auth., Mortgage Rev. Bonds, Series 2018-A, 4.50% 2048  $320   $341 
Housing Fin. and Dev. Auth., Mortgage Rev. Ref. Bonds, Series 2016-A, 4.00% 2036   455    470 
County of Lexington, Health Services Dist., Inc., Hospital Rev. Ref. Bonds, Series 2017, 5.00% 2021   250    267 
Housing Fin. and Dev. Auth., Mortgage Rev. Bonds, Series 2011-1, 4.50% 2030   135    138 
Town of Southold, Local Dev. Corp., Rev. Bonds (Peconic Landing at Southold, Inc. Project), Series 2015, 5.00% 2022   400    433 
         1,649 
           
South Dakota 0.19%          
Housing Dev. Auth., Homeownership Mortgage Bonds, Series 2014-E, 4.00% 2044   250    258 
           
Tennessee 2.71%          
Housing Dev. Agcy., Homeownership Program Bonds, Series 2012-1-C, 4.50% 2037   170    175 
Housing Dev. Agcy., Homeownership Program Bonds, Series 2012-2-C, 4.00% 2038   190    194 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-2-A, 4.00% 2045   1,335    1,376 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-2-C, 4.00% 2045   560    577 
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2017-1, 4.00% 2042   360    374 
Metropolitan Government of Nashville and Davidson County, G.O. Improvement Bonds, Series 2013-A, 5.00% 2026 (preref. 2023)   310    343 
Metropolitan Government of Nashville and Davidson County, Health and Educational Facs. Board, Collateralized Multi Family Housing Rev. Bonds (Trevecca Towers II Project), Series 2018, 2.00% 2022 (put 2021)   700    695 
         3,734 
           
Texas 13.93%          
Arlington Higher Education Fin. Corp., Education Rev. and Rev. Ref. Bonds (Uplift Education), Series 2017-A, 5.00% 2022   635    695 
City of Austin, Electric Utility System Rev. Ref. Bonds, Series 2015-A, 5.00% 2021   525    567 
City of Austin, Water and Wastewater System Rev. Ref. Bonds (Travis, Williamson and Hays Counties), Series 2015-A, 5.00% 2022   500    551 
Cypress-Fairbanks Independent School Dist., Unlimited Tax School Building Bonds, Series 2017-A-3, 3.00% 2043 (put 2020)   1,500    1,518 
City of Dallas, Waterworks and Sewer System Rev. Ref. Bonds, Series 2016-A, 5.00% 2028   190    218 
Denton Independent School Dist., Unlimited Tax Rev. Ref. Bonds, Series 2015, 5.00% 2026   350    396 
County of Harris, Health Facs. Dev. Corp., Rev. Ref. Bonds (CHRISTUS Health), Series 2005-A-4, Assured Guaranty Municipal insured, 1.99% 20311   150    150 
Harris County, Toll Road Rev. Ref. Bonds, Series 2012-B, (SIFMA Municipa Swap index + 0.45%) 2.05% 20211   1,115    1,115 
Dept. of Housing and Community Affairs, Multi Family Housing Rev. Bonds (Springs Apartments), Series 2018, 2.23% 2021 (put 2020)2   1,350    1,346 
Dept. of Housing and Community Affairs, Residential Mortgage Rev. Bonds, Series 2011-A, 5.00% 2029   90    93 
Dept. of Housing and Community Affairs, Single Family Mortgage Rev. Bonds, Series 2018-A, 4.75% 2049   500    539 
City of Houston, Airport System Rev. and Rev. Ref. Bonds, Series 2018-B, 5.00% 2022   250    273 
City of Houston, Higher Education Fin. Corp., Higher Education Rev. bonds (Rice University Project), Series 2010-A, 5.00% 2040 (preref. 2020)   1,500    1,564 
City of Houston, Public Improvement Rev. Ref. Bonds, Series 2017-A, 5.00% 2020   400    415 
Houston Independent School Dist., Limited Tax Schoolhouse Bonds, Series 2014-A-1B, 2.20% 2039 (put 2020)2   715    714 
Houston Independent School Dist., Limited Tax Schoolhouse Bonds, Series 2017, 3.00% 2021   600    611 
Katy Independent School Dist., Rev. Ref. Bonds, Series 2015-C, (1-month USD-LIBOR x 0.67 + 0.55%) 2.077% 2036 (put 2019)1   650    651 
Lower Colorado River Auth., Transmission Contract Rev. Ref. and Improvement Bonds (LCRA Transmission Services Corp. Project), Series 2018, 5.00% 2021   300    320 

 

38 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Northside Independent School Dist., Unlimited Tax School Building Bonds, Series 2017, 1.45% 2047 (put 2020)  $200   $198 
City of Olmos Park, Higher Education Facs. Corp., Higher Education Rev. Improvement and Ref. Bonds (University of the Incarnate Word Project), Series 2012, 5.00% 2019   400    412 
Panhandle Regional Housing Fin. Corp., Multi Family Housing Rev. Bonds (Canyons at 45 West Apartments), Series 2018, 2.00% 2021 (put 2020)2   500    498 
Public Fin. Auth., G.O. Rev. Ref. Bonds, Series 2018-A, 5.00% 2021   645    696 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2012-C, 2.00% 2027 (put 2018)   350    350 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-C, 3.00% 2045 (put 2019)   1,000    1,009 
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-D, 3.00% 2045 (put 2020)   1,000    1,012 
City of Temple, Limited Tax Rev. Bonds (Pass-Through Agreement), Series 2012, 5.00% 2023 (preref. 2021)   680    729 
Board of Regents of the Texas A&M University System, Rev. Fncg. System Bonds, Series 2015-B, 5.00% 2021 (escrowed to maturity)   145    155 
Board of Regents of the Texas Tech University System, Rev. Fncg. System Rev. Ref. and Improvement Bonds, Series 2017-A, 5.00% 2019   500    504 
Tomball Independent School Dist., Unlimited Tax School Building Bonds, Series 2018, 5.00% 2022   355    385 
County of Travis, Housing Fin. Corp., Multi Family Housing Rev. Bonds (McKinney Falls Apartments), Series 2018, AMT, 2.00% 20212   1,000    995 
Water Dev. Board, State Water Implementation Rev. Fund, Rev. Bonds (Master Trust), Series 2018-B, 5.00% 2022   455    496 
         19,175 
           
Utah 0.59%          
Housing Corp., Single Family Mortgage Bonds, Class III, Series 2015-D-2, 4.00% 2045   375    388 
School Fin. Auth., Charter School Rev. Bonds (Utah Charter Academies Project), Series 2018, 3.00% 2019   200    201 
School Fin. Auth., Charter School Rev. Bonds (Utah Charter Academies Project), Series 2018, 3.00% 2020   220    222 
         811 
           
Virginia 0.54%          
County of Wise, Industrial Dev. Auth., Solid Waste and Sewage Disposal Rev. Bonds (Virginia Electric and Power Co. Project), Series 2010-A, 1.875% 2040 (put 2020)   750    743 
           
Washington 3.03%          
Various Purpose G.O. Bonds, Series 2018-C, 5.00% 2023   1,000    1,108 
Various Purpose G.O. Rev. Ref. Bonds, Series 2013-R-C, 5.00% 2021   330    354 
Various Purpose G.O. Rev. Ref. Bonds, Series 2018-R-C, 5.00% 2021   500    537 
Housing Fin. Commission, Homeownership Program Bonds, Series 2011-A, 4.50% 2029   90    92 
Housing Fin. Commission, Single Family Program Bonds, Series 2017-1-N, 4.00% 2047   585    604 
County of King, Housing Auth., Pooled Housing Rev. Ref. Bonds, Series 2018, 2.15% 2020   400    398 
City of Seattle, Municipal Light and Power Improvement and Rev. Ref. Bonds, Series 2018-C-2, (SIFMA Municipal Swap Index + 0.49%) 2.09% 2046 (put 2023)1   1,075    1,075 
         4,168 
           
West Virginia 0.54%          
West Virginia University, Improvement Rev. Bonds (West Virginia University Projects), Series 2014-C, (SIFMA Municipal Swap Index + 0.53%) 2.13% 2041 (put 2019)1   750    750 

 

Private Client Services Funds 39
 

Capital Group Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Wisconsin 3.82%          
G.O. Bonds, Series 2013-A, 5.00% 2025 (preref. 2022)  $1,000   $1,092 
G.O. Bonds, Series 2015-A, 5.00% 2031 (preref. 2023)   1,000    1,113 
Health and Educational Facs. Auth., Rev. Bonds (Advocate Aurora Health Care Credit Group), Series 2018-C-2, (SIFMA Municipal Swap Index + 0 .45%) 2.05% 2054 (put 2022)1   1,000    1,000 
Health and Educational Facs. Auth., Rev. Bonds (Advocate Aurora Health Care Credit Group), Series 2018-C-3, (SIFMA Municipal Swap Index + 0 .55%) 2.15% 2054 (put 2023)1   340    340 
Health and Educational Facs. Auth., Rev. Bonds (Ascension Health Senior Credit Group), Series 2013-B-2, 4.00% 2043 (put 2019)   1,000    1,011 
Housing and Econ. Dev. Auth., Home Ownership Rev. Bonds, Series 2017-C, 4.00% 2048   360    375 
Public Fin. Auth., Hospital Rev. Ref. Bonds (Renown Regional Medical Center Project), Series 2016-A, 5.00% 2022   300    326 
         5,257 
           
Total bonds, notes & other debt instruments (cost: $127,132,000)        125,812 
           
Short-term securities 9.92%          
State of Connecticut, Health and Educational Facs. Auth., IAM Commercial Paper, Series 2018-S-1, 1.67% 11/6/2018   1,000    1,000 
State of Illinois, Fin. Auth., Demand Rev. Bonds (University of Chicago Medical Center), Series 2011-A, 1.68% 20441   1,000    1,000 
State of Maryland, County of Montgomery, IAM Commercial Paper, Series 2009-B, 1.70% 11/7/2018   2,000    2,000 
State of Massachusetts, G.O. Rev. Anticipation Notes, Series 2018-A, 4.00% 4/25/2019   3,000    3,031 
State of Massachusetts, G.O. Rev. Anticipation Notes, Series 2018-C, 4.00% 6/20/2019   1,000    1,013 
State of New York, New York City G.O. Bonds, Series 2008-J-5, 1.70% 20281   1,500    1,500 
State of New York, New York City Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Fiscal 2008, Series 2007-BB-2, 1.30% 20351   1,500    1,500 
State of Texas, Gulf Coast Industrial Dev. Auth., Rev. Bonds (ExxonMobil Project), Series 2012, 1.68% 20411   1,000    1,000 
State of Texas, Tax and Rev. Anticipation Notes, Series 2018, 4.00% 8/29/2019   500    508 
State of Virginia, Freddie Mac Multi Family Certificates, Class A, Series 2018-M-046, (SIFMA Municipal Swap Index + 0.25%) 1.85% 20351   605    606 
State of Virginia, Small Business Fncg. Auth., Demand Rev. Ref. Bonds (Virginia State University Real Estate Foundation), Series 2008, Bank of America LOC, 1.70% 20301   500    500 
           
Total short-term securities (cost: $13,659,000)        13,658 
Total investment securities 101.29% (cost: $140,791,000)        139,470 
Other assets less liabilities (1.29%)        (1,783)
           
Net assets 100.00%       $137,687 

 

Futures contracts 

    Number of    Notional
amount
5  Value at
10/31/2018
6  Unrealized
(depreciation)
appreciation
at 10/31/2018
 
Contracts  Type  contracts   Expiration  (000)   (000)   (000) 
2 Year U.S. Treasury Note Futures  Long  32  January 2019  $6,400   $6,741   $(19)
5 Year U.S. Treasury Note Futures  Long  25  January 2019   2,500    2,809           3 
                      $(16)

 

40 Private Client Services Funds
 

Capital Group Short-Term Municipal Fund

 

1 Coupon rate may change periodically. For short-term securities, the date of the next scheduled coupon rate change is considered to be the maturity date.
2 Step bond; coupon rate may change at a later date.
3 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
4 Acquired in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $221,000, which represented .16% of the net assets of the fund.
5 Notional amount is calculated based on the number of contracts and notional contract size.
6 Value is calculated based on the notional amount and current market price.

 

Key to abbreviations and symbol

Agcy. = Agency

AMT = Alternative Minimum Tax

Auth. = Authority

Certs. of Part. = Certificates of Participation

Dept. = Department

Dev. = Development

Dist. = District

Econ. = Economic

Fac. = Facility

Facs. = Facilities

Fin. = Finance

Fncg. = Financing

G.O. = General Obligation

LIBOR = London Interbank Offered Rate

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

SIFMA = Securities Industry and Financial Markets Association

TECP = Tax-Exempt Commercial Paper

 

Private Client Services Funds 41
 

Capital Group California Core Municipal Fund

Investment portfolio October 31, 2018

 

Bonds, notes & other debt instruments 81.76%  Principal amount
(000)
   Value
(000)
 
California 78.57%          
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2013-A, 5.00% 2022  $975   $1,080 
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-A, 5.00% 2024   600    666 
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-A, 5.00% 2025   500    560 
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-A, Assured Guaranty Municipal insured, 4.00% 2021   500    519 
Alameda Unified School Dist., Capital Appreciation Bonds, Series 2004, Assured Guaranty Municipal insured, 0.00% 2024   3,500    3,009 
County of Alameda, Transportation Commission, Sales Tax Rev. Bonds, Series 2014, 4.00% 2019   950    957 
City of Alhambra, Insured Rev. Ref. Bonds (Atherton Baptist Homes Project), Series 2016, 5.00% 2027   630    701 
Alvord Unified School Dist., G.O. Rev. Ref. Bonds, Series 2018, Assured Guaranty Municipal insured, 5.00% 2025   800    929 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Insured Rev. Bonds (Casa de las Campanas, Inc.), Series 2010, 5.125% 2020   645    667 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Insured Rev. Bonds (Channing House), Series 2010, 5.25% 2020 (escrowed to maturity)   585    604 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Episcopal Senior Communities), Series 2012-B, 5.00% 2020   1,000    1,050 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Eskaton Properties Inc. Obligated Group), Series 2013, 5.00% 2020   1,430    1,506 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Eskaton Properties Inc. Obligated Group), Series 2013, 5.00% 2021   495    531 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Eskaton Properties Inc. Obligated Group), Series 2013, 5.00% 2022   1,000    1,088 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Eskaton Properties Inc. Obligated Group), Series 2013, 5.00% 2023   500    549 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Windemere Ranch Infrastructure Fncg. Program), Series 2014-A, 5.00% 2023   370    412 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Windemere Ranch Infrastructure Fncg. Program), Series 2014-A, 5.00% 2024   395    446 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Windemere Ranch Infrastructure Fncg. Program), Series 2014-A, 5.00% 2025   510    571 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2001-A, (SIFMA Municipal Swap Index + 1.25%) 2.85% 2036 (put 2027)1   1,000    1,039 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2006-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2045 (put 2023)1   2,800    2,862 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2007-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2047 (put 2023)1   1,500    1,533 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2008-B-1, (SIFMA Municipal Swap Index + 1.10%) 2.70% 2045 (put 2024)1   4,275    4,411 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2014-G, (SIFMA Municipal Swap Index + 0.60%) 2.20% 2034 (put 2020)1   1,000    1,004 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2017-D, (3-month USD-LIBOR x 0.70 + 0.55%) 2.23% 2045 (put 2021)1   1,000    1,005 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2017-G, 2.00% 2053 (put 2024)   4,525    4,389 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-C, 1.875% 2047 (put 2019)   1,000    1,000 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2017-S-7, 5.00% 2024   1,200    1,377 
Bay Area Water Supply and Conservation Agcy., Rev. Bonds, Series 2013-A, 5.00% 2023   500    561 
City of Beaumont, Wastewater Rev. Bonds, Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2026   500    591 
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-B-2, 4.00% 2049 (put 2021)   2,000    2,078 
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-B-3, 4.00% 2051 (put 2023)   2,500    2,674 
City of Carlsbad, Reassessment Dist. No. 2012-1, Limited Obligation Rev. Ref. Bonds, Series 2013, 3.55% 2023   350    359 
   
42 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
City of Cathedral City, Successor Agcy. to the Redev. Agcy., Tax Allocation Housing Rev. Ref. Bonds (Merged Redev. Project Area), Series 2014-B, Assured Guaranty Municipal insured, 5.00% 2024  $260   $297 
City of Cerritos, Public Fncg. Auth., Tax Allocation Rev. Bonds (Cerritos Redev. Projects), Series 2002-A, AMBAC insured, 5.00% 2019   2,000    2,025 
City of Cerritos, Public Fncg. Auth., Tax Allocation Rev. Bonds (Cerritos Redev. Projects), Series 2002-A, AMBAC insured, 5.00% 2024   600    607 
City of Chino, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-A, BAM insured, 5.00% 2022   450    495 
City of Chino, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-A, BAM insured, 5.00% 2025   665    744 
City of Chula Vista, Municipal Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2013, 5.00% 2020   910    957 
City of Chula Vista, Municipal Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2013, 5.00% 2021   535    574 
City of Chula Vista, Municipal Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2013, 5.00% 2022   1,355    1,482 
Compton Community College Dist., G.O. Rev. Ref. Bonds, Series 2014, BAM insured, 5.00% 2026   1,290    1,454 
Compton Unified School Dist., G.O. Rev. Ref. Bonds, 2002 Election, Series 2006-D, AMBAC insured, 0% 2021   3,000    2,830 
City of Concord, Successor Agcy. of the Redev. Agcy., Rev. Ref. Bonds, Series 2014, BAM insured, 5.00% 2023   825    915 
Contra Costa Transportation Auth., Sales Tax Rev. Ref. Bonds, Series 2018-A, (1-month USD-LIBOR x 0.70 + 0.25%) 1.829% 2034 (put 2021)1   5,525    5,521 
City of Desert Hot Springs, Successor Agcy. to the Redev. Agcy., Tax Allocation Ref. Bonds, Series 2017, BAM insured, 5.00% 2021   800    858 
Eastern Municipal Water Dist., Rev. Ref. Water and Wastewater Rev. Bonds, Series 2018-B, (1-month USD-LIBOR x 0.70 + 0.30%) 1.879% 2030 (put 2021)1   5,000    4,994 
Econ. Recovery Rev. Ref. Bonds, Series 2009-A, 5.25% 2021 (preref. 2019)   675    691 
Econ. Recovery Rev. Ref. Bonds, Series 2009-A, 5.25% 2021 (preref. 2019)   385    394 
Educational Facs. Auth., Rev. Bonds (California Institute of Technology), Series 2009, 5.00% 2039 (preref. 2019)   3,000    3,098 
Educational Facs. Auth., Rev. Bonds (Chapman University), Series 2011, 5.00% 2019   1,150    1,165 
Educational Facs. Auth., Rev. Bonds (Pitzer College), Series 2009, 5.50% 2029 (preref. 2020)   400    420 
Educational Facs. Auth., Rev. Bonds (Santa Clara University), Series 2010, 5.00% 2021 (preref. 2020)   550    572 
Educational Facs. Auth., Rev. Bonds (University of San Francisco), Series 2011, 5.00% 2021   355    385 
Educational Facs. Auth., Rev. Bonds (University of San Francisco), Series 2011, 5.00% 2021 (escrowed to maturity)   345    374 
Educational Facs. Auth., Rev. Bonds (University of the Pacific), Series 2012-A, 4.00% 2021   560    592 
Educational Facs. Auth., Rev. Bonds (University of the Pacific), Series 2012-A, 4.00% 2022   500    528 
Educational Facs. Auth., Rev. Ref. Bonds (Pomona College), Series 2009-A, 5.00% 2024 (preref. 2019)   100    101 
Educational Facs. Auth., Rev. Ref. Bonds (University of Redlands), Series 2015-A, 5.00% 2021   535    577 
City of El Centro, Fncg. Auth., Wastewater Rev. Ref. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2026   530    597 
City of El Centro, Fncg. Auth., Wastewater Rev. Ref. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2027   500    561 
City of El Centro, Fncg. Auth., Wastewater Rev. Ref. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2030   1,000    1,108 
County of El Dorado, Community Facs. Dist. No. 1992-1 (El Dorado Hills Dev.), Special Tax Rev. Ref. Bonds, Series 2012, 5.00% 2024   860    935 
City of Elk Grove, Fin. Auth., Special Tax Rev. Bonds, Series 2015, BAM insured, 5.00% 2025   580    665 
City of Eureka, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2017-B, 5.00% 2022   835    922 
City of Fillmore, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2015, BAM insured, 5.00% 2024   1,000    1,132 

 

Private Client Services Funds 43
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
City of Fontana, Community Facs. Dist. No. 22 (Sierra Hills South), Special Tax Bonds, Series 2014, 5.00% 2023  $535   $591 
Various Purpose G.O. Bonds, National insured, Series 1994, 6.00% 2020   5    5 
Various Purpose G.O. Bonds, Series 2017, 5.00% 2024   530    604 
Various Purpose G.O. Bonds, Series 2018, 5.00% 2026   2,000    2,316 
Various Purpose G.O. Rev. Ref. Bonds, Series 2015, 5.00% 2022   2,000    2,203 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2024   4,505    5,147 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2024   605    689 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2026   7,785    9,070 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2026   1,750    2,045 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2027   4,000    4,689 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2029   4,000    4,654 
City of Garden Grove, Successor Agcy. to the Dev. Agcy., Tax Allocation Bonds, Series 2016, BAM insured, 5.00% 2022   400    441 
City of Glendale, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (Central Glendale Redev. Project), Series 2016, BAM insured, 5.00% 2024   410    469 
Golden Empire Schools Fncg. Auth., Lease Rev. Ref. Bonds (Kern High School Dist. Projects), Series 2018, 4.00% 2020   1,500    1,546 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2005-A, AMBAC insured, 0% 2024   2,000    1,718 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2005-A, Assured Guaranty Municipal insured, 0% 2026   2,785    2,237 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2013-A, 5.00% 2021   2,000    2,146 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2017A-1, 5.00% 2022   1,730    1,880 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2018-A, 5.00% 2022   3,000    3,289 
Golden State Tobacco Securitization Corp., Tobacco Settlement Asset-Backed Bonds, Series 2017-A, 5.00% 2021   295    315 
Golden West Schools Fncg. Auth., G.O. Rev. Ref. Bonds, Series 1999-A, MBIA insured, 0% 2020   1,100    1,070 
City of Hawthorne, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2024   250    287 
Health Facs. Fncg. Auth., Insured Rev. Ref. Bonds (Marshall Medical Center), Series 2015, 5.00% 2022   175    195 
Health Facs. Fncg. Auth., Insured Rev. Ref. Bonds (Marshall Medical Center), Series 2015, 5.00% 2023   135    153 
Health Facs. Fncg. Auth., Rev. Bonds (Adventist Health System/West), Series 2013-A, 5.00% 2020   675    702 
Health Facs. Fncg. Auth., Rev. Bonds (Adventist Health System/West), Series 2013-A, 5.00% 2023   1,000    1,104 
Health Facs. Fncg. Auth., Rev. Bonds (Adventist Health System/West), Series 2013-A, 5.00% 2024   1,210    1,333 
Health Facs. Fncg. Auth., Rev. Bonds (Catholic Healthcare West), Series 2008-G, 5.50% 2025   95    95 
Health Facs. Fncg. Auth., Rev. Bonds (City of Hope), Series 2012-A, 5.00% 2021   350    379 
Health Facs. Fncg. Auth., Rev. Bonds (Lucile Salter Packard Children’s Hospital at Stanford), Series 2014-A, 5.00% 2025   400    452 
Health Facs. Fncg. Auth., Rev. Bonds (Providence St. Joseph Health), Series 2014-A, 5.00% 2019   525    540 
Health Facs. Fncg. Auth., Rev. Bonds (Scripps Health), Series 2012-A, 5.00% 2024   150    163 
Health Facs. Fncg. Auth., Rev. Bonds (Scripps Health), Series 2012-A, 5.00% 2025   375    407 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2016-A, 5.00% 2026   300    349 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2018A, 5.00% 2024   3,000    3,456 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2018-A, 5.00% 2025   3,105    3,627 
Health Facs. Fncg. Auth., Rev. Green Bonds (Kaiser Permanente), Series 2017-C, 5.00% 2031 (put 2022)   2,605    2,885 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Adventist Health), Series 2016-A, 4.00% 2025   1,255    1,355 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Catholic Healthcare West), Series 2011-A, 5.00% 2021   2,675    2,842 
   
44 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Lucile Salter Packard Children’s Hospital at Stanford), Series 2012-B, 4.00% 2019  $400   $407 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (St. Joseph Health System), Series 2013-C, 5.00% 2043 (put 2019)   1,750    1,796 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (St. Joseph Health System), Series 2013-D, 5.00% 2043 (put 2020)   250    264 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Stanford Health Care), Series 2017-A, 5.00% 2023   1,000    1,137 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Stanford Health Care), Series 2017-A, 5.00% 2024   1,000    1,156 
Hemet Unified School Dist., Fncg. Auth. Special Tax Rev. Bonds, Series 2015, 5.00% 2026   600    662 
Hemet Unified School Dist., G.O. Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2023   885    992 
Hemet Unified School Dist., G.O. Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2029   500    563 
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.25% 2025 (preref. 2018)   80    80 
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.25% 2025 (preref. 2018)   20    20 
Infrastructure and Econ. Dev. Bank, Rev. Bonds (The Colburn School), Series 2015-B, (SIFMA Municipal Swap Index + 1.20%) 2.80% 2037 (put 2022)1   1,000    1,023 
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (Academy of Sciences, San Francisco), Series 2018-C, (3-month USD-LIBOR x 0.70 + 0.38%) 1.976% 2047 (put 2021)1   4,000    3,999 
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (J. Paul Getty Trust), Series 2011-A-4, (3-month USD-LIBOR x 0.70 + 0.37%) 2.047% 2038 (put 2020)1   3,000    3,008 
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (Segerstrom Center for the Arts), Series 2017, 5.00% 2028   3,000    3,498 
City of Irvine, Reassessment Dist. No. 12-1, Limited Obligation Improvement Bonds, Series 2012, 3.00% 2020   1,250    1,270 
City of Irvine, Reassessment Dist. No. 12-1, Limited Obligation Improvement Bonds, Series 2012, 3.25% 2022   700    725 
City of Irvine, Reassessment Dist. No. 12-1, Limited Obligation Improvement Bonds, Series 2012, 4.00% 2022   400    426 
City of Irvine, Reassessment Dist. No. 13-1, Limited Obligation Improvement Bonds, Series 2013, 2.50% 2019   1,230    1,237 
City of Irvine, Reassessment Dist. No. 13-1, Limited Obligation Improvement Bonds, Series 2013, 3.375% 2023   850    887 
City of Irvine, Reassessment Dist. No. 15-1, Limited Obligation Improvement Bonds, Series 2015, 5.00% 2021   500    540 
Irvine Unified School Dist., Community Facs. Dist. No. 09-1, Special Tax Bonds, Series 2017-A, BAM insured, 5.00% 2021   1,280    1,368 
City of Jurupa, Public Fncg. Auth., Special Tax Rev. Bonds, Series 2014-A, 5.00% 2023   500    559 
City of Jurupa, Public Fncg. Auth., Special Tax Rev. Bonds, Series 2014-A, 5.00% 2029   710    787 
County of Kern, Water Agcy., Water Rev. Ref. Bonds (Improvement Dist. No. 4), Series 2016-A, Assured Guaranty Municipal insured, 5.00% 2022   2,810    3,089 
Kern Community College Dist., Capital Appreciation Bonds, 2002 Election, Series 2006, FSA insured, 0% 2022   1,500    1,361 
Kings Canyon Joint Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2029   1,600    1,817 
City of La Quinta, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (Redev. Project Area Nos. 1 and 2), Series 2013-A, 5.00% 2019   200    205 
City of La Quinta, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (Redev. Project Area Nos. 1 and 2), Series 2014-A, 4.00% 2019   500    509 
Lammersville Joint Unified School Dist., Special Tax Bonds, Community Facs. Dist. No. 2002, Series 2017, 4.00% 2022   680    710 
City of Lodi, Public Fin. Auth., Rev. Ref. Bonds, Series 2018, Assured Guaranty Muncipal insured, 5.00% 2024   260    297 
City of Long Beach, Bond Fin. Auth., Rev. Ref. Bonds (Aquarium of the Pacific Project), Series 2012, 4.00% 2020   750    780 
City of Long Beach, Bond Fin. Auth., Rev. Ref. Bonds (Aquarium of the Pacific Project), Series 2012, 5.00% 2021   520    563 

 

Private Client Services Funds 45
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
City of Long Beach, Harbor Rev. Bonds, Series 2010-A, AMT, 5.00% 2021  $100   $105 
City of Long Beach, Marina Rev. Bonds (Alamitos Bay Marina Project), Series 2015, 5.00% 2019   275    279 
City of Long Beach, Marina Rev. Bonds (Alamitos Bay Marina Project), Series 2015, 5.00% 2020   400    416 
City of Los Angeles, Community Facs. Dist. No. 4 (Playa Vista - Phase 1), Special Tax Rev. Ref. Bonds, Series 2014, 5.00% 2020   600    631 
City of Los Angeles, Community Facs. Dist. No. 4 (Playa Vista - Phase 1), Special Tax Rev. Ref. Bonds, Series 2014, 5.00% 2023   700    783 
City of Los Angeles, Dept. of Airports, Los Angeles International Airport, Rev. Bonds, Series 2009-A, 5.00% 2029   200    203 
County of Los Angeles, Cerritos Community College Dist., G.O. Bonds, 2004 Election, Series 2012-D, 0% 2027   830    632 
County of Los Angeles, Redev. Ref. Auth., Tax Allocation Rev. Ref. Bonds (South Gate Project No. 1), Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2022   1,190    1,308 
Los Angeles Unified School Dist. (County of Los Angeles), G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2026   2,500    2,931 
Los Angeles Unified School Dist., G.O. Bonds (Dedicated Unlimited Ad Valorem Property Tax Bonds), 2005 Election, Series 2018-B-1, 5.00% 2027   1,500    1,775 
Los Angeles Unified School Dist., G.O. Bonds (Dedicated Unlimited Ad Valorem Property Tax Bonds), Series 2016-B, 5.00% 2027   4,000    4,666 
Los Angeles Unified School Dist., G.O. Bonds, 2004 Election, Series 2009-I, 5.00% 2024   100    102 
Los Angeles Unified School Dist., G.O. Rev. Ref. Bonds (Dedicated Unlimited Ad Valorem Property Tax Bonds), Series 2016-A, 5.00% 2024   4,000    4,589 
Los Angeles Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2024   2,500    2,868 
Los Angeles Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2025   1,000    1,163 
M-S-R Public Power Agcy., Rev. Bonds (San Juan Project), Series 2018-R, 5.00% 2021   2,000    2,156 
Manhattan Beach Unified School Dist., G.O. Bonds, Series 1999-C, FGIC-National insured, 0% 2024   1,500    1,264 
Manteca Unified School Dist., Capital Appreciation Bonds, 2004 Election, Series 2006, MBIA insured, 0% 2027   560    433 
City of Merced, Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2015-A, Assured Guaranty Municipal insured, 5.00% 2022   500    551 
City of Merced, Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2015-A, Assured Guaranty Municipal insured, 5.00% 2028   250    285 
City of Modesto, Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2016, 5.00% 2022   750    831 
Montebello Unified School Dist., G.O. Rev. Ref. Bonds, Election 2004, Series 2013-A, 5.00% 2024   520    579 
Montebello Unified School Dist., G.O. Rev. Ref. Bonds, Series 2015, 5.00% 2028   1,545    1,738 
Montebello Unified School Dist., Rev. Bonds, Series 2016-A, 4.00% 2019   1,250    1,270 
Mountain View Shoreline Regional Park Community, Rev. Bonds, Series 2011-A, 5.00% 2019   420    430 
Municipal Fin. Auth. Rev. Bonds (Retirement Housing Foundation), Series 2017-A, 5.00% 2024   300    334 
Municipal Fin. Auth., Educational Rev. Bonds (American Heritage Education Foundation Project), Series 2016-A, 4.00% 2026   305    314 
Municipal Fin. Auth., Rev. Bonds (California Lutheran University), Series 2018, 5.00% 2026   300    342 
Municipal Fin. Auth., Rev. Bonds (University of La Verne), Series 2017-A, 5.00% 2023   750    833 
Municipal Fin. Auth., Rev. Ref. Bonds (Biola University), Series 2013, 5.00% 2022   470    516 
Municipal Fin. Auth., Rev. Ref. Bonds (Harbor Regional Center Project), Series 2015, 5.00% 2022   885    973 
Municipal Fin. Auth., Rev. Ref. Bonds (Harbor Regional Center Project), Series 2015, 5.00% 2025   500    573 
Murrieta Valley Unified School Dist., Public Fncg. Auth., Special Tax Rev. Bonds, Series 2016-A, 4.00% 2020   125    129 
Natomas Unified School Dist., G.O. Bonds, Series 2014, BAM insured, 5.00% 2021   500    539 
Northern California Power Agcy., Geothermal Project No. 3 Rev. Bonds, Series 2009-A, 5.50% 2021 (preref. 2019)   1,000    1,024 
Northern California Power Agcy., Hydroelectric Project No. 1 Rev. Ref. Bonds, Series 2010-A, 5.00% 2019   200    204 
Oakland Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2022   4,000    4,402 
   
46 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Oakland Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2023  $1,500   $1,683 
Ohlone Community College Dist., G.O. Ref. Bonds, Series 2012, 5.00% 2023   550    608 
Ohlone Community College Dist., G.O. Rev. Ref. Bonds, Series 2012, 5.00% 2024   1,000    1,104 
City of Orange, Community Facs. Dist. No. 91-2 (Serrano Heights Public Improvements), Special Tax Rev. Ref. Bonds, Series 2013, 4.00% 2020   385    399 
City of Orange, Community Facs. Dist. No. 91-2 (Serrano Heights Public Improvements), Special Tax Rev. Ref. Bonds, Series 2013, 4.00% 2021   1,485    1,558 
City of Oxnard, Bond Fin. Auth., Wastewater Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2024   250    287 
City of Oxnard, Fncg. Auth., Wastewater Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2021   750    809 
Palomar Health, G.O. Rev. Ref. Bonds, Series 2016-A, 5.00% 2026   630    721 
Paramount Unified School Dist., G.O. Bonds, 1998 Election, Series 2001-B, Assured Guaranty Municipal insured, 0% 2025   3,000    2,453 
City of Perris, Joint Powers Auth., Local Agcy. Rev. Ref. Bonds (CFD No. 2001-1 IA Nos. 4 and 5; CFD 2005-1 IA4), Series 2017-B, 3.00% 2021   895    904 
City of Perris, Joint Powers Auth., Local Agcy. Rev. Ref. Bonds (CFD No. 2001-1 IA Nos. 4 and 5; CFD 2005-1 IA4), Series 2017-B, 4.00% 2022   915    956 
Perris Union High School Dist., Fncg. Auth., Rev. Bonds, Series 2015, 5.00% 2024   1,000    1,113 
Poway Unified School Dist., Community Facs. Dist. No. 6 (4S Ranch), Special Tax Bonds, Series 2012, 5.00% 2020   595    625 
Poway Unified School Dist., Public Fncg. Auth., Special Tax Rev. Bonds, Series 2013, 4.00% 2022   440    468 
Poway Unified School Dist., Public Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2015-A, 5.00% 2022   850    924 
Poway Unified School Dist., Public Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2015-B, BAM insured, 5.00% 2022   500    548 
Public Fin. Auth., Electric System Rev. Ref. Bonds, Series 2018, Assured Guaranty Municipal insured, 5.00% 2023   730    819 
Public Fin. Auth., Rev. Bonds (Henry Mayo Newhall Memorial Hospital), Series 2017, Assured Guaranty Municipal insured, 5.00% 2023   500    556 
Public Works Board, Lease Rev. Bonds (Judicial Council of California, Various Judicial Council Projects), Series 2011-D, 5.00% 2022   1,225    1,335 
Public Works Board, Lease Rev. Ref. Bonds (Coalinga State Hospital Project), Series 2013-E, 5.00% 2023   3,575    3,997 
Public Works Board, Lease Rev. Ref. Bonds (Dept. of Corrections, Various State Prisons), Series 2015-A, 5.00% 2023   790    883 
Public Works Board, Lease Rev. Ref. Bonds (Dept. of Corrections, Various State Prisons), Series 2018-C, 5.00% 2026   1,000    1,168 
Public Works Board, Lease Rev. Ref. Bonds (Dept. of Education - Riverside Campus Projects), Series 2017-H, 5.00% 2026   1,780    2,065 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2016-C, 5.00% 2024   1,725    1,971 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2016-D, 5.00% 2028   5,000    5,780 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2017-B, 5.00% 2028   1,175    1,371 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2017-C, 5.00% 2026   4,060    4,706 
City of Rancho Cucamonga, Successor Agcy. to the Redev. Agcy., Rancho Redev. Project Area, Tax Allocation Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2028   300    339 
City of Rancho Cucamonga, Successor Agcy. to the Redev. Agcy., Rancho Redev. Project Area, Tax Allocation Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2026   600    684 
City of Richmond, Successor Agcy. to the Redev. Agcy., Rev. Ref. Bonds, Series 2014-A, BAM insured, 5.00% 2025   200    223 
Rio Elementary School Dist., Community Facs. Dist. No. 1, Special Tax Bonds, Series 2016, BAM insured, 5.00% 2032   240    267 
Rio Elementary School Dist., Community Facs. Dist. No. 1, Special Tax Ref. Bonds, Series 2014, 5.00% 2022   400    438 

 

Private Client Services Funds 47
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
City of Riverside, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-A, 5.00% 2021  $1,000   $1,085 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Bonds (Project Area No. 1, Desert Communities and Interstate 215 Corridor Projects), Series 2015-A, Assured Guaranty Municipal insured, 5.00% 2023   1,075    1,204 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Ref. Bonds (Desert Communities and Interstate 215 Corridor Projects), Series 2014-D, Assured Guaranty Municipal insured, 5.00% 2020   405    426 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Ref. Bonds (Desert Communities and Interstate 215 Corridor Projects), Series 2014-D, Assured Guaranty Municipal insured, 5.00% 2021   575    620 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Ref. Bonds (Hemet Project), Series 2014, BAM insured, 5.00% 2023   500    560 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Ref. Bonds (Interstate 215 Corridor Project), Series 2014-E, Assured Guaranty Municipal insured, 5.00% 2021   465    501 
Riverside Unified School Dist., Fncg. Auth., Rev. Bonds, Series 2012-A, 5.00% 2021   1,280    1,377 
Riverside Unified School Dist., Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2015, BAM insured, 5.00% 2025   350    396 
Riverside Unified School Dist., Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2015, BAM insured, 5.00% 2026   400    452 
City of Roseville, Westpark Community Facs. Dist. No. 1 (Public Facs.), Special Tax Rev. Ref. Bonds, Series 2015, 5.00% 2024   1,000    1,114 
City of Sacramento, Municipal Utility Dist., Electric Rev. Bonds, Series 1997-K, AMBAC insured, 5.25% 2024   1,000    1,123 
City of Sacramento, Regional Transit Dist., Farebox Rev. Bonds, Series 2012, 5.00% 2023   385    404 
San Bernardino Unified School Dist., G.O. Ref. Bonds, Series 2017-D, Assured Guaranty Municipal insured, 4.00% 2020   480    496 
San Bernardino Unified School Dist., G.O. Ref. Bonds, Series 2017-D, Assured Guaranty Municipal insured, 4.00% 2021   330    347 
City of San Diego, Limited Obligation Rev. Bonds (Sanford Burnham Prebys Medical Discovery Institute Project), Series 2015-A, 5.00% 2022   200    219 
City of San Diego, Public Facs. Fncg. Auth., Sewer Rev. Ref. Bonds, Series 2009-B, 5.00% 2022 (preref. 2019)   100    102 
County of San Diego, Regional Airport Auth., Airport Rev. Bonds, Series 2013-A, 5.00% 2023   225    255 
County of San Diego, Regional Transportation Commission, Limited Sales Tax Rev. Bonds, Series 2014-A, 5.00% 2021   500    537 
San Diego Community College Dist., G.O. Rev. Ref. Bonds, Series 2012, 5.00% 2024   1,000    1,107 
City and County of San Francisco, Redev. Agcy., Community Facs. Dist. No. 6, Special Tax Ref. Bonds (Mission Bay South Public Improvements), Series 2013-A, 5.00% 2020   800    840 
City and County of San Francisco, Redev. Agcy., Community Facs. Dist. No. 6, Special Tax Ref. Bonds (Mission Bay South Public Improvements), Series 2013-B, 3.25% 2021   500    510 
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2011-C, 5.25% 2019 (escrowed to maturity)   290    298 
City and County of San Francisco, Successor Agcy. to the Redev. Agcy., Special Tax Rev. Ref. Bonds (San Francisco Redev. Projects), Series 2014-C, 5.00% 2022   305    338 
City of San Jacinto, Community Facs. Dist. No. 2002-1 (Rancho San Jacinto, Phase 2), Special Tax Rev. Ref. Bonds, Series 2016, 4.00% 2021   1,310    1,364 
San Joaquin Delta Community College Dist., G.O Bonds, 2004 Election, Series 2018-D, 4.00% 2023   1,000    1,084 
San Joaquin Hills Transportation Corridor Agcy., Toll Road Rev. Ref. Bonds, Series 1997-A, National insured, 0% 2025   285    232 
City of San Jose, Redev. Agcy., Housing Set-Aside Tax Allocation Rev. Ref. Bonds (Merged Area Redev. Project), Series 2010-A-1, 5.00% 2022 (preref. 2020)   500    527 
San Jose Unified School Dist., G.O. Bonds, 2002 Election, Series 2006-C, National insured, 0% 2025   795    663 
San Jose Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2022   500    554 
San Jose Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2023   375    424 
San Jose Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2024   500    575 
San Jose Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2025   400    468 
   
48 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
San Mateo Joint Powers Fncg. Auth., Lease Rev. Ref. Bonds (Capital Projects), Series 2009-A, 5.25% 2023  $300   $311 
County of Santa Clara, Fncg. Auth., Lease Rev. Ref. Bonds (Valley Medical Center), Series 2008-A, 5.00% 2022   285    285 
Santa Margarita Water Dist., Community Facs. Dist. No. 99-1 (Talega), Special Tax Ref. Bonds, Series 2014-B, 5.00% 2022   310    338 
Santa Margarita Water Dist., Community Facs. Dist. No. 99-1 (Talega), Special Tax Ref. Bonds, Series 2014-B, 5.00% 2024   530    592 
Santa Margarita Water Dist., Community Facs. Dist. No. 99-1 (Talega), Special Tax Ref. Bonds, Series 2014-B, 5.00% 2025   375    416 
City of Santa Rosa, Wastewater Rev. Bonds, Series 2002-B, AMBAC insured, 0% 2021   2,000    1,877 
Community of Santaluz, Community Facs. Dist. No. 2, Improvement Area No. 1, Special Tax Ref. Bonds, Series 2011-A, 5.00% 2020   985    1,031 
Saugus Union School Dist., G.O. Rev. Ref. Bonds, Capital Appreciation Bonds, Series 2006, National insured, 0% 2024   1,210    1,040 
Saugus Union School Dist., Saugus/Hart School Facs. Fin. Auth., Community Facs. Dist. No. 2006-1, Special Tax Rev. Bonds, Series 2016, 5.00% 2025   1,110    1,236 
School Fin. Auth., School Fac. Rev. Bonds (KIPP LA Projects), Series 2014-A, 4.125% 2024   1,540    1,590 
School Fin. Auth., School Fac. Rev. Bonds (KIPP LA Projects), Series 2015-A, 3.625% 20252   1,000    1,014 
School Fin. Auth., School Fac. Rev. Bonds (KIPP LA Projects), Series 2017-A, 4.00% 20192   225    228 
School Fin. Auth., School Fac. Rev. Bonds (KIPP LA Projects), Series 2017-A, 5.00% 20242   435    484 
School Fin. Auth., School Fac. Rev. Bonds (KIPP LA Projects), Series 2017-A, 5.00% 20262   180    203 
City of Seal Beach, Community Facs. Dist. No. 2005-1 (Pacific Gateway Business Center), Special Tax Rev. Ref. Bonds, Series 2016, 3.00% 2023   150    152 
City of Seal Beach, Community Facs. Dist. No. 2005-1 (Pacific Gateway Business Center), Special Tax Rev. Ref. Bonds, Series 2016, 3.00% 2024   145    146 
City of Seal Beach, Community Facs. Dist. No. 2005-1 (Pacific Gateway Business Center), Special Tax Rev. Ref. Bonds, Series 2016, 3.00% 2025   365    362 
City of Seal Beach, Community Facs. Dist. No. 2005-1 (Pacific Gateway Business Center), Special Tax Rev. Ref. Bonds, Series 2016, 3.00% 2026   150    146 
City of Signal Hill, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2015-A, BAM insured, 5.00% 2021   250    270 
City of Signal Hill, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2015-A, BAM insured, 5.00% 2023   500    560 
Solano Community College Dist., G.O. Ref. Bonds, National insured, Series 2005, 0% 2021   2,680    2,521 
Solano Community College Dist., G.O. Rev. Ref. Bonds, Series 2015, 0% 2025 (5.00% on 8/1/2023)3   700    639 
Southern California Public Power Auth., Rev. Ref. Bonds (Canyon Power Project), Series 2018-B, (SIFMA Municipal Swap Index + 0.25%) 1.85% 2040 (put 2021)1   2,625    2,622 
Southern California Public Power Auth., Rev. Bonds (Mead-Adelanto Project), Series 2012-A, 5.00% 2019   1,000    1,022 
Southern California Public Power Auth., Rev. Bonds (Southern Transmission Project), Series 2009-A, 5.00% 2023   10    10 
Southern California Public Power Auth., Rev. Bonds (Southern Transmission Project), Series 2009-A, 5.00% 2023 (preref. 2019)   90    90 
Southern California Public Power Auth., Rev. Ref. Bonds (Magnolia Power Project A), Series 2017-1, 2.00% 2036 (put 2020)   1,000    996 
Statewide Communities Dev. Auth., Insured Rev. Bonds (Viamonte Senior Living 1 Project), Series 2018-B, 3.00% 2025   1,000    1,009 
Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2006-A, 1.90% 2028   2,000    1,979 
Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2006-C, 2.63% 2033 (put 2023)   3,250    3,199 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System/West), Series 2015-A, 5.00% 2025   750    862 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System/West), Series 2015-A, 5.00% 2028   2,085    2,384 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System/West), Series 2018-A, 5.00% 2034   975    1,106 

 

Private Client Services Funds 49
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
Statewide Communities Dev. Auth., Rev. Bonds (American Baptist Homes of the West), Series 2015, 5.00% 2021  $1,100   $1,174 
Statewide Communities Dev. Auth., Rev. Bonds (American Baptist Homes of the West), Series 2015, 5.00% 2023   1,100    1,207 
Statewide Communities Dev. Auth., Rev. Bonds (Cottage Health System Obligated Group), Series 2010, 5.00% 2019   1,000    1,029 
Statewide Communities Dev. Auth., Rev. Bonds (Henry Mayo Newhall Memorial Hospital), Series 2014, Assured Guaranty Municipal insured, 5.00% 2022   750    821 
Statewide Communities Dev. Auth., Rev. Bonds (Jewish Home of San Francisco), Series 2016, 5.00% 2026   575    677 
Statewide Communities Dev. Auth., Rev. Bonds (John Muir Health), Series 2009-A, 4.625% 07-01-21 (preref. 2019)   100    102 
Statewide Communities Dev. Auth., Rev. Bonds (Kaiser Permanente), Series 2009-A, 5.00% 2019   600    608 
Statewide Communities Dev. Auth., Rev. Ref. Bonds (Episcopal Communities and Services), Series 2012, 5.00% 2019   600    610 
Statewide Communities Dev. Auth., Rev. Ref. Bonds (Episcopal Communities and Services), Series 2012, 5.00% 2024   300    325 
Statewide Communities Dev. Auth., Rev. Ref. Bonds (Huntington Memorial Hospital), Series 2014-B, 5.00% 2021   1,650    1,767 
Statewide Communities Dev. Auth., Student Housing Rev. Ref. Bonds (University of California, Irvine East Campus Apartments, CHF-Irvine, LLC, Phase I), Series 2011, 5.00% 2019   1,000    1,016 
City of Stockton, Public Fncg. Auth., Wastewater Rev. Ref. Bonds (1998 Wastewater Project and 2003 Wastewater Project), Series 2014, BAM insured, 5.00% 2021   750    811 
City of Suisun, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-B, BAM insured, 5.00% 2022   400    441 
City of Tracy, Successor Agcy. to the Community Dev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2030   545    616 
Tuolumne Wind Project Auth., Rev. Bonds (Tuolumne Co. Project), Series 2009-A, 5.00% 2022 (preref. 2019)   1,500    1,508 
Tuolumne Wind Project Auth., Rev. Bonds (Tuolumne Co. Project), Series 2009-A, 5.25% 2024 (preref. 2019)   100    101 
City of Tustin, Community Facs. Dist. No. 06-1, Special Tax Rev. Ref. Bonds (Tustin Legacy/Columbus Villages), Series 2015-A, 5.00% 2024   860    980 
Tustin Unified School Dist., Community Facs. Dist. No. 88-1, Special Tax Rev. Ref. Bonds, Series 2015, BAM insured, 5.00% 2022   830    912 
Twin Rivers Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 5.00% 2024   400    456 
Ukiah Unified School Dist., G.O. Bonds, Capital Appreciation Bonds, 2005 Election, Series 2006, National insured, 0% 2022   175    160 
City of Union City, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015-A, 5.00% 2023   375    424 
Regents of the University of California, General Rev. Bonds, Series 2016-AT, 1.40% 2046 (put 2021)   2,505    2,439 
Regents of the University of California, Limited Project Rev. Bonds, Series 2010-E, 5.00% 2020   500    524 
Val Verde Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016-A, Assured Guaranty Municipal insured, 4.00% 2021   250    262 
Val Verde Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016-A, Assured Guaranty Municipal insured, 4.00% 2023   600    644 
Dept. of Veterans Affairs, Home Purchase Rev. Bonds, Series 2016-B, 3.50% 2045   1,900    1,942 
Dept. of Veterans Affairs, Home Purchase Rev. Ref. Bonds, Series 2012-A, 2.75% 2020   750    759 
Dept. of Veterans Affairs, Veterans G.O. Bonds, Series 2018-CR, 4.00% 2048   6,000    6,337 
Dept. of Veterans Affairs, Veterans G.O. Rev. Ref. Bonds, Series 2015-CM, 1.35% 2019   1,125    1,117 
Dept. of Veterans Affairs, Veterans G.O. Rev. Ref. Bonds, Series 2016-CN, 3.50% 2045   1,110    1,132 
Victor Valley Union High School Dist., G.O. Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 4.00% 2024   575    624 
Victor Valley Union High School Dist., G.O. Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 4.00% 2026   270    297 
   
50 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
City of Vista, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015-B-1, Assured Guaranty Municipal insured, 4.00% 2025  $400   $435 
City of Vista, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015-B-1, Assured Guaranty Municipal insured, 5.00% 2022   340    374 
Washington Township Health Care Dist., Rev. Bonds, Series 2017-A, 4.00% 2021   490    507 
Dept. of Water Resources, Power Supply Rev. Ref. Bonds, Series 2010-L, 5.00% 2021   75    78 
Dept. of Water Resources, Power Supply Rev. Ref. Bonds, Series 2010-L, 5.00% 2021 (preref. 2020)   125    131 
West Contra Costa Unified School Dist., G.O. Rev. Ref. Bonds, 2005 Election, Series 2008-B, 6.00% 2027   3,000    3,812 
Western Placer Unified School Dist., G.O. Bonds, 2014 Election, Series 2017-B, BAM insured, 5.00% 2021   490    530 
         355,025 
           
Guam 1.21%          
A.B. Won Pat International Airport Auth., General Rev. Bonds, Series 2013-A, 5.00% 2021   350    367 
A.B. Won Pat International Airport Auth., General Rev. Bonds, Series 2013-A, 5.00% 2022   710    753 
A.B. Won Pat International Airport Auth., General Rev. Bonds, Series 2013-B, 5.00% 2023   1,100    1,155 
Business Privilege Tax Bonds, Series 2011-A, 5.00% 2026   1,430    1,498 
Business Privilege Tax Rev. Ref. Bonds, Series 2015-D, 5.00% 2025   1,525    1,686 
         5,459 
           
Iowa 0.02%          
IJOBS Program Special Obligation Bonds, Series 2009-A, 5.00% 2027 (preref. 2019)   100    102 
           
Michigan 0.02%          
Hospital Fin. Auth., Hospital Rev. and Rev. Ref. Bonds (Henry Ford Health System), Series 2009, 5.25% 2024 (preref. 2019)   100    103 
           
Missouri 0.05%          
Housing Dev. Commission, Single Family Mortgage Rev. Bonds (Special Homeownership Loan Program), Series 2015-A, 3.75% 2038   215    221 
           
Nevada 0.89%          
Clark County School Dist., Limited Tax G.O. Building Bonds, Series 2018-A, 5.00% 2029   3,540    4,011 
           
Puerto Rico 1.00%          
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Higher Education Rev. and Rev. Ref. Bonds (Inter American University of Puerto Rico Project), Series 2012, 5.00% 2019   500    506 
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Higher Education Rev. and Rev. Ref. Bonds (Inter American University of Puerto Rico Project), Series 2012, 5.00% 2021   1,000    1,030 
Infrastructure Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2005-C, 5.50% 2020   2,860    2,999 
         4,535 
           
Total bonds, notes & other debt instruments (cost: $372,014,000)        369,456 
           
Short-term securities 17.71%          
State of California, IAM Commercial Paper, Series 2018-A-1, 1.68% 11/26/2018   2,000    2,000 
State of California, Fin. Auth., Recovery Zone Fac. Bonds (Chevron U.S.A. Inc. Project), Series 2010-A, 1.43% 20351   7,500    7,500 
State of California, County of Los Angeles, Capital Asset Leasing Corp., IAM Commercial Paper, Series 2018-B, 1.74% 1/8/2019   4,900    4,900 
State of California, County of Los Angeles, Tax and Rev. Anticipation Notes, Series 2018, 4.00% 6/28/2019   3,000    3,042 

 

Private Client Services Funds 51
 

Capital Group California Core Municipal Fund

 

Short-term securities (continued)  Principal amount
(000)
   Value
(000)
 
State of California, Metropolitan Water Dist. of Southern California, Water Rev. Ref. Bonds, Series 2016-B-1, 1.34% 20371  $1,500   $1,500 
State of California, Metropolitan Water Dist. of Southern California, Water Rev. Ref. Bonds, Series 2016-B-2, 1.36% 20371   1,000    1,000 
State of California, Municipal Fin. Auth., Pollution Control Rev. Ref. Bonds (Chevron U.S.A. Inc. Project), Series 2005, 1.43% 20251   3,000    3,000 
State of California, Pollution Control Fncg. Auth., Environmental Impact Rev. Bonds (Air Products and Chemicals, Inc. Project), Series 1997-B, 1.49% 20421   10,000    10,000 
State of California, Pollution Control Fncg. Auth., Solid Waste Disposal Rev. Ref. Bonds (Republic Services, Inc. Project), Series 2010-B, 2.00% 2024 (put 2019)2,4   5,155    5,155 
State of California, County of Riverside, Tax and Rev. Anticipation Notes, Series 2018, 4.00% 6/28/2019   3,000    3,044 
State of California, San Diego Public Water Facs. Fin. Auth., IAM Commercial Paper, Series 2018-B, 1.65% 11/1/2018   1,300    1,300 
State of California, Statewide Communities Dev. Auth., IAM Commercial Paper, Series 2008-B, 1.75% 1/4/2019   6,000    6,000 
State of California, Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Chevron U.S.A. Inc. Project), Series 2002, 1.43% 20241   4,000    4,000 
State of California, Regents of the University of California, General Rev. Bonds, Series 2013-AL-1, 1.35% 20481   4,550    4,550 
State of California, Regents of the University of California, IAM Commercial Paper, Series 2018-A, 1.69% 11/6/2018   2,000    2,000 
State of California, County of Ventura, Tax and Rev. Anticipation Notes, Series 2018, 2.50% 7/1/2019   5,000    5,024 
State of California, Dept. of Water Resources, IAM Commercial Paper, Series 2018, 1.68% 11/5/2018   3,890    3,890 
State of California, Dept. of Water Resources, IAM Commercial Paper, Series 2018, 1.70% 11/2/2018   12,104    12,104 
           
Total short-term securities (cost: $80,028,000)        80,009 
Total investment securities 99.47% (cost: $452,042,000)        449,465 
Other assets less liabilities 0.53%        2,400 
           
Net assets 100.00%       $451,865 

 

Futures contracts

 

    Number of     Notional
amount
5 Value at
10/31/2018
6 Unrealized
appreciation
at 10/31/2018
Contracts  Type  contracts  Expiration  (000)  (000)  (000)
5 Year U.S. Treasury Note Futures  Long  100  January 2019  $10,000  $11,238  $14

 

1 Coupon rate may change periodically. For short-term securities, the date of the next scheduled coupon rate change is considered to be the maturity date.
2 Acquired in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $7,084,000, which represented 1.57% of the net assets of the fund.
3 Step bond; coupon rate may change at a later date.
4 For short-term securities, the mandatory put date is considered to be the maturity date.
5 Notional amount is calculated based on the number of contracts and notional contract size.
6 Value is calculated based on the notional amount and current market price.

 

52 Private Client Services Funds
 

Capital Group California Core Municipal Fund

 

Key to abbreviations and symbol

Agcy. = Agency
AMT = Alternative Minimum Tax
Auth. = Authority
Certs. of Part. = Certificates of Participation
Dept. = Department
Dev. = Development
Dist. = District
Econ. = Economic
Fac. = Facility
Facs. = Facilities
Fin. = Finance
Fncg. = Financing
G.O. = General Obligation
LIBOR = London Interbank Offered Rate
LOC = Letter of Credit
Preref. = Prerefunded
Redev. = Redevelopment
Ref. = Refunding
Rev. = Revenue
SIFMA = Securities Industry and Financial Markets Association
TECP = Tax-Exempt Commercial Paper

 

Private Client Services Funds 53
 

Capital Group California Short-Term Municipal Fund

Investment portfolio October 31, 2018

 

Bonds, notes & other debt instruments 86.45%  Principal amount
(000)
   Value
(000)
 
California 85.95%          
City of Alhambra, Insured Rev. Ref. Bonds (Atherton Baptist Homes Project), Series 2016, 5.00% 2023  $450   $489 
Alvord Unified School Dist., G.O. Rev. Ref. Bonds, Series 2018, Assured Guaranty Municipal insured, 5.00% 2022   500    551 
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Rev. Ref. Bonds (Windemere Ranch Infrastructure Fncg. Program), Series 2014-A, 4.00% 2019   515    524 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2001-A, (SIFMA Municipal Swap Index + 1.25%) 2.85% 2036 (put 2027)1   1,000    1,039 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2006-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2045 (put 2023)1   575    588 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2007-C-1, (SIFMA Municipal Swap Index + 0.90%) 2.50% 2047 (put 2023)1   250    256 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2007-E-3, (SIFMA Municipal Swap Index + 0.70%) 2.30% 2047 (put 2019)1   1,230    1,233 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2014-G, (SIFMA Municipal Swap Index + 0.60%) 2.20% 2034 (put 2020)1   250    251 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Bonds, Series 2014-H, (SIFMA Municipal Swap Index + 0.70%) 2.30% 2034 (put 2021)1   250    253 
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-C, 1.875% 2047 (put 2019)   500    500 
City of Beaumont, Wastewater Rev. Bonds, Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2022   225    249 
City of Brea, Successor Agcy. to the Redev. Agcy. (Redev. Project AB), Tax Allocation Rev. Ref. Bonds, Series 2013, 5.00% 2019   700    717 
City of Burbank, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015, BAM insured, 4.00% 2018   500    501 
City of Burbank, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015, BAM insured, 5.00% 2022   500    556 
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-B-3, 4.00% 2051 (put 2023)   1,550    1,658 
Trustees of the California State University, Systemwide Rev. Ref. Bonds, Series 2013-A, 5.00% 2018   275    275 
City of Chino, Public Fncg. Auth., Local Agcy. Rev. Ref. Bonds, Series 2015-A, Assured Guaranty Municipal insured, 4.00% 2021   655    684 
Compton Unified School Dist., G.O. Rev. Ref. Bonds, 2002 Election, Series 2006-D, AMBAC insured, 0% 2021   1,000    943 
Contra Costa Transportation Auth., Sales Tax Rev. Ref. Bonds, Series 2018-A, (1-month USD-LIBOR x 0.70 + 0.25%) 1.829% 2034 (put 2021)1   2,000    1,998 
Eastern Municipal Water Dist., Rev. Ref. Water and Wastewater Rev. Bonds, Series 2018-B, (1-month USD-LIBOR x 0.70 + 0.30%) 1.879% 2030 (put 2021)1   1,500    1,498 
City of Emeryville, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2019   950    974 
City of Fillmore, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2015, BAM insured, 4.00% 2019   400    405 
Fresno Joint Powers Fin. Auth., Rev. Ref. Bonds (Master Lease Projects), Series 2017-A, 5.00% 2020   1,000    1,038 
Fresno Joint Powers Fin. Auth., Rev. Ref. Bonds (Master Lease Projects), Series 2017-A, Assured Guaranty Municipal insured, 5.00% 2022   1,350    1,469 
Various Purpose G.O. Bonds, Series 2013, (SIFMA Municipal Swap Index + 0.38%) 1.98% 2027 (put 2027)1   1,600    1,604 
Various Purpose G.O. Bonds, Series 2013-E, (1-month USD-LIBOR + 0.83%) 2.412% 20291   500    500 
Various Purpose G.O. Bonds, Series 2017, 4.00% 2021   490    518 
Various Purpose G.O. Rev. Ref. Bonds, Series 2015, 5.00% 2021   500    540 
Various Purpose G.O. Rev. Ref. Bonds, Series 2015, 5.00% 2022   805    887 
Various Purpose G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2029   1,000    1,164 
City of Glendale, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (Central Glendale Redev. Project), Series 2013, Assured Guaranty Municipal insured, 4.00% 2019   600    614 
Golden Empire Schools Fncg. Auth., Lease Rev. Ref. Bonds (Kern High School Dist. Projects), Series 2018, 3.00% 2019   1,000    1,006 
   
54 Private Client Services Funds
 

Capital Group California Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2005-A, 5.00% 2019  $1,000   $1,018 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2013-A, 5.00% 2019   500    509 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2015-A, 5.00% 2020   1,735    1,816 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2015-A, 5.00% 2021   500    537 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2017A-1, 5.00% 2022   1,500    1,630 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2017-A-1, 5.00% 2020   1,360    1,420 
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-Backed Bonds, Series 2018-A, 5.00% 2022   1,000    1,096 
Hacienda La Puente Unified School Dist., Facs. Fncg. Auth., G.O. Rev. Bonds, Series 2007, Assured Guaranty Municipal insured, 5.00% 2021   590    638 
City of Hawthorne, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2021   300    325 
Health Facs. Fncg. Auth., Insured Rev. Ref. Bonds (Marshall Medical Center), Series 2015, 5.00% 2019   200    206 
Health Facs. Fncg. Auth., Insured Rev. Ref. Bonds (Marshall Medical Center), Series 2015, 5.00% 2020   150    158 
Health Facs. Fncg. Auth., Rev. Bonds (Adventist Health System/West), Series 2013-A, 4.00% 2019   500    504 
Health Facs. Fncg. Auth., Rev. Bonds (Catholic Healthcare West), Series 2009-A, 6.00% 2029 (preref. 2019)   1,000    1,028 
Health Facs. Fncg. Auth., Rev. Bonds (City of Hope), Series 2012-A, 5.00% 2019   300    309 
Health Facs. Fncg. Auth., Rev. Bonds (Providence St. Joseph Health), Series 2014-A, 5.00% 2019   525    540 
Health Facs. Fncg. Auth., Rev. Bonds (Providence St. Joseph Health), Series 2016-A, 5.00% 2022   300    333 
Health Facs. Fncg. Auth., Rev. Bonds (Providence St. Joseph Health), Series 2016-B-1, 1.25% 2036 (put 2020)   1,210    1,191 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2016-A, 5.00% 2022   200    222 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2016-C, 1.00% 2053 (put 2019)   110    109 
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2018-A, 5.00% 2023   1,000    1,134 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Adventist Health System/West), Series 2016-A, 4.00% 2022   330    347 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Catholic Healthcare West), Series 2011-A, 5.00% 2020   695    721 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Paradise Valley Estates Project), Series 2013, 5.00% 2019   500    503 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (St. Joseph Health System), Series 2009-D, 1.70% 2033 (put 2022)   650    638 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (St. Joseph Health System), Series 2013-D, 5.00% 2043 (put 2020)   600    633 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Stanford Health Care), Series 2017-A, 5.00% 2021   500    545 
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Stanford Health Care), Series 2017-A, 5.00% 2022   500    557 
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2011-C, 5.00% 2018 (escrowed to maturity)   425    425 
Infrastructure and Econ. Dev. Bank, Rev. Bonds (Academy of Sciences), Series 2018-B, 1.976% 20471   1,000    1,000 
Infrastructure and Econ. Dev. Bank, Rev. Bonds (Stanford Consortium Project), Series 2016-A, 5.00% 2021   235    253 
Infrastructure and Econ. Dev. Bank, Rev. Bonds (Stanford Consortium Project), Series 2016-A, 5.00% 2022   265    292 
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (J. Paul Getty Trust), Series 2011-A-4, (3-month USD-LIBOR x 0.70 + 0.37%) 2.047% 2038 (put 2020)1   1,500    1,504 

 

Private Client Services Funds 55
 

Capital Group California Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
City of Irvine, Reassessment Dist. No. 15-1, Limited Obligation Improvement Bonds, Series 2015, 4.00% 2019  $300   $305 
City of Irvine, Reassessment Dist. No. 15-1, Limited Obligation Improvement Bonds, Series 2015, 5.00% 2021   500    540 
County of Kern, Water Agcy., Improvement Dist. No. 4, Water Rev. Ref. Bonds, Series 2016-A, Assured Guaranty Municipal insured, 4.00% 2020   700    723 
Kern High School Dist., G.O. Bonds, 2016 Election, Series 2017-A, 4.00% 2021   1,500    1,584 
Kings Canyon Joint Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2022   470    517 
Lammersville Joint Unified School Dist., Special Tax Bonds, Community Facs. Dist. No. 2002, Series 2017, 4.00% 2021   525    544 
City of Long Beach, Harbor Rev. Bonds, Series 2014-C, 3.00% 2018 (escrowed to maturity)   1,425    1,426 
Long Beach Community College Dist., G.O. Bonds, 2016 Election, Series 2016-B, 4.00% 2019   300    305 
City of Los Angeles, Dept. of Airports, Los Angeles International Airport, Rev. Bonds, Series 2009-A, 5.00% 2021   400    406 
City of Los Angeles, Dept. of Airports, Los Angeles International Airport, Rev. Bonds, Series 2015-C, 5.00% 2021   400    431 
City of Los Angeles, Dept. of Water and Power, Power System Rev. Bonds, Series 2018-B, 5.00% 2022   1,000    1,095 
City of Los Angeles, Multi Family Housing Rev. Bonds (Jordan Downs Phase 1B Apartments), Series 2018-A-2, 2.08% 2022 (put 2021)   1,000    994 
County of Los Angeles, Redev. Ref. Auth., Tax Allocation Rev. Ref. Bonds (Bunker Hill Project), Series 2014-C, Assured Guaranty Municipal insured, 5.00% 2018   1,100    1,103 
County of Los Angeles, Redev. Ref. Auth., Tax Allocation Rev. Ref. Bonds (Bunker Hill Project), Series 2014-C, Assured Guaranty Municipal insured, 5.00% 2019   700    722 
M-S-R Public Power Agcy., Rev. Bonds (San Juan Project), Series 2018-R, 4.00% 2020   1,000    1,034 
Mammoth Unified School Dist., G.O. Bonds, Capital Appreciation Bonds, 1998 Election, Series 2000, AMBAC insured, 0% 2023   1,000    887 
Menifee Union School Dist., Public Fncg. Auth., Special Tax Rev. Bonds, Series 2016-A, BAM insured, 4.00% 2022   250    262 
City of Merced, Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2015-A, Assured Guaranty Municipal insured, 4.00% 2019   600    612 
City of Modesto, Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2016, 5.00% 2022   250    277 
Montebello Unified School Dist., Rev. Bonds, Series 2016-A, 4.00% 2019   250    254 
Murrieta Valley Unified School Dist., G.O. Bonds, Series 1998-A, FGIC-National insured, 0% 2020   1,080    1,037 
Oakland Unified School Dist., G.O. Rev. Ref. Bonds, Series 2015, Assured Guaranty Municipal insured, 5.00% 2021   385    415 
Oakland Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017, 5.00% 2022   1,500    1,651 
Oakland Unified School Dist., G.O. Rev. Ref. Bonds, Series 2017-A, 5.00% 2023   500    561 
City of Orange, Successor Agcy. to the Redev. Agcy., Rev. Ref. Bonds (Orange Merged and Amended Redev. Project Area), Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2019   200    205 
City of Oxnard, Fncg. Auth., Wastewater Rev. Ref. Bonds, Series 2014, Assured Guaranty Municipal insured, 5.00% 2021   350    378 
Palomar Health, G.O. Rev. Ref. Bonds, Series 2016-A, 4.00% 2020   1,235    1,279 
Public Works Board, Lease Rev. Bonds (Dept. of Corrections and Rehabilitation), Series 2011-C, 5.00% 2021   720    779 
Public Works Board, Lease Rev. Bonds (Judicial Council of California, Various Judicial Council Projects), Series 2013-A, 4.00% 2019   500    504 
Public Works Board, Lease Rev. Bonds (Various Capital Projects), Series 2014-E, 5.00% 2022   500    551 
Public Works Board, Lease Rev. Ref. Bonds (Dept. of Corrections, Various State Prisons), Series 2015-A, 5.00% 2023   1,860    2,080 
Public Works Board, Lease Rev. Ref. Bonds (Dept. of Corrections, Various State Prisons), Series 2018-C, 5.00% 2025   500    578 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2014-H, 5.00% 2020   1,000    1,060 
   
56 Private Client Services Funds
 

Capital Group California Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Public Works Board, Lease Rev. Ref. Bonds (Various Capital Projects), Series 2016-C, 5.00% 2021  $1,000   $1,083 
City of Rancho Cucamonga, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (Rancho Redev. Project Area), Series 2014, Assured Guaranty Municipal insured, 5.00% 2019   630    646 
City of Rancho Mirage, Successor Agcy. to the Redev. Agcy., Tax Allocation Housing Ref. Bonds, Series 2013-A, 5.00% 2021   1,000    1,071 
City of Rancho Santa Fe, Community Services Dist., Rev. Bonds, Series 2016-A, BAM insured, 3.00% 2019   505    509 
City of Redding, Electric System Rev. Ref. Bonds, Series 2017, 5.00% 2021   800    862 
City of Riverside, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-A, 5.00% 2019   850    873 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Bonds (Project Area No. 1, Desert Communities and Interstate 215 Corridor Projects), Series 2014-D, Assured Guaranty Municipal insured, 5.00% 2019   275    283 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Bonds (Project Area No. 1, Desert Communities and Interstate 215 Corridor Projects), Series 2015-A, 5.00% 2019   110    113 
County of Riverside, Public Fncg. Auth., Tax Allocation Rev. Ref. Bonds (Interstate 215 Corridor Project), Series 2014-E, Assured Guaranty Municipal insured, 5.00% 2019   100    103 
Riverside Unified School Dist., Fncg. Auth., Special Tax Rev. Ref. Bonds, Series 2015, BAM insured, 5.00% 2021   285    307 
City of Roseville, Fin. Auth., Special Tax Rev. Ref. Bonds, Series 2016, 4.00% 2021   450    471 
City of Roseville, Fin. Auth., Special Tax Rev. Ref. Bonds, Series 2016, 4.00% 2022   620    658 
City of Sacramento, Municipal Utility Dist., Electric Rev. Bonds, Series 1997-K, AMBAC insured, 5.25% 2024   150    168 
County of Sacramento, Airport System Rev. Ref. Bonds, Series 2018-B, 5.00% 2021   1,000    1,078 
City of San Diego, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2016-A, 5.00% 2021   365    396 
San Diego Unified School Dist., G.O. Bonds, 2008 Election, Series 2017-K-1, 5.00% 2019   500    511 
City and County of San Francisco, Airport Commission, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2009-D, 4.00% 2023   400    433 
City and County of San Francisco, Public Utilities Commission, Wastewater Rev. Green Bonds, Series 2018-C, 2.125% 2048 (put 2023)   1,000    991 
City and County of San Francisco, Successor Agcy. to the Redev. Agcy., Special Tax Rev. Ref. Bonds (San Francisco Redev. Projects), Series 2014-C, 5.00% 2020   500    527 
City and County of San Francisco, Successor Agcy. to the Redev. Agcy., Special Tax Rev. Ref. Bonds (San Francisco Redev. Projects), Series 2014-C, 5.00% 2022   250    277 
San Jose Unified School Dist., G.O. Rev. Ref. Bonds, Series 2013, 4.00% 2019   475    483 
San Leandro Unified School Dist., G.O. Bonds, Series 2017-A, BAM insured, 5.00% 2020   700    736 
City of San Ramon, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2015-A, BAM insured, 5.00% 2021   340    361 
City of Santa Rosa, High School Dist., G.O. Bonds, 2014 Election, Series 2018-C, Assured Guaranty Municipal insured, 4.00% 2020   750    777 
Southern California Public Power Auth., Rev. Ref. Bonds (Canyon Power Project), Series 2018-B, (SIFMA Municipal Swap Index + 0.25%) 1.85% 2040 (put 2021)1   1,750    1,748 
Southern California Public Power Auth., Rev. Bonds (Mead-Adelanto Project), Series 2012-A, 5.00% 2019   600    613 
Southern California Public Power Auth., Rev. Ref. Bonds (Magnolia Power Project A), Series 2017-1, 2.00% 2036 (put 2020)   925    921 
Southwestern Community College Dist., G.O. Rev. Ref. Bonds (2019 Crossover), Series 2016-A, 3.00% 2021   200    205 
Southwestern Community College Dist., G.O. Rev. Ref. Bonds (2019 Crossover), Series 2016-B, 4.00% 2022   310    331 
Statewide Communities Dev. Auth., Insured Rev. Bonds (Redwoods, a Community of Seniors), Series 2013, 4.00% 2019   160    164 
Statewide Communities Dev. Auth., Insured Rev. Bonds (Viamonte Senior Living 1 Project), Series 2018-B, 3.00% 2025   500    504 
Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2006-A, 1.90% 2028   500    495 
Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2006-C, 2.63% 2033 (put 2023)   1,000    984 

 

Private Client Services Funds 57
 

Capital Group California Short-Term Municipal Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
California (continued)          
Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2006-D, 2.625% 2033 (put 2023)  $1,100   $1,083 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System), Series 2018, 5.00% 2022   150    164 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System), Series 2018-A, 5.00% 2024   200    227 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System), Series 2018-A, 5.00% 2025   415    477 
Statewide Communities Dev. Auth., Rev. Bonds (Adventist Health System/West), Series 2018-A, 5.00% 2023   135    150 
Statewide Communities Dev. Auth., Rev. Bonds (Buck Institute for Research on Aging), Series 2014, Assured Guaranty Municipal insured, 5.00% 2019   380    393 
Statewide Communities Dev. Auth., Rev. Bonds (Hebrew Home for Aged Disabled), Series 2016, 3.50% 2021   250    253 
Statewide Communities Dev. Auth., Rev. Bonds (Huntington Memorial Hospital), Series 2018, 5.00% 2022   700    764 
Statewide Communities Dev. Auth., Rev. Ref. Bonds (Huntington Memorial Hospital), Series 2014-B, 5.00% 2020   1,225    1,282 
City of Richmond, Successor Agcy. to the Redev. Agcy., Rev. Ref. Bonds, Series 2014-A, BAM insured, 5.00% 2019   525    538 
City of Suisun, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-B, BAM insured, 5.00% 2019   675    695 
City of Suisun, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2014-B, BAM insured, 5.00% 2021   500    540 
Sweetwater Union High School Dist., G.O. Rev. Ref. Bonds, Series 2014, BAM insured, 5.00% 2021   380    410 
Temecula Valley Unified School Dist., Fncg. Auth., Special Tax Rev. Bonds, Series 2015, BAM insured, 5.00% 2021   515    555 
City of Tracy, Successor Agcy. to the Community Dev. Agcy., Tax Allocation Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 5.00% 2022   450    494 
City of Union City, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015-A, 5.00% 2021   235    255 
Regents of the University of California, G.O. Rev. Bonds, Series 2018-AZ, 5.00% 2020   200    210 
Regents of the University of California, General Rev. Bonds, Series 2016-AT, 1.40% 2046 (put 2021)   2,925    2,850 
Regents of the University of California, General Rev. Bonds, Series 2018-AZ, 5.00% 2021   300    324 
Dept. of Veterans Affairs, Home Purchase Rev. Bonds, Series 2016-B, 3.50% 2045   825    843 
Dept. of Veterans Affairs, Veterans G.O. Bonds, Series 2017-CQ, 4.00% 2047   1,000    1,050 
Dept. of Veterans Affairs, Veterans G.O. Bonds, Series 2018-CR, 4.00% 2048   1,500    1,584 
Dept. of Veterans Affairs, Veterans G.O. Rev. Ref. Bonds, Series 2015-CM, 1.35% 2019   775    769 
Dept. of Veterans Affairs, Veterans G.O. Rev. Ref. Bonds, Series 2016-CN, 3.50% 2045   785    800 
Victor Valley Union High School Dist., G.O. Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 3.00% 2021   200    205 
City of Vista, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Redev. Bonds, Series 2015-B-1, Assured Guaranty Municipal insured, 5.00% 2021   265    285 
City of West Sacramento, Successor Agcy. to the Redev. Agcy., Tax Allocation Rev. Ref. Bonds (West Sacramento Redev. Project), Series 2016, 4.00% 2019   755    768 
City of Westminster, Successor Agcy. to the Redev. Agcy., Commercial Redev. Project No. 1, Tax Allocation Rev. Ref. Bonds, Series 2016-B, BAM insured, 4.00% 2020   180    187 
City of Westminster, Successor Agcy. to the Redev. Agcy., Commercial Redev. Project No. 1, Tax Allocation Rev. Ref. Bonds, Series 2016-B, BAM insured, 4.00% 2022   120    127 
         110,686 
   
58 Private Client Services Funds
 

Capital Group California Short-Term Municipal Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Guam 0.50%          
Waterworks Auth., Water and Wastewater System Rev. Bonds, Series 2016, 5.00% 2021  $300   $316 
Waterworks Auth., Water and Wastewater System Rev. Bonds, Series 2016, 5.00% 2024   300    326 
         642 
           
Total bonds, notes & other debt instruments (cost: $112,272,000)        111,328 
           
Short-term securities 12.76%          
State of California, Fin. Auth., Recovery Zone Fac. Bonds (Chevron U.S.A. Inc. Project), Series 2010-A, 1.43% 20351   4,500    4,500 
State of California, Metropolitan Water Dist. of Southern California, Water Rev. Bonds, Series 2017-A, 1.32% 20471   1,000    1,000 
State of California, Metropolitan Water Dist. of Southern California, Water Rev. Ref. Bonds, Series 2016-B-2, 1.36% 20371   610    610 
State of California, Municipal Fin. Auth., Pollution Control Rev. Ref. Bonds (Chevron U.S.A. Inc. Project), Series 2005, 1.43% 20251   1,100    1,100 
State of California, County of Riverside, Tax and Rev. Anticipation Notes, Series 2018, 4.00% 6/28/2019   1,000    1,014 
State of California, San Diego Public Water Facs. Fin. Auth., IAM Commercial Paper, Series 2018-B, 1.65% 11/1/2018   200    200 
State of California, Statewide Communities Dev. Auth., IAM Commercial Paper, Series 2008-B, 1.75% 1/4/2019   1,000    1,000 
State of California, Statewide Communities Dev. Auth., Pollution Control Rev. Ref. Bonds (Chevron U.S.A. Inc. Project), Series 2002, 1.43% 20241   1,000    1,000 
State of California, Regents of the University of California, General Rev. Bonds, Series 2013-AL-1, 1.35% 20481   3,000    3,000 
State of California, Dept. of Water Resources, IAM Commercial Paper, Series 2018, 1.68% 11/5/2018   3,000    3,000 
           
Total short-term securities (cost: $16,426,000)        16,424 
Total investment securities 99.21% (cost: $128,698,000)        127,752 
Other assets less liabilities 0.79%        1,019 
           
Net assets 100.00%       $128,771 

 

Futures contracts

 

     Number of     Notional
amount
2 Value at
10/31/2018
3 Unrealized
appreciation
at 10/31/2018
Contracts  Type  contracts  Expiration  (000)  (000)  (000)
5 Year U.S. Treasury Note Futures  Long  25  January 2019  $2,500  $2,809  $3

 

Private Client Services Funds 59
 

Capital Group California Short-Term Municipal Fund

 

1 Coupon rate may change periodically. For short-term securities, the date of the next scheduled coupon rate change is considered to be the maturity date.
2 Notional amount is calculated based on the number of contracts and notional contract size.
3 Value is calculated based on the notional amount and current market price.

 

Key to abbreviations and symbol

Agcy. = Agency
AMT = Alternative Minimum Tax
Auth. = Authority
Certs. of Part. = Certificates of Participation
Dept. = Department
Dev. = Development
Dist. = District
Econ. = Economic
Fac. = Facility
Facs. = Facilities
Fin. = Finance
Fncg. = Financing
G.O. = General Obligation
LIBOR = London Interbank Offered Rate
LOC = Letter of Credit
Preref. = Prerefunded
Redev. = Redevelopment
Ref. = Refunding
Rev. = Revenue
SIFMA = Securities Industry and Financial Markets Association
USD/$ = U.S. dollars

 

60 Private Client Services Funds
 

Capital Group Core Bond Fund

Investment portfolio October 31, 2018

 

Bonds, notes & other debt instruments 93.56%  Principal amount
(000)
   Value
(000)
 
U.S. Treasury bonds & notes 59.64%
U.S. Treasury 47.91%
U.S. Treasury 1.50% 2018  $1,000   $999 
U.S. Treasury 3.75% 2018   3,800    3,802 
U.S. Treasury 0.875% 2019   3,000    2,969 
U.S. Treasury 1.00% 2019   500    492 
U.S. Treasury 1.25% 2019   1,900    1,891 
U.S. Treasury 1.25% 2019   500    497 
U.S. Treasury 1.50% 2019   2,750    2,734 
U.S. Treasury 1.50% 2019   1,000    988 
U.S. Treasury 1.625% 2019   1,000    993 
U.S. Treasury 1.625% 2019   500    494 
U.S. Treasury 1.75% 2019   2,000    1,983 
U.S. Treasury 1.375% 20201   10,000    9,836 
U.S. Treasury 1.375% 2020   1,250    1,217 
U.S. Treasury 1.375% 2020   1,000    977 
U.S. Treasury 1.50% 2020   1,809    1,775 
U.S. Treasury 1.625% 2020   2,500    2,437 
U.S. Treasury 2.00% 2020   4,185    4,111 
U.S. Treasury 1.125% 2021   3,010    2,873 
U.S. Treasury 1.25% 2021   2,500    2,380 
U.S. Treasury 1.25% 2021   1,500    1,443 
U.S. Treasury 1.375% 2021   3,420    3,290 
U.S. Treasury 1.375% 2021   3,215    3,097 
U.S. Treasury 1.75% 2021   7,000    6,756 
U.S. Treasury 1.875% 2021   500    485 
U.S. Treasury 2.00% 2021   3,770    3,699 
U.S. Treasury 2.125% 2021   1,000    976 
U.S. Treasury 3.125% 2021   2,000    2,011 
U.S. Treasury 1.50% 2022   1,750    1,672 
U.S. Treasury 1.75% 2022   9,500    9,104 
U.S. Treasury 1.75% 2022   3,890    3,733 
U.S. Treasury 1.75% 2022   2,000    1,923 
U.S. Treasury 1.875% 2022   5,336    5,151 
U.S. Treasury 1.875% 2022   4,170    3,999 
U.S. Treasury 1.875% 2022   3,745    3,609 
U.S. Treasury 1.875% 2022   2,005    1,928 
U.S. Treasury 2.125% 2022   3,000    2,914 
U.S. Treasury 1.25% 2023   1,000    924 
U.S. Treasury 1.375% 2023   1,275    1,186 
U.S. Treasury 1.375% 2023   1,000    928 
U.S. Treasury 1.625% 2023   4,000    3,769 
U.S. Treasury 1.75% 2023   1,000    948 
U.S. Treasury 2.00% 2023   2,000    1,922 
U.S. Treasury 2.125% 2023   3,415    3,276 
U.S. Treasury 2.25% 2023   500    482 
U.S. Treasury 2.50% 2023   1,050    1,027 
U.S. Treasury 2.75% 2023   13,542    13,415 
U.S. Treasury 2.75% 2023   2,250    2,225 
U.S. Treasury 2.875% 2023   6,600    6,567 
U.S. Treasury 2.00% 2024   5,650    5,350 
U.S. Treasury 2.00% 2024   2,480    2,353 
U.S. Treasury 2.125% 20241   11,000    10,525 
U.S. Treasury 2.125% 2024   8,000    7,606 
U.S. Treasury 2.125% 2024   4,200    4,015 
U.S. Treasury 2.25% 2024   6,015    5,755 
U.S. Treasury 2.25% 2024   1,820    1,754 
U.S. Treasury 2.75% 2024   5,000    4,938 
U.S. Treasury 2.00% 2025   2,000    1,879 
U.S. Treasury 2.00% 2025   2,000    1,868 
U.S. Treasury 2.75% 2025   10,000    9,826 
U.S. Treasury 3.00% 2025   6,674    6,643 
U.S. Treasury 7.625% 2025   750    946 

 

Private Client Services Funds 61
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
U.S. Treasury bonds & notes (continued)
U.S. Treasury (continued)
U.S. Treasury 1.625% 2026  $3,000   $2,714 
U.S. Treasury 2.25% 2027   8,420    7,883 
U.S. Treasury 2.25% 2027   2,200    2,050 
U.S. Treasury 2.875% 2028   1,752    1,712 
U.S. Treasury 2.875% 2028   15    14 
         213,738 
           
U.S. Treasury inflation-protected securities 11.73%
U.S. Treasury Inflation-Protected Security 0.125% 20202   1,744    1,714 
U.S. Treasury Inflation-Protected Security 0.125% 20212   6,623    6,455 
U.S. Treasury Inflation-Protected Security 0.125% 20222   5,443    5,261 
U.S. Treasury Inflation-Protected Security 0.375% 20232   542    528 
U.S. Treasury Inflation-Protected Security 0.625% 20232   15,227    14,935 
U.S. Treasury Inflation-Protected Security 0.25% 20252   3,561    3,386 
U.S. Treasury Inflation-Protected Security 2.00% 20262   635    674 
U.S. Treasury Inflation-Protected Security 0.50% 20282   10,222    9,665 
U.S. Treasury Inflation-Protected Security 0.75% 20282   10,045    9,734 
         52,352 
           
Total U.S. Treasury bonds & notes        266,090 
           
Corporate bonds & notes 20.59%
Financials 4.45%
ACE INA Holdings Inc. 2.30% 2020   285    280 
ACE INA Holdings Inc. 2.875% 2022   150    147 
ACE INA Holdings Inc. 3.35% 2026   45    43 
ACE INA Holdings Inc. 4.35% 2045   50    50 
Allstate Corp. 3.28% 2026   175    167 
American Express Co. 2.20% 2020   750    733 
American International Group, Inc. 2.30% 2019   190    189 
American International Group, Inc. 4.20% 2028   740    712 
Bank of America Corp. 2.625% 2020   735    725 
Bank of America Corp. 3.419% 2028 (3-month USD-LIBOR + 1.04% on 12/20/2027)3   458    423 
Bank of America Corp. 3.97% 2029 (3-month USD-LIBOR + 1.07% on 3/5/2028)3   750    723 
Bank of America Corp. 4.271% 2029 (3-month USD-LIBOR +1.31% on 7/23/2028)3   945    933 
Bank of New York Mellon Corp. 2.10% 2019   500    499 
BB&T Corp. 2.625% 2020   385    381 
Citigroup Inc. 2.35% 2021   1,005    971 
Citigroup Inc. 4.45% 2027   400    390 
Credit Suisse Group AG 3.80% 2023   500    492 
General Motors Financial Co. 4.15% 2023   710    698 
General Motors Financial Co. 4.00% 2026   175    161 
Goldman Sachs Group, Inc. 2.55% 2019   561    558 
Goldman Sachs Group, Inc. 3.00% 2022   365    356 
Goldman Sachs Group, Inc. 3.814% 2029 (3-month USD-LIBOR + 1.158% on 4/23/2028)3   500    470 
Goldman Sachs Group, Inc. 4.223% 2029 (3-month USD-LIBOR + 1.301% on 5/1/2028)3   445    432 
Goldman Sachs Group, Inc. 4.75% 2045   175    171 
HSBC Holdings PLC 2.65% 2022   660    639 
JPMorgan Chase & Co. 3.20% 2023   125    122 
JPMorgan Chase & Co. 3.559% 2024 (3-month USD-LIBOR + 0.73% on 4/23/2023)3   325    320 
JPMorgan Chase & Co. 3.509% 2029 (3-month USD-LIBOR + 0.945% on 1/23/2028)3   500    467 
JPMorgan Chase & Co. 4.203% 2029 (3-month USD-LIBOR + 1.26% on 7/23/2028)3   679    670 
Lloyds Banking Group PLC 4.375% 2028   200    192 
Morgan Stanley 2.50% 2021   500    487 
New York Life Global Funding 1.70% 20214   750    716 
PNC Bank 1.45% 2019   690    682 
PNC Bank 2.55% 2021   350    341 
Rabobank Nederland 2.75% 2022   400    389 
UniCredit SpA 3.75% 20224   500    473 
US Bancorp 3.05% 2020   900    897 

 

62 Private Client Services Funds
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
US Bancorp 3.104% 2021 (3-month USD-LIBOR + 0.29% on 5/21/2020)3  $1,000   $996 
US Bancorp 3.40% 2023   500    496 
Wells Fargo & Co. 2.10% 2021   500    480 
Wells Fargo & Co. 2.625% 2022   805    773 
         19,844 
           
Health care 3.33%
Abbott Laboratories 2.90% 2021   190    187 
Abbott Laboratories 3.40% 2023   98    97 
Abbott Laboratories 3.75% 2026   292    288 
AbbVie Inc. 2.50% 2020   1,060    1,047 
AbbVie Inc. 2.30% 2021   340    330 
AbbVie Inc. 3.20% 2022   415    406 
Aetna Inc. 2.80% 2023   55    53 
Allergan PLC 3.00% 2020   485    483 
Allergan PLC 3.45% 2022   490    482 
Amgen Inc. 1.85% 2021   140    134 
AstraZeneca PLC 3.50% 2023   785    773 
AstraZeneca PLC 3.375% 2025   445    423 
AstraZeneca PLC 4.00% 2029   296    285 
Bayer US Finance II LLC 3.875% 20234   400    394 
Bayer US Finance II LLC 4.375% 20284   500    485 
Becton, Dickinson and Co. 3.734% 2024   61    59 
Cigna Corp. 3.40% 20214   255    253 
Cigna Corp. 3.75% 20234   275    273 
Cigna Corp. 4.375% 20284   660    646 
CVS Health Corp. 4.30% 2028   995    972 
GlaxoSmithKline PLC 3.375% 2023   750    743 
Johnson & Johnson 2.45% 2026   532    492 
Johnson & Johnson 2.95% 2027   455    432 
Johnson & Johnson 2.90% 2028   314    294 
Novartis AG 5.125% 2019   300    302 
Pfizer Inc. 3.20% 2023   899    891 
Shire PLC 1.90% 2019   350    346 
Shire PLC 2.40% 2021   195    188 
Shire PLC 2.875% 2023   120    113 
Shire PLC 3.20% 2026   615    558 
Teva Pharmaceutical Finance Co. BV 1.70% 2019   165    162 
Teva Pharmaceutical Finance Co. BV 2.20% 2021   580    542 
Teva Pharmaceutical Finance Co. BV 2.80% 2023   60    53 
Teva Pharmaceutical Finance Co. BV 3.15% 2026   60    49 
UnitedHealth Group Inc. 3.35% 2022   380    377 
UnitedHealth Group Inc. 3.75% 2025   460    456 
WellPoint, Inc. 4.35% 2020   300    305 
Zimmer Holdings, Inc. 3.15% 2022   485    474 
         14,847 
           
Utilities 2.64%
Consumers Energy Co. 4.05% 2048   285    273 
Dominion Resources, Inc. 1.875% 20184   685    684 
Duke Energy Corp. 2.65% 2026   660    592 
Duke Energy Progress, LLC 3.375% 2023   786    783 
Duke Energy Progress, LLC 3.70% 2028   200    197 
Enel Finance International SA 4.25% 20234   448    437 
Enel Finance International SA 4.625% 20254   672    636 
Enel Finance International SA 4.875% 20294   448    420 
Eversource Energy 2.75% 2022   750    734 
Exelon Corp. 3.40% 2026   65    61 
FirstEnergy Corp., Series B, 4.25% 2023   1,930    1,950 
National Rural Utilities Cooperative Finance Corp. 2.90% 2021   870    861 
Pacific Gas and Electric Co. 2.45% 2022   300    283 
Pacific Gas and Electric Co. 3.30% 2027   505    454 

 

Private Client Services Funds 63
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Corporate bonds & notes (continued)
Utilities (continued)
Pacific Gas and Electric Co. 3.30% 2027  $225   $201 
Progress Energy, Inc. 7.05% 2019   955    969 
Public Service Enterprise Group Inc. 1.90% 2021   270    262 
Public Service Enterprise Group Inc. 2.25% 2026   520    466 
Tampa Electric Co. 2.60% 2022   350    336 
Virginia Electric and Power Co. 3.10% 2025   1,040    998 
Xcel Energy Inc. 3.30% 2025   190    183 
         11,780 
           
Energy 2.27%
Anadarko Petroleum Corp. 4.85% 2021   70    72 
Anadarko Petroleum Corp. 5.55% 2026   145    151 
Boardwalk Pipeline Partners, LP 4.95% 2024   460    465 
Cenovus Energy Inc. 4.25% 2027   170    161 
Concho Resources Inc. 4.30% 2028   80    78 
ConocoPhillips 4.95% 2026   95    101 
Enbridge Energy Partners, LP 5.875% 2025   230    251 
Energy Transfer Partners, LP 4.20% 2023   155    154 
Energy Transfer Partners, LP 4.20% 2027   185    175 
Energy Transfer Partners, LP 4.95% 2028   542    537 
EnLink Midstream Partners, LP 4.40% 2024   230    220 
Equinor ASA 3.625% 2028   265    258 
Exxon Mobil Corp. (3-month USD-LIBOR + 0.15%) 2.484% 20195   1,115    1,116 
Husky Energy Inc. 7.25% 2019   250    260 
Kinder Morgan, Inc. 3.15% 2023   495    478 
Kinder Morgan, Inc. 4.30% 2028   1,010    978 
MPLX LP 3.375% 2023   75    73 
MPLX LP 4.00% 2028   350    329 
Petróleos Mexicanos 6.375% 2021   300    308 
Petróleos Mexicanos 5.375% 2022   175    175 
Petróleos Mexicanos 4.625% 2023   1,000    956 
Petróleos Mexicanos 6.50% 2027   200    194 
Phillips 66 4.30% 2022   290    296 
Phillips 66 Partners LP 3.55% 2026   105    98 
Royal Dutch Shell PLC 1.75% 2021   435    417 
Schlumberger BV 3.00% 20204   125    124 
Schlumberger BV 4.00% 20254   165    163 
Statoil ASA 3.25% 2024   85    83 
TC PipeLines, LP 4.375% 2025   430    422 
Total Capital International 2.875% 2022   230    226 
TransCanada PipeLines Ltd. 4.25% 2028   615    603 
Woodside Finance Ltd. 4.60% 20214   185    188 
         10,110 
           
Consumer staples 2.23%
Altria Group, Inc. 2.85% 2022   250    243 
Altria Group, Inc. 2.95% 2023   200    194 
Anheuser-Busch InBev NV 2.65% 2021   340    333 
Anheuser-Busch InBev NV 3.65% 2026   735    698 
Constellation Brands, Inc. 3.20% 2023   386    375 
Costco Wholesale Corp. 2.30% 2022   285    275 
Costco Wholesale Corp. 2.75% 2024   285    275 
General Mills, Inc. (3-month USD-LIBOR + 0.54%) 2.976% 20215   960    960 
General Mills, Inc. 3.20% 2021   285    283 
Keurig Dr. Pepper Inc. 4.057% 20234   900    896 
Kroger Co. 2.00% 2019   410    409 
Molson Coors Brewing Co. 1.45% 2019   80    79 
Molson Coors Brewing Co. 2.10% 2021   90    86 
Molson Coors Brewing Co. 3.00% 2026   245    219 
PepsiCo, Inc. 1.70% 2021   420    403 

 

64 Private Client Services Funds
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
PepsiCo, Inc. 2.00% 2021  $710   $689 
Philip Morris International Inc. 1.875% 2021   165    160 
Reynolds American Inc. 4.00% 2022   70    70 
Reynolds American Inc. 4.45% 2025   945    942 
Reynolds American Inc. 5.70% 2035   310    319 
Reynolds American Inc. 5.85% 2045   220    226 
Wal-Mart Stores, Inc. 3.125% 2021   449    449 
Wal-Mart Stores, Inc. 2.35% 2022   715    687 
Wal-Mart Stores, Inc. 3.40% 2023   335    334 
Wal-Mart Stores, Inc. 3.70% 2028   339    334 
         9,938 
           
Consumer discretionary 1.58%
Amazon.com, Inc. 2.40% 2023   500    478 
Amazon.com, Inc. 2.80% 2024   500    477 
American Honda Finance Corp. 2.65% 2021   645    636 
American Honda Finance Corp. 2.30% 2026   80    71 
American Honda Finance Corp. 3.50% 2028   325    313 
Bayerische Motoren Werke AG 1.45% 20194   340    335 
DaimlerChrysler North America Holding Corp. 3.30% 20254   250    237 
Ford Motor Credit Co. 3.157% 2020   550    541 
Ford Motor Credit Co. 3.219% 2022   205    196 
General Motors Co. 4.00% 2025   145    137 
General Motors Co. 4.35% 2025   200    193 
General Motors Financial Co. 3.70% 2020   320    320 
Home Depot, Inc. 1.80% 2020   480    471 
Home Depot, Inc. 4.40% 2021   350    359 
McDonald’s Corp. 3.70% 2026   135    132 
McDonald’s Corp. 3.50% 2027   460    440 
Newell Rubbermaid Inc. 3.15% 2021   42    41 
NIKE, Inc. 2.375% 2026   615    553 
Starbucks Corp. 2.00% 2018   200    200 
Starbucks Corp. 3.80% 2025   782    760 
Starbucks Corp. 4.00% 2028   185    180 
         7,070 
           
Communication services 1.45%
21st Century Fox America, Inc. 3.70% 2025   205    202 
AT&T Inc. (3-month USD-LIBOR + 1.18%) 3.514% 20245   226    227 
CCO Holdings LLC and CCO Holdings Capital Corp. 4.908% 2025   165    166 
Comcast Corp. 3.45% 2021   672    672 
Comcast Corp. 3.95% 2025   539    538 
Comcast Corp. 2.35% 2027   435    381 
Deutsche Telekom International Finance BV 2.82% 20224   405    394 
NBCUniversal Media, LLC 5.15% 2020   350    360 
Time Warner Inc. 3.80% 2027   150    141 
Verizon Communications Inc. 4.125% 2027   188    186 
Verizon Communications Inc. 4.329% 2028   316    314 
Verizon Communications Inc. 4.50% 2033   1,000    974 
Verizon Communications Inc. 4.40% 2034   250    237 
Vodafone Group PLC 3.75% 2024   555    543 
Vodafone Group PLC 4.125% 2025   445    437 
Vodafone Group PLC 4.375% 2028   425    411 
Walt Disney Co. 5.50% 2019   300    303 
         6,486 
           
Real estate 0.89%
Alexandria Real Estate Equities, Inc. 3.95% 2028   60    57 
American Campus Communities, Inc. 3.75% 2023   300    296 
American Campus Communities, Inc. 4.125% 2024   415    411 
Corporate Office Properties LP 5.25% 2024   235    242 
ERP Operating LP 4.625% 2021   215    222 

 

Private Client Services Funds 65
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Corporate bonds & notes (continued)
Real estate (continued)
Essex Portfolio LP 3.50% 2025  $490   $471 
Kimco Realty Corp. 3.40% 2022   35    34 
Scentre Group 2.375% 20194   100    99 
Scentre Group 3.50% 20254   250    239 
Simon Property Group, LP 2.50% 2021   460    449 
WEA Finance LLC 2.70% 20194   475    473 
WEA Finance LLC 3.25% 20204   355    353 
Welltower Inc. 3.95% 2023   645    644 
         3,990 
           
Industrials 0.86%
3M Co. 3.625% 2028   230    228 
Airbus Group SE 2.70% 20234   85    82 
General Electric Co. 2.70% 2022   300    283 
Lockheed Martin Corp. 3.10% 2023   95    93 
Lockheed Martin Corp. 3.55% 2026   95    93 
Northrop Grumman Corp. 2.55% 2022   425    409 
Republic Services, Inc. 5.00% 2020   350    358 
Rockwell Collins, Inc. 2.80% 2022   375    364 
Rockwell Collins, Inc. 3.20% 2024   275    264 
Union Pacific Corp. 3.50% 2023   360    359 
Union Pacific Corp. 3.75% 2025   230    228 
United Technologies Corp. 3.65% 2023   785    777 
Waste Management, Inc. 4.60% 2021   300    307 
         3,845 
           
Information technology 0.80%
Apple Inc. 1.80% 2020   475    466 
Apple Inc. 1.55% 2021   575    550 
Apple Inc. 2.50% 2022   190    185 
Broadcom Ltd. 2.375% 2020   270    267 
Broadcom Ltd. 3.00% 2022   730    707 
Broadcom Ltd. 3.625% 2024   270    259 
Broadcom Ltd. 3.875% 2027   185    170 
Cisco Systems, Inc. 2.20% 2023   520    491 
Oracle Corp. 2.375% 2019   500    500 
         3,595 
           
Materials 0.09%
Sherwin-Williams Co. 2.75% 2022   165    159 
Sherwin-Williams Co. 3.125% 2024   70    67 
Sherwin-Williams Co. 3.45% 2027   175    162 
         388 
           
Total corporate bonds & notes        91,893 
           
Mortgage-backed obligations 6.65%
Federal agency mortgage-backed obligations 6.53%
Fannie Mae 4.50% 20196   4    4 
Fannie Mae 4.50% 20206   43    43 
Fannie Mae 3.50% 20256   1,597    1,597 
Fannie Mae 5.50% 20386   310    332 
Fannie Mae 5.00% 20416   597    631 
Fannie Mae 5.00% 20416   134    142 
Fannie Mae 3.50% 20476   3,942    3,842 
Fannie Mae, Series 2007-33, Class HE, 5.50% 20376   7    7 
Fannie Mae, Series 2017-M7, Class A2, Multi Family, 2.961% 20275,6   445    421 
Freddie Mac 3.50% 20456   2,073    2,034 
Freddie Mac 3.50% 20486,7   1,490    1,451 
Freddie Mac, Series 3272, Class PA, 6.00% 20376   20    22 
Freddie Mac, Series K013, Class A2, Multi Family, 3.974% 20216   544    552 

 

66 Private Client Services Funds
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments  Principal amount
(000)
   Value
(000)
 
Freddie Mac, Series K020, Class A2, Multi Family, 2.373% 20226  $250   $244 
Freddie Mac, Series K718, Class A2, Multi Family, 2.791% 20226   1,320    1,301 
Freddie Mac, Series K057, Class A2, Multi Family, 2.57% 20266   1,010    946 
Freddie Mac, Series K070, Class A2, Multi Family, 3.303% 20275,6   255    247 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-1, Class HA, 2.50% 20565,6   690    666 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class HA, 2.50% 20566   480    462 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class MA, 3.00% 20566   452    436 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class HT, 2.50% 20575,6   268    255 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2018-2, Class MT, 3.50% 20576   552    538 
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class MT, 3.50% 20576   274    264 
Government National Mortgage Assn. 4.50% 20406   52    55 
Government National Mortgage Assn. 4.00% 20486,7   7,570    7,619 
Government National Mortgage Assn. 4.50% 20486,7   4,270    4,374 
Government National Mortgage Assn. 5.647% 20596   3    3 
Government National Mortgage Assn. 5.064% 20646   57    58 
Government National Mortgage Assn. 6.64% 20646   155    160 
Government National Mortgage Assn., Series 2012-H20, Class PT, 3.286% 20625,6   446    450 
         29,156 
           
Collateralized mortgage-backed obligations (privately originated) 0.12%
Connecticut Avenue Securities, Series 2014-C02, Class 1M1, (1-month USD-LIBOR + 0.95%) 3.166% 20245,6   9    9 
Finance of America Structured Securities Trust, Series 2017-HB1, Class A, 2.3207% 20274,5,6,8   180    180 
Towd Point Mortgage Trust, Series 2017-1, Class A1, 2.75% 20564,5,6   344    336 
         525 
           
Total mortgage-backed obligations        29,681 
           
Asset-backed obligations 3.00%
Aesop Funding LLC, Series 2013-2A, Class A, 2.97% 20204,6   893    893 
Aesop Funding LLC, Series 2014-2A, Class A, 2.50% 20214,6   770    763 
California Republic Auto Receivables Trust, Series 2015-1, Class A4, 1.82% 20206   198    198 
California Republic Auto Receivables Trust, Series 2015-1, Class B, 2.51% 20216   270    269 
CPS Auto Receivables Trust, Series 2016-A, Class B, 3.34% 20204,6   181    181 
Drive Auto Receivables Trust, Series 2018-3, Class A2, 2.75% 20206   995    994 
Drive Auto Receivables Trust, Series 2016-BA, Class C, 3.19% 20224,6   224    224 
Drivetime Auto Owner Trust, Series 2016-3A, Class C, 3.15% 20224,6   191    192 
Enterprise Fleet Financing LLC, Series 2017-1, Class A2, 2.13% 20224,6   502    499 
Ford Credit Auto Owner Trust, Series 2018-2, Class A, 3.47% 20304,6   460    457 
Ford Credit Auto Owner Trust, Series 2018-1, Class A, 3.19% 20314,6   2,365    2,290 
Ford Credit Floorplan Master Owner Trust, Series 2016-3, Class A1, 1.55% 20216   210    208 
Global SC Finance II SRL, Series 2014-1A, Class A1, 3.19% 20294,6   442    432 
Global SC Finance II SRL, Series 2017-1A, Class A, 3.85% 20374,6   428    420 
Santander Drive Auto Receivables Trust, Series 2016-2, Class C, 2.66% 20216   95    95 
Santander Drive Auto Receivables Trust, Series 2015-3, Class C, 2.74% 20216   754    753 
Santander Drive Auto Receivables Trust, Series 2016-1, Class C, 3.09% 20226   400    400 
Synchrony Credfit Card Master Note Trust, Series 2018-A1, Class A1, 3.38% 20246   1,390    1,388 
TAL Advantage V LLC, Series 2013-2A, Class A, 3.55% 20384,6   267    263 
TAL Advantage V LLC, Series 2017-1A, Class A, 4.50% 20424,6   435    438 
Verizon Owner Trust, Series 2017-1A, Class A, 2.06% 20214,6   610    605 
World Financial Network Credit Card Master Note Trust, Series 2018-B, Class A, 3.46% 20256   1,425    1,423 
         13,385 

 

Private Client Services Funds 67
 

Capital Group Core Bond Fund

 

Bonds, notes & other debt instruments (continued)  Principal amount
(000)
   Value
(000)
 
Federal agency bonds & notes 1.86%
Fannie Mae 1.75% 2019  $1,710   $1,696 
Fannie Mae 2.375% 2023   2,442    2,378 
Fannie Mae 2.125% 2026   400    371 
Federal Home Loan Bank 1.875% 2020   3,015    2,976 
United States Agency for International Development, Ukraine, 1.844% 2019   875    871 
         8,292 
           
Municipals 1.21%
Florida 0.46%
Hurricane Catastrophe Fund Fin. Corp., Rev. Bonds, Series 2013-A, 2.995% 2020   2,060    2,054 
           
California 0.31%
City of Industry, Public Facs. Auth., Tax Allocation Rev. Ref. Bonds (Civic - Recreational Project), Series 2015-A, Assured Guaranty Municipal insured, 3.139% 2020   805    804 
High-Speed Passenger Train G.O. Rev. Ref. Bonds, Series 2017-A, 2.367% 2022   250    244 
High-Speed Passenger Train G.O. Rev. Ref. Bonds, Series 2017-B, 2.193% 2047 (put 2020)   320    316 
         1,364 
           
New Jersey 0.23%
Econ. Dev. Auth., School Facs. Construction Rev. Ref. Bonds, Series 2015-YY, 4.447% 2020   650    659 
Transportation Trust Fund Auth., Transportation System Rev. Ref. Bonds, Series 2013-B, 1.758% 2018   350    350 
         1,009 
           
Illinois 0.21%
G.O. Bonds, Pension Funding Series 2003, 5.10% 20336   1,000    945 
           
Washington 0.00%
Energy Northwest, Columbia Generating Station Electric Rev. Bonds, Series 2015-B, 2.814% 2024   25    24 
           
Total municipals        5,396 
           
Bonds & notes of governments & government agencies outside the U.S. 0.61%
European Investment Bank 2.25% 2022   751    730 
Manitoba (Province of) 3.05% 2024   200    196 
Ontario (Province of) 3.20% 2024   500    495 
Saudi Arabia (Kingdom of) 4.00% 20254   430    423 
Saudi Arabia (Kingdom of) 4.50% 20304   445    439 
United Mexican States 4.15% 2027   460    439 
         2,722 
           
Total bonds, notes & other debt instruments (cost: $428,825,000)        417,459 

 

68 Private Client Services Funds
 

Capital Group Core Bond Fund

 

Short-term securities 9.17%  Principal amount
(000)
   Value
(000)
 
Colgate-Palmolive Co. 2.17% due 11/6/20184  $2,600   $2,599 
Emerson Electric Co. 2.21% due 11/13/20184   12,000    11,990 
Federal Home Loan Bank 2.07% due 11/2/2018   10,500    10,500 
Kimberly-Clark Corp. 2.17% due 11/1/20184   11,700    11,699 
Swedbank AB 2.17% due 11/1/2018   4,100    4,100 
           
Total short-term securities (cost: $40,890,000)        40,888 
Total investment securities 102.73% (cost: $469,715,000)        458,347 
Other assets less liabilities (2.73%)        (12,166)
           
Net assets 100.00%       $446,181 

 

Swap contracts
 
Interest rate swaps
                     Unrealized 
                 Upfront   (depreciation) 
             Value at   payments/   appreciation 
      Expiration  Notional   10/31/2018   receipts   at 10/31/2018 
Receive  Pay  date  (000)   (000)   (000)   (000) 
2.55%  3-month USD-LIBOR  4/3/2020  $14,700   $(91)  $   $(91)
2.5725%  3-month USD-LIBOR  4/4/2020   18,720    (111)       (111)
2.599%  3-month USD-LIBOR  4/6/2020   12,400    (69)       (69)
3-month USD-LIBOR  2.761%  4/27/2020   15,000    56        56 
3-month USD-LIBOR  2.75%  4/30/2020   8,000    32        32 
3-month USD-LIBOR  2.746%  5/1/2020   11,400    46        46 
3-month USD-LIBOR  2.7515%  5/3/2020   11,420    46        46 
                   $   $(91)

 

1 All or a portion of this security was pledged as collateral. The total value of pledged collateral was $21,000, which represented less than .01% of the net assets of the fund.
2 Index-linked bond whose principal amount moves with a government price index.
3 Step bond; coupon rate may change at a later date.
4 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $44,323,000, which represented 9.93% of the net assets of the fund.
5 Coupon rate may change periodically.
6 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
7 Purchased on a TBA basis.
8 Valued under fair value procedures adopted by authority of the board of trustees. The total value of the security was $180,000, which represented .04% of the net assets of the fund.

 

Key to abbreviations and symbol

Auth. = Authority

Dev. = Development

Econ. = Economic

Facs. = Facilities

Fin. = Finance

G.O. = General Obligation

LIBOR = London Interbank Offered Rate

Ref. = Refunding

Rev. = Revenue

TBA = To-be-announced

USD/$ = U.S. dollars

 

Private Client Services Funds 69
 

Capital Group Global Equity Fund

Investment portfolio October 31, 2018

 

Common stocks 90.13%  Shares   Value
(000)
 
Information technology 18.80%        
Taiwan Semiconductor Manufacturing Co., Ltd. (ADR)   312,620   $11,911 
Visa Inc., Class A   84,870    11,699 
GoDaddy Inc., Class A1   145,200    10,624 
Broadcom Inc.   45,023    10,062 
ASML Holding NV   51,618    8,824 
Apple Inc.   32,394    7,090 
Keyence Corp.   10,730    5,259 
Murata Manufacturing Co., Ltd.   34,000    5,172 
SAP SE   44,115    4,730 
VTech Holdings Ltd.   393,900    4,621 
Microsoft Corp.   37,300    3,984 
Jack Henry & Associates, Inc.   25,916    3,883 
Telefonaktiebolaget LM Ericsson, Class B   421,825    3,678 
Hamamatsu Photonics KK   106,600    3,571 
Intel Corp.   74,900    3,511 
Accenture PLC, Class A   21,200    3,342 
Global Payments Inc.   16,670    1,904 
QUALCOMM Inc.   29,645    1,864 
Texas Instruments Inc.   9,315    865 
         106,594 
           
Financials 15.54%
CME Group Inc., Class A   72,100    13,212 
AIA Group Ltd.   1,478,600    11,191 
JPMorgan Chase & Co.   99,180    10,813 
Intercontinental Exchange, Inc.   79,635    6,135 
Moody’s Corp.   36,200    5,266 
Aon PLC, Class A   27,600    4,311 
DNB ASA   227,282    4,113 
HDFC Bank Ltd. (ADR)   39,830    3,541 
Bank of New York Mellon Corp.   68,230    3,229 
Marsh & McLennan Companies, Inc.   32,885    2,787 
Sampo Oyj, Class A   57,398    2,643 
Wells Fargo & Co.   49,355    2,627 
Huntington Bancshares Inc.   168,550    2,415 
Chubb Ltd.   16,270    2,032 
Svenska Handelsbanken AB, Class A   173,358    1,886 
KBC Groep NV   25,596    1,766 
RenaissanceRe Holdings Ltd.   13,900    1,698 
Lloyds Banking Group PLC   2,266,700    1,658 
State Street Corp.   17,664    1,214 
Prudential PLC   58,055    1,165 
London Stock Exchange Group PLC   20,400    1,125 
Toronto-Dominion Bank   19,670    1,091 
BNP Paribas SA   16,948    886 
First Republic Bank   8,200    746 
Nasdaq, Inc.   6,300    546 
         88,096 
           
Industrials 12.00%
Safran SA   103,393    13,356 
Airbus SE, non-registered shares   86,492    9,572 
Deere & Co.   50,260    6,807 
CSX Corp.   87,300    6,012 
Northrop Grumman Corp.   16,500    4,322 
SMC Corp.   12,800    4,101 
Boeing Co.   10,590    3,758 
Westinghouse Air Brake Technologies Corp. (dba Wabtec Corp.)   36,700    3,010 
TransDigm Group Inc.1   8,030    2,652 

 

70 Private Client Services Funds
 

Capital Group Global Equity Fund

 

Common stocks  Shares   Value
(000)
 
Equifax Inc.   25,600   $2,597 
Waste Connections, Inc.   28,555    2,183 
Jardine Matheson Holdings Ltd.   37,500    2,164 
Hexcel Corp.   30,630    1,792 
IDEX Corp.   13,350    1,693 
DSV A/S   14,863    1,195 
DKSH Holding AG   14,647    988 
Hoshizaki Corp.   11,600    937 
Brenntag AG   17,259    903 
         68,042 
           
Consumer staples 9.68%
Nestlé SA   82,135    6,942 
Pernod Ricard SA   44,586    6,807 
Carlsberg A/S, Class B   57,775    6,373 
L’Oréal SA, non-registered shares   23,043    5,191 
Costco Wholesale Corp.   21,650    4,950 
Danone SA   60,668    4,300 
Mondelez International, Inc.   102,000    4,282 
Reckitt Benckiser Group PLC   50,945    4,124 
Philip Morris International Inc.   43,040    3,791 
Walgreens Boots Alliance, Inc.   34,000    2,712 
Diageo PLC   71,785    2,485 
Coca-Cola Co.   35,290    1,690 
Imperial Brands PLC   35,300    1,197 
         54,844 
           
Health care 8.47%
AstraZeneca PLC   101,485    7,770 
Gilead Sciences, Inc.   91,207    6,218 
UnitedHealth Group Inc.   20,590    5,381 
EssilorLuxottica   37,835    5,175 
Seattle Genetics, Inc.1   74,080    4,158 
Novo Nordisk A/S, Class B   87,302    3,776 
Danaher Corp.   35,200    3,499 
Abbott Laboratories   43,600    3,006 
Eli Lilly and Co.   20,375    2,209 
Johnson & Johnson   15,170    2,124 
Express Scripts Holding Co.1   17,405    1,688 
Integra LifeSciences Holdings Corp.1   21,900    1,173 
Merck & Co., Inc.   13,800    1,016 
Agios Pharmaceuticals, Inc.1   13,100    826 
         48,019 
           
Communication services 6.68%
SoftBank Group Corp.   93,300    7,482 
Alphabet Inc., Class A1   3,295    3,594 
Alphabet Inc., Class C1   1,839    1,980 
Naspers Ltd., Class N (ADR)   155,405    5,436 
Comcast Corp., Class A   102,500    3,909 
Activision Blizzard, Inc.   49,920    3,447 
Facebook, Inc., Class A1   21,300    3,233 
Charter Communications, Inc., Class A1   7,027    2,251 
SES SA, Class A (FDR)   69,377    1,491 
NTT DoCoMo, Inc.   50,900    1,283 
JCDecaux SA   32,167    1,059 

 

Private Client Services Funds 71
 

Capital Group Global Equity Fund

 

Common stocks (continued)  Shares   Value
(000)
 
Communication services (continued)
Electronic Arts Inc.1   11,300   $1,028 
Modern Times Group MTG AB, Class B   24,325    899 
América Móvil, SAB de CV, Series L (ADR)   54,400    783 
         37,875 
           
Consumer discretionary 6.66%
Las Vegas Sands Corp.   149,880    7,648 
Amazon.com, Inc.1   4,645    7,423 
Hilton Worldwide Holdings Inc.   101,300    7,209 
LVMH Moët Hennessy-Louis Vuitton SE   11,501    3,502 
YUM! Brands, Inc.   34,600    3,128 
NIKE, Inc., Class B   19,000    1,426 
Starbucks Corp.   22,500    1,311 
BCA Marketplace PLC   506,738    1,305 
Samsonite International SA   448,800    1,288 
Hermès International   2,203    1,260 
DENSO Corp.   18,200    815 
Wynn Macau, Ltd.   389,200    803 
Hyundai Motor Co., Series 2 (GDR)2,3   20,606    640 
         37,758 
           
Energy 5.11%
Royal Dutch Shell PLC, Class B (ADR)   135,795    8,923 
Schlumberger Ltd.   112,986    5,797 
Chevron Corp.   48,844    5,454 
Enbridge Inc. (CAD denominated)   133,100    4,147 
EOG Resources, Inc.   39,145    4,124 
Helmerich & Payne, Inc.   8,300    517 
         28,962 
           
Materials 2.61%
Asahi Kasei Corp.   432,600    5,203 
Nutrien Ltd. (CAD denominated)   76,600    4,055 
Air Liquide SA, non-registered shares   11,949    1,448 
Givaudan SA   555    1,347 
Linde PLC   7,145    1,182 
Rio Tinto PLC   22,242    1,081 
Steel Dynamics, Inc.   12,100    479 
         14,795 
           
Real estate 2.33%
American Tower Corp. REIT   37,900    5,905 
Crown Castle International Corp. REIT   45,675    4,967 
Link Real Estate Investment Trust REIT   148,500    1,316 
Equinix, Inc. REIT   2,700    1,023 
         13,211 
           
Utilities 2.25%
AES Corp.   339,350    4,948 
Sempra Energy   24,530    2,701 
Enel SPA   381,894    1,875 
Iberdrola, SA, non-registered shares   242,224    1,716 
National Grid PLC   143,085    1,516 
         12,756 
           
Total common stocks (cost: $380,331,000)        510,952 

 

72 Private Client Services Funds
 

Capital Group Global Equity Fund

 

Short-term securities 9.75%  Principal amount
(000)
   Value
(000)
 
Québec (Province of) 2.15% due 11/26/20183  $12,000   $11,980 
Société Générale 2.30% due 11/23/2018–11/26/20183   14,800    14,777 
Swedbank AB 2.32% due 12/17/2018   15,000    14,957 
Toronto-Dominion Bank 2.29%–2.36% due 11/21/2018–12/21/20183   13,600    13,564 
           
Total short-term securities (cost: $55,279,000)        55,278 
Total investment securities 99.88% (cost: $435,610,000)        566,230 
Other assets less liabilities 0.12%        690 
           
Net assets 100.00%       $566,920 

 

1 Security did not produce income during the last 12 months.
2 Valued under fair value procedures adopted by authority of the board of trustees. The total value of the security was $640,000, which represented .11% of the net assets of the fund.
3 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $40,961,000, which represented 7.23% of the net assets of the fund.

 

Key to abbreviations

ADR = American Depositary Receipts

CAD = Canadian dollars

dba = doing business as

FDR = Fiduciary Depositary Receipts

GDR = Global Depositary Receipts

 

Private Client Services Funds 73
 

Capital Group International Equity Fund

Investment portfolio October 31, 2018

 

Common stocks 76.38%  Shares   Value
(000)
 
Financials 13.35%        
AIA Group Ltd.   3,580,400   $27,097 
London Stock Exchange Group PLC   345,100    19,034 
Sampo Oyj, Class A   315,101    14,512 
Prudential PLC   636,470    12,777 
Lloyds Banking Group PLC   16,821,900    12,303 
HDFC Bank Ltd. (ADR)   127,000    11,292 
DBS Group Holdings Ltd   479,100    8,114 
Svenska Handelsbanken AB, Class A   668,749    7,274 
Deutsche Boerse AG   55,720    7,059 
BNP Paribas SA   129,245    6,753 
Société Générale   153,746    5,656 
KBC Groep NV   73,796    5,090 
Euronext NV   68,573    4,229 
Aon PLC, Class A   25,000    3,905 
ABN AMRO Group NV, depository receipts   157,776    3,878 
DNB ASA   206,070    3,729 
AIB Group PLC   494,541    2,393 
         155,095 
           
Industrials 13.13%          
Safran SA   259,052    33,464 
Airbus SE, non-registered shares   236,435    26,167 
SMC Corp.   68,500    21,946 
Jardine Matheson Holdings Ltd.   217,400    12,546 
ASSA ABLOY AB, Class B   573,966    11,446 
Nidec Corp.   67,100    8,617 
DSV A/S   95,532    7,681 
DKSH Holding AG   90,438    6,102 
Brenntag AG   106,331    5,561 
RELX PLC   265,700    5,264 
Hoshizaki Corp.   54,600    4,408 
Canadian National Railway Co.   43,600    3,727 
Kubota Corp.   204,200    3,225 
Ryanair Holdings PLC (ADR)1   29,980    2,482 
         152,636 
           
Consumer staples 12.10%          
Nestlé SA   266,027    22,483 
Carlsberg A/S, Class B   194,189    21,421 
Pernod Ricard SA   139,205    21,254 
L’Oréal SA, non-registered shares   71,644    16,140 
Diageo PLC   448,345    15,522 
Danone SA   157,773    11,183 
Imperial Brands PLC   193,678    6,568 
British American Tobacco PLC   145,200    6,298 
Associated British Foods PLC   166,950    5,092 
TSURUHA Holdings, Inc.   36,600    3,815 
Reckitt Benckiser Group PLC   39,900    3,230 
KOSÉ Corp.   18,300    2,736 
Uni-Charm Corp.   95,100    2,589 
Meiji Holdings Co., Ltd.   35,000    2,326 
         140,657 
           
Information technology 10.29%          
Keyence Corp.   44,400    21,760 
Taiwan Semiconductor Manufacturing Co., Ltd. (ADR)   560,000    21,336 
SAP SE   189,514    20,319 
ASML Holding NV   116,639    19,938 

 

74 Private Client Services Funds
 

Capital Group International Equity Fund

 

Common stocks   Shares    Value
(000)
 
Hamamatsu Photonics KK   550,400   $18,439 
Murata Manufacturing Co., Ltd.   99,200    15,091 
Samsung Electronics Co., Ltd., preferred (GDR)   3,509    2,744 
         119,627 
           
Health care 9.15%          
AstraZeneca PLC   395,050    30,247 
Novo Nordisk A/S, Class B   510,839    22,095 
EssilorLuxottica   157,440    21,532 
Genmab A/S1   70,795    9,699 
HOYA Corp.   115,200    6,548 
Sonova Holding AG   27,951    4,567 
Novartis AG   45,130    3,954 
Grifols, SA, Class B, nonvoting preferred, non-registered shares   188,751    3,878 
Hutchison China MediTech Ltd. (ADR)1   116,044    3,803 
         106,323 
           
Consumer discretionary 6.18%          
LVMH Moët Hennessy-Louis Vuitton SE   54,973    16,737 
Kering SA   22,080    9,843 
BCA Marketplace PLC   3,681,468    9,482 
MercadoLibre, Inc.   28,150    9,135 
InterContinental Hotels Group PLC   118,900    6,246 
Samsonite International SA   1,935,000    5,552 
Ryohin Keikaku Co., Ltd.   15,500    4,095 
Wynn Macau, Ltd.   1,533,000    3,163 
Hermès International   4,983    2,850 
DENSO Corp.   61,800    2,766 
Huazhu Group Ltd. (ADR)   73,200    1,915 
         71,784 
           
Communication services 4.57%          
SoftBank Group Corp.   218,600    17,529 
NTT DoCoMo, Inc.   334,900    8,443 
Modern Times Group MTG AB, Class B   198,349    7,330 
SES SA, Class A (FDR)   335,412    7,209 
JCDecaux SA   176,649    5,814 
Vodafone Group PLC   1,895,870    3,582 
Naspers Ltd., Class N (ADR)   92,250    3,227 
         53,134 
           
Materials 2.95%          
Asahi Kasei Corp.   721,500    8,677 
Shin-Etsu Chemical Co., Ltd.   75,400    6,327 
Givaudan SA   2,517    6,108 
Air Liquide SA, non-registered shares   39,736    4,816 
Kansai Paint Co., Ltd.   245,420    3,634 
Rio Tinto PLC   56,190    2,732 
Amcor Ltd.   213,815    2,014 
         34,308 
           
Energy 2.30%          
Royal Dutch Shell PLC, Class B   501,490    16,442 
TOTAL SA   90,624    5,333 
Ensco PLC, Class A   689,900    4,926 
         26,701 

 

Private Client Services Funds 75
 

Capital Group International Equity Fund

 

Common stocks (continued)   Shares    Value
(000)
 
Utilities 1.62%          
Enel SPA   1,737,850   $8,531 
Iberdrola, SA, non-registered shares   1,103,497    7,819 
SSE PLC   171,954    2,509 
         18,859 
           
Real estate 0.74%          
Link Real Estate Investment Trust REIT   973,500    8,628 
           
Total common stocks (cost: $677,330,000)        887,752 
           
Short-term securities 23.79%Principal amount
(000)
      
Apple Inc. 2.20% due 11/2/20182  $10,000    9,999 
BNP Paribas, New York Branch 2.16% due 11/1/2018   10,500    10,499 
Federal Home Loan Bank 2.07%–2.22% due 11/5/2018–1/2/2019   81,700    81,599 
John Deere Capital Corp. 2.25% due 11/14/20182   20,000    19,982 
MUFG Bank, Ltd., New York Branch 2.19% due 11/6/2018   10,000    9,996 
Novartis Finance Corp. 2.21% due 11/2/20182   19,600    19,598 
Sanofi 2.24% due 12/14/20182   10,000    9,972 
U.S. Treasury Bills 2.16%–2.18% due 11/15/2018–12/11/2018   90,000    89,831 
Victory Receivables Corp. 2.20% due 11/16/20182   25,000    24,975 
           
Total short-term securities (cost: $276,457,000)        276,451 
Total investment securities 100.17% (cost: $953,787,000)        1,164,203 
Other assets less liabilities (0.17)%        (2,025)
           
Net assets 100.00%       $1,162,178 

 

1 Security did not produce income during the last 12 months.
2 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $84,526,000, which represented 7.27% of the net assets of the fund.

 

Key to abbreviations

ADR = American Depositary Receipts

FDR = Fiduciary Depositary Receipts

GDR = Global Depositary Receipts

 

76 Private Client Services Funds
 

Capital Group U.S. Equity Fund

Investment portfolio October 31, 2018

 

Common stocks 95.40%   Shares    Value
(000)
 
Information technology 18.24%          
Visa Inc., Class A   53,330   $7,352 
Microsoft Corp.   67,095    7,167 
Jack Henry & Associates, Inc.   43,020    6,446 
Apple Inc.   16,565    3,625 
Broadcom Inc.   10,381    2,320 
Texas Instruments Inc.   22,540    2,092 
Global Payments Inc.   16,705    1,908 
GoDaddy Inc., Class A1   21,500    1,573 
ASML Holding NV (New York registered)   8,840    1,524 
Accenture PLC, Class A   9,200    1,450 
QUALCOMM Inc.   21,345    1,342 
Analog Devices, Inc.   14,156    1,185 
HP Inc.   40,520    978 
Intel Corp.   14,300    670 
Micro Focus International PLC, depository receipt   36,100    554 
Trimble Inc.1   14,705    550 
         40,736 
           
Financials 16.86%          
CME Group Inc., Class A   29,025    5,318 
Marsh & McLennan Companies, Inc.   62,490    5,296 
Chubb Ltd.   31,040    3,877 
JPMorgan Chase & Co.   33,730    3,677 
Wells Fargo & Co.   68,415    3,642 
Aon PLC, Class A   16,300    2,546 
Bank of New York Mellon Corp.   53,390    2,527 
Intercontinental Exchange, Inc.   29,350    2,261 
SVB Financial Group1   9,500    2,254 
Huntington Bancshares Inc.   141,930    2,034 
Moody’s Corp.   12,575    1,829 
Nasdaq, Inc.   12,600    1,093 
Toronto-Dominion Bank   12,245    679 
State Street Corp.   5,600    385 
MSCI Inc.   1,600    241 
         37,659 
           
Industrials 12.77%          
Waste Connections, Inc.   72,800    5,565 
CSX Corp.   52,800    3,636 
Northrop Grumman Corp.   11,000    2,881 
Boeing Co.   6,170    2,189 
Deere & Co.   14,620    1,980 
TransDigm Group Inc.1   5,205    1,719 
Hexcel Corp.   26,315    1,540 
Airbus Group SE (ADR)   50,200    1,384 
Equifax Inc.   13,350    1,354 
IDEX Corp.   9,800    1,243 
Westinghouse Air Brake Technologies Corp. (dba Wabtec Corp.)   13,100    1,074 
Norfolk Southern Corp.   6,285    1,055 
Eaton Corp. PLC   14,700    1,054 
Waste Management, Inc.   11,120    995 
Lockheed Martin Corp.   2,075    610 
C.H. Robinson Worldwide, Inc.   2,685    239 
         28,518 

 

Private Client Services Funds 77
 

Capital Group U.S. Equity Fund

 

Common stocks (continued)   Shares    Value
(000)
 
Health care 12.03%          
UnitedHealth Group Inc.   22,005   $5,751 
Humana Inc.   7,665    2,456 
Merck & Co., Inc.   27,585    2,030 
Danaher Corp.   19,973    1,985 
Seattle Genetics, Inc.1   33,530    1,882 
Express Scripts Holding Co.1   19,085    1,851 
Gilead Sciences, Inc.   26,924    1,836 
Eli Lilly and Co.   16,900    1,833 
Johnson & Johnson   10,380    1,453 
AstraZeneca PLC (ADR)   35,150    1,363 
Medtronic PLC   14,015    1,259 
EssilorLuxottica (ADR)   14,080    961 
Abbott Laboratories   13,380    922 
Agios Pharmaceuticals, Inc.1   10,270    648 
Ultragenyx Pharmaceutical Inc.1   13,345    647 
         26,877 
           
Consumer staples 9.70%          
Philip Morris International Inc.   45,230    3,983 
Diageo PLC (ADR)   26,700    3,689 
Costco Wholesale Corp.   13,200    3,018 
Procter & Gamble Co.   29,751    2,638 
Nestlé SA (ADR)   30,305    2,554 
Coca-Cola Co.   42,120    2,017 
Mondelez International, Inc.   29,500    1,239 
Hormel Foods Corp.   17,200    751 
Carlsberg A/S, Class B (ADR)   31,725    700 
Danone (ADR)   44,389    628 
Reckitt Benckiser Group PLC (ADR)   28,160    456 
         21,673 
           
Energy 7.31%          
Schlumberger Ltd.   59,344    3,045 
Chevron Corp.   24,340    2,718 
Enbridge Inc.   81,400    2,532 
EOG Resources, Inc.   22,765    2,398 
ConocoPhillips   22,985    1,607 
Helmerich & Payne, Inc.   19,200    1,196 
Royal Dutch Shell PLC, Class B (ADR)   18,100    1,189 
Halliburton Co.   20,400    707 
Cimarex Energy Co.   6,500    517 
Occidental Petroleum Corp.   6,150    412 
         16,321 
           
Communication services 6.21%          
Comcast Corp., Class A   119,150    4,545 
Charter Communications, Inc., Class A1   10,236    3,279 
Alphabet Inc., Class C1   1,742    1,876 
Alphabet Inc., Class A1   360    392 
Activision Blizzard, Inc.   21,200    1,464 
Facebook, Inc., Class A1   7,100    1,078 
Verizon Communications Inc.   16,835    961 
Electronic Arts Inc.1   3,100    282 
         13,877 

 

78 Private Client Services Funds
 

Capital Group U.S. Equity Fund

 

Common stocks   Shares    Value
(000)
 
Consumer discretionary 5.24%          
Amazon.com, Inc.1   2,328   $3,720 
NIKE, Inc., Class B   33,605    2,522 
Hilton Worldwide Holdings Inc.   22,900    1,630 
Chipotle Mexican Grill, Inc.1   2,480    1,142 
Booking Holdings Inc.1   520    975 
Starbucks Corp.   12,400    722 
YUM! Brands, Inc.   6,580    595 
Wynn Resorts, Ltd.   4,000    402 
         11,708 
           
Real estate 4.05%          
Crown Castle International Corp. REIT   35,800    3,893 
American Tower Corp. REIT   18,300    2,851 
Equinix, Inc. REIT   3,800    1,439 
Iron Mountain Inc. REIT   27,950    856 
         9,039 
           
Utilities 1.75%          
Sempra Energy   25,005    2,754 
Edison International   10,100    701 
NextEra Energy, Inc.   2,600    448 
         3,903 
           
Materials 1.24%          
Linde PLC   9,806    1,622 
Sherwin-Williams Co.   1,570    618 
Steel Dynamics, Inc.   13,400    531 
         2,771 
           
Total common stocks (cost: $144,229,000)        213,082 
           
Short-term securities 4.43%Principal amount
(000)
      
Federal Home Loan Bank 2.17% due 11/2/2018  $1,200    1,200 
Intel Corp. 2.21% due 11/6/20182   2,000    1,999 
Swedbank AB 2.17% due 11/1/2018   2,700    2,700 
Tennessee Valley Authority 2.20% due 11/6/2018   2,000    1,999 
Wal-Mart Stores, Inc. 2.26% due 11/20/20182   2,000    1,998 
           
Total short-term securities (cost: $9,896,000)        9,896 
Total investment securities 99.83% (cost: $154,125,000)        222,978 
Other assets less liabilities 0.17%        380 
           
Net assets 100.00%       $223,358 

 

1 Security did not produce income during the last 12 months.
2 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $3,997,000, which represented 1.79% of the net assets of the fund.

 

Key to abbreviations

ADR = American Depositary Receipts

dba = doing business as

 

Private Client Services Funds 79
 

Financial statements

 

Statements of assets and liabilities

at October 31, 2018

 

           Capital Group 
   Capital Group   Capital Group   California 
   Core Municipal   Short-Term   Core Municipal 
   Fund   Municipal Fund   Fund 
Assets:            
Investment securities, at value:               
Unaffiliated issuers  $475,795   $139,470   $449,465 
Cash   537    162    43 
Cash pledged for futures contracts   171    35    148 
Cash denominated in currencies other than U.S. dollars            
Receivables for:               
Sales of investments   1,000    1,301     
Sales of fund’s shares   1,439        3,423 
Dividends and interest   5,282    1,390    4,046 
Variation margin on swap contracts            
Other   18    4    16 
Total assets   484,242    142,362    457,141 
Liabilities:               
Payables for:               
Purchases of investments   9,108    4,541    5,130 
Repurchases of fund’s shares   1,067    95    12 
Dividends on fund’s shares            
Investment advisory services   101    30    95 
Variation margin on futures contracts   43    9    39 
Variation margin on swap contracts            
Other   *   *   *
Total liabilities   10,319    4,675    5,276 
Net assets at October 31, 2018  $473,923   $137,687   $451,865 
                
Net assets consist of:               
Capital paid in on shares of beneficial interest  $479,674   $139,836   $453,996 
Total (accumulated loss) distributable earnings   (5,751)   (2,149)   (2,131)
Net assets at October 31, 2018  $473,923   $137,687   $451,865 
Investment securities in unaffiliated issuers, at cost  $480,743   $140,791   $452,042 
Cash denominated in currencies other than U.S. dollars, at cost            
Shares outstanding   46,670    13,864    43,704 
Net asset value per share  $10.15   $9.93   $10.34 

 

* Amount less than one thousand.

 

See notes to financial statements

 

80 Private Client Services Funds

 

(dollars and shares in thousands, except per-share amounts)

 

Capital Group                 
California           Capital Group     
Short-Term   Capital Group   Capital Group   International   Capital Group 
Municipal Fund   Core Bond Fund   Global Equity Fund   Equity Fund   U.S. Equity Fund 
                  
$127,752   $458,347   $566,230   $1,164,203   $222,978 
 925    29    58    26    48 
 28                 
         58    705    5 
                       
     4,388            332 
         52    705     
 1,235    1,937    896    4,216    170 
     20             
 4    7             
 129,944    464,728    567,294    1,169,855    223,533 
                       
 1,089    18,227             
 52    39    15    6,690    92 
     168             
 26    95    323    772    83 
 6                 
     18             
 *   *   36    215     
 1,173    18,547    374    7,677    175 
$128,771   $446,181   $566,920   $1,162,178   $223,358 
                       
$129,882   $459,853   $404,361   $939,196   $139,849 
 (1,111)   (13,672)   162,559    222,982    83,509 
$128,771   $446,181   $566,920   $1,162,178   $223,358 
$128,698   $469,715   $435,610   $953,787   $154,125 
                       
         58    715    5 
 12,794    45,438    37,996    91,763    9,803 
$10.06   $9.82   $14.92   $12.67   $22.78 

 

Private Client Services Funds 81

 

Statements of operations

for the year ended October 31, 2018

 

           Capital Group 
   Capital Group   Capital Group   California 
   Core Municipal   Short-Term   Core Municipal 
   Fund   Municipal Fund   Fund 
Investment income:               
Income (net of non-U.S. taxes*):               
Dividends  $   $   $ 
Interest   10,879    2,810    8,626 
    10,879    2,810    8,626 
Fees and expenses*:               
Investment advisory services   1,177    357    1,019 
Reports to shareholders   3    3    3 
Registration statement and prospectus   33    27    14 
Trustees’ compensation   29    29    29 
Auditing and legal   34    32    34 
Custodian   1    1    1 
Other   9    1    5 
                
Total fees and expenses before reimbursements   1,286    450    1,105 
Less reimbursements of fees and expenses:               
Miscellaneous fee reimbursements       22     
                
Total reimbursements of fees and expenses       22     
                
Total fees and expenses after reimbursements   1,286    428    1,105 
                
Net investment income   9,593    2,382    7,521 
                
Net realized (loss) gain and unrealized (depreciation) appreciation:               
Net realized (loss) gain on:               
Investments               
Unaffiliated issuers   (777)   (603)   511 
Futures contracts   (54)   (6)   (24)
Swap contracts            
Currency transactions            
    (831)   (609)   487 
Net unrealized (depreciation) appreciation               
Investments               
Unaffiliated issuers   (9,822)   (1,694)   (9,301)
Futures contracts   (11)   (16)   14 
Swap contracts            
Currency translations            
    (9,833)   (1,710)   (9,287)
Net realized (loss) gain and unrealized (depreciation) appreciation   (10,664)   (2,319)   (8,800)
                
Net (decrease) increase in net assets resulting from operations  $(1,071)  $63   $(1,279)

 

* Additional information related to non-U.S. taxes and fees and expenses is included in the notes to financial statements.
Amount less than one thousand.

 

See notes to financial statements

 

82 Private Client Services Funds

 

(dollars in thousands)

 

Capital Group                 
California           Capital Group     
Short-Term   Capital Group   Capital Group   International   Capital Group 
Municipal Fund   Core Bond Fund   Global Equity Fund   Equity Fund   U.S. Equity Fund 
                  
$   $   $11,519   $35,534   $4,250 
 1,883    10,444    529    2,657    157 
 1,883    10,444    12,048    38,191    4,407 
                       
 298    1,105    3,855    10,509    1,001 
 3    3             
 7    37             
 29    29    29    28    23 
 32    34    11    11    6 
 1    11             
     14    4    5    3 
 370    1,233    3,899    10,553    1,033 
                       
 12        44    44    32 
 12        44    44    32 
 358    1,233    3,855    10,509    1,001 
 1,525    9,211    8,193    27,682    3,406 
                       
 (196)   (1,639)   27,531    66,629    15,415 
 (16)   (45)            
     141             
         (24)   527    (1)
 (212)   (1,543)   27,507    67,156    15,414 
                       
 (1,502)   (12,276)   (34,426)   (189,418)   (6,334)
 3                 
     (91)            
         (6)   (56)    
 (1,499)   (12,367)   (34,432)   (189,474)   (6,334)
                       
 (1,711)   (13,910)   (6,925)   (122,318)   9,080 
                       
$(186)  $(4,699)  $1,268   $(94,636)  $12,486 

 

Private Client Services Funds 83

 

Statements of changes in net assets

 

                   Capital Group 
   Capital Group   Capital Group   California 
   Core Municipal   Short-Term   Core Municipal 
   Fund   Municipal Fund   Fund 
   Year ended October 31   Year ended October 31   Year ended October 31 
   2018   2017   2018   2017   2018   2017 
Operations:                        
Net investment income  $9,593   $8,299   $2,382   $2,242   $7,521   $6,544 
Net realized (loss) gain   (831)   940    (609)   (240)   487    396 
Net unrealized (depreciation) appreciation   (9,833)   (3,877)   (1,710)   (274)   (9,287)   (3,915)
                               
Net (decrease) increase in net assets resulting from operations   (1,071)   5,362    63    1,728    (1,279)   3,025 
Distributions paid to shareholders*   (10,407)        (2,344)        (7,873)     
Dividends from net investment income        (8,282)        (2,242)        (6,542)
Distributions from net realized gain on investments        (144)        (32)        (284)
                               
Total dividends and distributions paid to shareholders        (8,426)        (2,274)        (6,826)
                               
Net capital share transactions   43,071    40,004    (9,849)   (28,231)   73,017    55,632 
                               
Total increase (decrease) in net assets   31,593    36,940    (12,130)   (28,777)   63,865    51,831 
Net assets:                              
Beginning of year   442,330    405,390    149,817    178,594    388,000    336,169 
                               
End of year  $473,923   $442,330   $137,687   $149,817   $451,865   $388,000 

 

* Current year amounts reflect current presentation under new accounting standards.

 

See notes to financial statements

 

84 Private Client Services Funds

 

(dollars in thousands)

 

Capital Group                                 
California                   Capital Group         
Short-Term   Capital Group   Capital Group   International   Capital Group 
Municipal Fund   Core Bond Fund   Global Equity Fund   Equity Fund   U.S. Equity Fund 
Year ended October 31   Year ended October 31   Year ended October 31   Year ended October 31   Year ended October 31 
2018   2017   2018   2017   2018   2017   2018   2017   2018   2017 
                                      
$1,525   $1,292   $9,211   $6,002   $8,193   $7,917   $27,682   $23,016   $3,406   $3,451 
 (212)   113    (1,543)   (677)   27,507    21,817    67,156    15,859    15,414    11,282 
 (1,499)   (296)   (12,367)   (3,359)   (34,432)   88,351    (189,474)   260,319    (6,334)   31,565 
                                                
 (186)   1,109    (4,699)   1,966    1,268    118,085    (94,636)   299,194    12,486    46,298 
 (1,566)        (9,145)        (27,810)        (22,396)        (13,578)     
      (1,292)        (6,147)        (7,255)        (19,754)        (3,244)
      (52)        (1,618)                          (8,959)
                                                
      (1,344)        (7,765)        (7,255)        (19,754)        (12,203)
                                                
 10,697    2,211    43,554    69,985    22,223    (21,188)   (305,033)   (60,784)   (11,270)   (8,035)
 8,945    1,976    29,710    64,186    (4,319)   89,642    (422,065)   218,656    (12,362)   26,060 
                                                
 119,826    117,850    416,471    352,285    571,239    481,597    1,584,243    1,365,587    235,720    209,660 
                                                
$128,771   $119,826   $446,181   $416,471   $566,920   $571,239   $1,162,178   $1,584,243   $223,358   $235,720 

 

Private Client Services Funds 85

 

Notes to financial statements

 

1. Organization

 

Capital Group Private Client Services Funds (the “Trust”) is registered under the Investment Company Act of 1940 as an open-end, diversified management investment company. The Trust has five fixed income funds (Capital Group Core Municipal Fund, Capital Group Short-Term Municipal Fund, Capital Group California Core Municipal Fund, Capital Group California Short-Term Municipal Fund and Capital Group Core Bond Fund) and three equity funds (Capital Group Global Equity Fund, Capital Group International Equity Fund and Capital Group U.S. Equity Fund) (each a “fund,” collectively the “funds”).

 

Capital Group Core Municipal Fund seeks to provide current income exempt from federal income tax and to preserve capital. Capital Group Short-Term Municipal Fund seeks to preserve capital and secondarily to provide current income exempt from federal income tax. Capital Group California Core Municipal Fund seeks to provide current income exempt from federal and California income taxes and to preserve capital. Capital Group California Short-Term Municipal Fund seeks to preserve capital and secondarily to provide current income exempt from federal and California income taxes. Capital Group Core Bond Fund seeks to provide current income and to preserve capital. Capital Group Global Equity Fund, Capital Group International Equity Fund and Capital Group U.S. Equity Fund seek to provide prudent growth of capital and conservation of principal.

 

2. Significant accounting policies

 

Each fund is an investment company that applies the accounting and reporting guidance issued in Topic 946 by the U.S. Financial Accounting Standards Board. Each fund’s financial statements have been prepared to comply with U.S. generally accepted accounting principles (“U.S. GAAP”). These principles require management to make estimates and assumptions that affect reported amounts and disclosures. Subsequent events, if any, have been evaluated through the date of issuance in the preparation of the financial statements. The funds follow the significant accounting policies described in this section, as well as the valuation policies described in the next section on valuation.

 

Security transactions and related investment income — Security transactions are recorded by the funds as of the date the trades are executed with brokers. Realized gains and losses from security transactions are determined based on the specific identified cost of the securities. In the event a security is purchased with a delayed payment date, the funds will segregate liquid assets sufficient to meet their payment obligations. Dividend income is recognized on the ex-dividend date and interest income is recognized on an accrual basis. Market discounts, premiums and original issue discounts on fixed-income securities are amortized daily over the expected life of the security.

 

Dividends and distributions to shareholders — Dividend and distributions paid to shareholders are recorded on the ex-dividend date.

 

Currency translation — Assets and liabilities, including investment securities, denominated in currencies other than U.S. dollars are translated into U.S. dollars at the exchange rates supplied by one or more pricing vendors on the valuation date. Purchases and sales of investment securities and income and expenses are translated into U.S. dollars at the exchange rates on the dates of such transactions. The effects of changes in exchange rates on investment securities are included with the net realized gain or loss and net unrealized appreciation or depreciation on investments in the funds’ statements of operations. The realized gain or loss and unrealized appreciation or depreciation resulting from all other transactions denominated in currencies other than U.S. dollars are disclosed separately.

 

3. Valuation disclosures

 

Capital Guardian Trust Company (“CGTC”), the funds’ investment adviser, values each fund’s investments at fair value as defined by accounting principles generally accepted in the United States of America. The net asset value each fund is generally determined as of approximately 4:00 p.m. New York time each day the New York Stock Exchange is open.

 

Methods and inputs — The funds’ investment adviser uses the following methods and inputs to establish the fair value of each fund’s assets and liabilities. Use of particular methods and inputs may vary over time based on availability and relevance as market and economic conditions evolve.

 

86 Private Client Services Funds

 

Equity securities are generally valued at the official closing price of, or the last reported sale price on, the exchange or market on which such securities are traded, as of the close of business on the day the securities are being valued or, lacking any sales, at the last available bid price. Prices for each security are taken from the principal exchange or market on which the security trades.

 

Fixed-income securities, including short-term securities, are generally valued at prices obtained from one or more pricing vendors. Vendors value such securities based on one or more of the inputs described in the following table. The table provides examples of inputs that are commonly relevant for valuing particular classes of fixed-income securities in which the funds are authorized to invest. However, these classifications are not exclusive, and any of the inputs may be used to value any other class of fixed-income security.

 

Fixed-income class   Examples of standard inputs
All   Benchmark yields, transactions, bids, offers, quotations from dealers and trading systems, new issues, spreads and other relationships observed in the markets among comparable securities; and proprietary pricing models such as yield measures calculated using factors such as cash flows, financial or collateral performance and other reference data (collectively referred to as “standard inputs”)
Corporate bonds & notes; convertible securities   Standard inputs and underlying equity of the issuer
Bonds & notes of governments & government agencies   Standard inputs and interest rate volatilities
Mortgage-backed; asset-backed obligations   Standard inputs and cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements and specific deal information
Municipal securities   Standard inputs and, for certain distressed securities, cash flows or liquidation values using a net present value calculation based on inputs that include, but are not limited to, financial statements and debt contracts

 

When the funds’ investment adviser deems it appropriate to do so (such as when vendor prices are unavailable or deemed to be not representative), fixed-income securities will be valued in good faith at the mean quoted bid and ask prices that are reasonably and timely available (or bid prices, if ask prices are not available) or at prices for securities of comparable maturity, quality and type. Some securities may be valued based on their effective maturity or average life, which may be shorter than the stated maturity.

 

Securities with both fixed-income and equity characteristics, or equity securities traded principally among fixed-income dealers, are generally valued in the manner described for either equity or fixed-income securities, depending on which method is deemed most appropriate by the funds’ investment adviser. Exchange-traded futures are generally valued at the official settlement price of, or the last reported sale price on, the exchange or market on which such instruments are traded, as of the close of business on the day the futures are being valued or, lacking any sales, at the last available bid price. Prices for each future are taken from the exchange or market on which the security trades. Interest rate swaps are generally valued by pricing vendors based on market inputs that include the index and term of index, reset frequency, payer/receiver, currency and pay frequency.

 

Securities and other assets for which representative market quotations are not readily available or are considered unreliable by the funds’ investment adviser are fair valued as determined in good faith under fair valuation guidelines adopted by authority of the funds’ board of trustees as further described. The investment adviser follows fair valuation guidelines, consistent with U.S. Securities and Exchange Commission rules and guidance, to consider relevant principles and factors when making fair value determinations. The investment adviser considers relevant indications of value that are reasonably and timely available to it in determining the fair value to be assigned to a particular security, such as the type and cost of the security; contractual or legal restrictions on resale of the security; relevant financial or business developments of the issuer; actively traded similar or related securities; conversion or exchange rights on the security; related corporate actions; significant events occurring after the close of trading in the security; and changes in overall market conditions. In addition, the closing prices of equity securities that trade in markets outside U.S. time zones may be adjusted to reflect significant events that occur after the close of local trading but before the net asset value of each of the fund is determined. Fair valuations and valuations of investments that are not actively trading involve judgment and may differ materially from valuations that would have been used had greater market activity occurred.

 

Processes and structure — The funds’ board of trustees has delegated authority to the funds’ investment adviser to make fair value determinations, subject to board oversight. The investment adviser has established a Joint Fair Valuation Committee (the “Fair Valuation Committee”) to administer, implement and oversee the fair valuation process, and to make fair value decisions. The Fair Valuation Committee regularly reviews its own fair value decisions, as well as decisions made under its standing instructions to the investment

 

Private Client Services Funds 87

 

adviser’s valuation teams. The Fair Valuation Committee reviews changes in fair value measurements from period to period and may, as deemed appropriate, update the fair valuation guidelines to better reflect the results of back testing and address new or evolving issues. The Fair Valuation Committee reports any changes to the fair valuation guidelines to the board of trustees. The funds’ board and audit committee also regularly review reports that describe fair value determinations and methods.

 

The funds’ investment adviser has also established a Fixed-Income Pricing Review Group to administer and oversee the fixed-income valuation process, including the use of fixed-income pricing vendors. This group regularly reviews pricing vendor information and market data. Pricing decisions, processes and controls over security valuation are also subject to additional internal reviews, including an annual control self-evaluation program facilitated by the investment adviser’s compliance group.

 

Classifications — The funds’ investment adviser classifies each fund’s assets and liabilities into three levels based on the inputs used to value the assets or liabilities. Level 1 values are based on quoted prices in active markets for identical securities. Level 2 values are based on significant observable market inputs, such as quoted prices for similar securities and quoted prices in inactive markets. Certain securities trading outside the U.S. may transfer between Level 1 and Level 2 due to valuation adjustments resulting from significant market movements following the close of local trading. Level 3 values are based on significant unobservable inputs that reflect the investment adviser’s determination of assumptions that market participants might reasonably use in valuing the securities. The valuation levels are not necessarily an indication of the risk or liquidity associated with the underlying investment. For example, U.S. government securities are reflected as Level 2 because the inputs used to determine fair value may not always be quoted prices in an active market. The following tables present the funds’ valuation levels as of October 31, 2018 (dollars in thousands):

 

Capital Group Core Municipal Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Bonds, notes & other debt instruments:                    
Municipals  $   $431,670   $   $431,670 
Short-term securities       44,125        44,125 
Total  $   $475,795   $   $475,795 
             
   Other investments* 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Unrealized appreciation on futures contracts  $18   $   $   $18 
Liabilities:                    
Unrealized depreciation on futures contracts   (29)           (29)
Total  $(11)  $   $   $(11)

 

* Futures contracts are not included in the investment portfolio.

 

Capital Group Short-Term Municipal Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Bonds, notes & other debt instruments:                    
Municipals  $   $125,812   $   $125,812 
Short-term securities       13,658        13,658 
Total  $   $139,470   $   $139,470 

 

88 Private Client Services Funds
 
   Other investments* 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Unrealized appreciation on futures contracts  $3   $   $   $3 
Liabilities:                    
Unrealized depreciation on futures contracts   (19)           (19)
Total  $(16)  $   $   $(16)

 

* Futures contracts are not included in the investment portfolio.

 

Capital Group California Core Municipal Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Bonds, notes & other debt instruments:                    
Municipals  $   $369,456   $   $369,456 
Short-term securities       80,009        80,009 
Total  $   $449,465   $   $449,465 

 

   Other investments* 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Unrealized appreciation on futures contracts  $14   $   $   $14 

 

* Futures contracts are not included in the investment portfolio.

 

Capital Group California Short-Term Municipal Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Bonds, notes & other debt instruments:                    
Municipals  $   $111,328   $   $111,328 
Short-term securities       16,424        16,424 
Total  $   $127,752   $   $127,752 
     
   Other investments* 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Unrealized appreciation on futures contracts  $3   $   $   $3 

 

* Futures contracts are not included in the investment portfolio.

 

Capital Group Core Bond Fund

 

At October 31, 2018, all of the fund’s investment securities were classified as Level 2.

 

Private Client Services Funds 89
 

Capital Group Global Equity Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Common stocks:                    
Information technology  $106,594   $   $   $106,594 
Financials   88,096            88,096 
Industrials   68,042            68,042 
Consumer staples   54,844            54,844 
Health care   48,019            48,019 
Communication services   37,875            37,875 
Consumer discretionary   37,118    640        37,758 
Energy   28,962            28,962 
Materials   14,795            14,795 
Real estate   13,211            13,211 
Utilities   12,756            12,756 
Short-term securities       55,278        55,278 
Total  $510,312   $55,918   $   $566,230 

 

Capital Group International Equity Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Common stocks:                    
Financials  $155,095   $   $   $155,095 
Industrials   152,636            152,636 
Consumer staples   140,657            140,657 
Information technology   119,627            119,627 
Health care   106,323            106,323 
Consumer discretionary   71,784            71,784 
Communication services   53,134            53,134 
Materials   34,308            34,308 
Energy   26,701            26,701 
Utilities   18,859            18,859 
Real estate   8,628            8,628 
Short-term securities       276,451        276,451 
Total  $887,752   $276,451   $   $1,164,203 

 

Capital Group U.S. Equity Fund

 

   Investment securities 
   Level 1   Level 2   Level 3   Total 
Assets:                    
Common stocks:                    
Information technology  $40,736   $   $   $40,736 
Financials   37,659            37,659 
Industrials   28,518            28,518 
Health care   26,877            26,877 
Consumer staples   21,673            21,673 
Energy   16,321            16,321 
Communication services   13,877            13,877 
Consumer discretionary   11,708            11,708 
Real estate   9,039            9,039 
Utilities   3,903            3,903 
Materials   2,771            2,771 
Short-term securities       9,896        9,896 
Total  $213,082   $9,896   $   $222,978 

 

90 Private Client Services Funds
 

4. Risk factors

 

Investing in the funds may involve certain risks including, but not limited to, those described below.

 

Market conditions — The prices of, and the income generated by, the securities held by the fund may decline — sometimes rapidly or unpredictably – due to various factors, including events or conditions affecting the general economy or particular industries; overall market changes; local, regional or global political, social or economic instability; governmental, governmental agency or central bank responses to economic conditions; and currency exchange rate, interest rate and commodity price fluctuations.

 

Issuer risks — The prices of, and the income generated by, securities held by the fund may decline in response to various factors directly related to the issuers of such securities, including reduced demand for an issuer’s goods or services, poor management performance, major litigation against the issuer, changes in government regulations affecting the issuer or its competitive environment and strategic initiatives such as mergers, acquisitions or dispositions and the market response to any such initiatives.

 

Investing in debt instruments — The prices of, and the income generated by, bonds and other debt securities held by the fund may be affected by changing interest rates and by changes in the effective maturities and credit ratings of these securities.

 

Rising interest rates will generally cause the prices of bonds and other debt securities to fall. A general rise in interest rates may cause investors to sell debt securities on a large scale, which could also adversely affect the price and liquidity of debt securities and could also result in increased redemptions from the fund. Falling interest rates may cause an issuer to redeem, call or refinance a debt security before its stated maturity, which may result in the fund failing to recoup the full amount of its initial investment and having to reinvest the proceeds in lower yielding securities. Longer maturity debt securities generally have greater sensitivity to changes in interest rates and may be subject to greater price fluctuations than shorter maturity debt securities.

 

Bonds and other debt securities are also subject to credit risk, which is the possibility that the credit strength of an issuer or guarantor will weaken or be perceived to be weaker, and/or an issuer of a debt security will fail to make timely payments of principal or interest and the security will go into default. A downgrade or default affecting any of the fund’s securities could cause the value of the fund’s shares to decrease. Credit risk is gauged, in part, by the credit ratings of the debt securities in which the fund invests. However, ratings are only the opinions of the rating agencies issuing them and are not guarantees as to credit quality or an evaluation of market risk. The fund’s investment adviser relies on its own credit analysts to research issuers and issues in seeking to assess credit and default risks.

 

Investing in growth-oriented stocks — Growth-oriented common stocks and other equity-type securities (such as preferred stocks, convertible preferred stocks and convertible bonds) may involve larger price swings and greater potential for loss than other types of investments.

 

Investing in income-oriented stocks — The value of the fund’s securities and income provided by the fund may be reduced by changes in the dividend policies of, and the capital resources available for dividend payments at, the companies in which the fund invests.

 

Credit and liquidity support — Changes in the credit quality of banks and financial institutions providing credit and liquidity support features with respect to securities held by the fund could cause the values of these securities to decline.

 

Investing in lower rated debt instruments — Lower rated bonds and other lower rated debt securities generally have higher rates of interest and involve greater risk of default or price declines due to changes in the issuer’s creditworthiness than those of higher quality debt securities. The market prices of these securities may fluctuate more than the prices of higher quality debt securities and may decline significantly in periods of general economic difficulty.

 

Liquidity risk — Certain fund holdings may be or become difficult or impossible to sell, particularly during times of market turmoil. Illiquidity may result from the lack of an active market for a holding, legal or contractual restrictions on resale, or the reduced number and capacity of market participants to make a market in such holding. Market prices for less liquid or illiquid holdings may be volatile, and reduced liquidity may have an adverse impact on the market price of such holdings. Additionally, the sale of less liquid or illiquid holdings may involve substantial delays (including delays in settlement) and additional costs and the fund may be unable to sell such holdings when necessary to meet its liquidity needs or may be forced to sell at a loss.

 

Investing in similar municipal bonds — Investing significantly in municipal obligations of multiple issuers in the same state or backed by revenues of similar types of projects or industries may make the fund more susceptible to certain economic, political or regulatory occurrences. As a result, the potential for fluctuations in the fund’s share price may increase.

 

Private Client Services Funds 91
 

Investing in municipal bonds of issuers within the state of California — Because Capital Group California Core Municipal Fund and Capital Group California Short-Term Municipal Fund invest primarily in securities of issuers within the state of California, these funds are more susceptible to factors adversely affecting issuers of California securities than a comparable municipal bond mutual fund that does not concentrate its investments in a single state. For example, in the past, California voters have passed amendments to the state’s constitution and other measures that limit the taxing and spending authority of California governmental entities, and future voter initiatives may adversely affect California municipal bonds.

 

Investing in mortgage-related and other asset-backed securities — Mortgage-related securities, such as mortgage-backed securities, and other asset-backed securities, include debt obligations that represent interests in pools of mortgages or other income-bearing assets, such as consumer loans or receivables. Such securities often involve risks that are different from or more acute than the risks associated with investing in other types of debt securities. Mortgage-backed and other asset-backed securities are subject to changes in the payment patterns of borrowers of the underlying debt, potentially increasing the volatility of the securities and the fund’s net asset value. When interest rates fall, borrowers are more likely to refinance or prepay their debt before its stated maturity. This may result in the fund having to reinvest the proceeds in lower yielding securities, effectively reducing the fund’s income. Conversely, if interest rates rise and borrowers repay their debt more slowly than expected, the time in which the mortgage-backed and other asset-backed securities are paid off could be extended, reducing the fund’s cash available for reinvestment in higher yielding securities. Mortgage-backed securities are also subject to the risk that underlying borrowers will be unable to meet their obligations and the value of property that secures the mortgages may decline in value and be insufficient, upon foreclosure, to repay the associated loans. Investments in asset-backed securities are subject to similar risks.

 

Investing in securities backed by the U.S. government — Securities backed by the U.S. Treasury or the full faith and credit of the U.S. government are guaranteed only as to the timely payment of interest and principal when held to maturity. Accordingly, the current market values for these securities will fluctuate with changes in interest rates and the credit rating of the U.S. government. Securities issued by government-sponsored entities and federal agencies and instrumentalities that are not backed by the full faith and credit of the U.S. government are neither issued nor guaranteed by the U.S. government.

 

Investing outside the U.S. — Securities of issuers domiciled outside the U.S, or with significant operations or revenues outside the U.S., may lose value because of adverse political, social, economic or market developments (including social instability, regional conflicts, terrorism and war) in the countries or regions in which the issuers operate or generate revenue. These securities may also lose value due to changes in foreign currency exchange rates against the U.S. dollar and/or currencies of other countries. Issuers of these securities may be more susceptible to actions of foreign governments, such as nationalization, currency blockage or the imposition of price controls or punitive taxes, each of which could adversely impact the value of these securities. Securities markets in certain countries may be more volatile and/or less liquid than those in the U.S. Investments outside the U.S. may also be subject to different accounting practices and different regulatory, legal and reporting standards and practices, and may be more difficult to value, than those in the U.S. In addition, the value of investments outside the U.S. may be reduced by foreign taxes, including foreign withholding taxes on interest and dividends. Further, there may be increased risks of delayed settlement of securities purchased or sold by the fund. The risks of investing outside the U.S. may be heightened in connection with investments in emerging markets.

 

Investing in derivatives — The use of derivatives involves a variety of risks, which may be different from, or greater than, the risks associated with investing in traditional securities, such as stocks and bonds. Changes in the value of a derivative may not correlate perfectly with, and may be more sensitive to market events than, the underlying asset, rate or index, and a derivative instrument may expose the fund to losses in excess of its initial investment. Derivatives may be difficult to value, difficult for the fund to buy or sell at an opportune time or price and difficult to terminate or otherwise offset. The fund’s use of derivatives may result in losses to the fund, and investing in derivatives may reduce the fund’s returns and increase the fund’s price volatility. The fund’s counterparty to a derivative transaction (including, if applicable, the fund’s clearing broker, the derivatives exchange or the clearinghouse) may be unable or unwilling to honor its financial obligations in respect of the transaction.

 

Management — The investment adviser to the fund actively manages the fund’s investments. Consequently, the fund is subject to the risk that the methods and analyses, including models, tools and data, employed by the investment adviser in this process may be flawed or incorrect and may not produce the desired results. This could cause the fund to lose value or its investment results to lag relevant benchmarks or other funds with similar objectives.

 

92 Private Client Services Funds
 

5. Certain investment techniques

 

Mortgage dollar rolls — Some of the funds have entered into mortgage dollar roll transactions in which the fund sells a mortgage-backed security to a counterparty and simultaneously enters into an agreement with the same counterparty to buy back a similar security on a specific future date at a predetermined price. Mortgage dollar rolls are accounted for as purchase and sale transactions, which may increase the funds’ portfolio turnover rates.

 

Futures contracts — Capital Group Core Municipal Fund, Capital Group Short-Term Municipal Fund, Capital Group California Core Municipal Fund, Capital Group California Short-Term Municipal Fund and Capital Group Core Bond Fund have entered into futures contracts, which provide for the future sale by one party and purchase by another party of a specified amount of a specific financial instrument for a specified price, date, time and place designated at the time the contract is made. Futures contracts are used to strategically manage portfolio volatility and downside equity risk.

 

Upon entering into futures contracts, and to maintain the fund’s open positions in futures contracts, the fund is required to deposit with a futures broker, or FCM, in a segregated account in the name of the FCM an amount of cash, U.S. government securities or other liquid securities, known as initial margin. The margin required for a particular futures contract is set by the exchange on which the contract is traded to serve as collateral, and may be significantly modified from time to time by the exchange during the term of the contract. Securities deposited as initial margin, if any, are disclosed in the investment portfolio and cash deposited as initial margin, if any, is reflected as restricted cash pledged for futures contracts in the fund’s statement of assets and liabilities.

 

On a daily basis, each fund pays or receives variation margin based on the increase or decrease in the value of the futures contracts and records variation margin on futures contracts in each fund’s statement of assets and liabilities. In addition, each fund segregates liquid assets equivalent to the fund’s outstanding obligations under the contract in excess of the initial margin and variation margin, if any. Futures contracts may involve a risk of loss in excess of the variation margin shown on each fund’s statement of assets and liabilities. Each fund records realized gains or losses at the time the futures contract is closed or expires. Net realized gains or losses and net unrealized appreciation or depreciation from futures contracts are recorded in each fund’s statement of operations.

 

Interest rate swaps — Capital Group Core Bond Fund has entered into interest rate swaps, which are agreements to exchange one stream of future interest payments for another based on a specified notional amount. Typically, interest rate swaps exchange a fixed interest rate for a payment that floats relative to a benchmark or vice versa. The series’ investment adviser uses interest rate swaps to manage the interest rate sensitivity of the fund by increasing or decreasing the duration of the fund or a portion of the fund’s portfolio. Risks may arise as a result of the series’ investment adviser incorrectly anticipating changes in interest rates, increased volatility, reduced liquidity and the potential inability of counterparties to meet the terms of their agreements.

 

Upon entering into an interest rate swap contract, the fund is required to deposit cash, U.S. government securities or other liquid securities, which is known as initial margin. Generally, the initial margin required for a particular interest rate swap is set and held as collateral by the clearinghouse on which the contract is cleared. The amount of initial margin required may be significantly modified from time to time by the clearinghouse during the term of the contract.

 

On a daily basis, the series’ investment adviser records daily interest accruals related to the exchange of future payments as a receivable and payable in each fund’s statement of assets and liabilities. Each fund also pays or receives a variation margin based on the increase or decrease in the value of the interest rate swaps, including accrued interest, and records variation margin on interest rate swaps in each fund’s statement of assets and liabilities. Each fund records realized gains and losses on both the net accrued interest and any gain or loss recognized at the time the interest rate swap is closed or expires. Net realized gains or losses, as well as any net unrealized appreciation or depreciation, from interest rate swaps are recorded in each fund’s statement of operations.

 

Private Client Services Funds 93
 

The following table presents the average month-end notional amounts of futures contracts and interest rate swaps while held for each fund (dollars in thousands):

 

   Futures   Interest
Rate
Swaps
Capital Group Core Municipal Fund   $29,833   Not applicable
Capital Group Short-Term Municipal Fund   14,900   Not applicable
Capital Group California Core Municipal Fund   21,667   Not applicable
Capital Group California Short-Term Municipal   3,750   Not applicable
Capital Group Core Bond Fund   38,400   $110,023

 

The following tables present the financial statement impacts resulting from the funds’ use of futures contracts and/or interest rate swaps as of, or for the year ended, October 31, 2018 (dollars in thousands):

 

Capital Group Core Municipal Fund

 

      Assets   Liabilities 
Contracts  Risk type  Location on statement of assets and liabilities  Value   Location on statement of assets and liabilities  Value 
Futures  Interest  Unrealized appreciation*  $18   Unrealized depreciation*  $29 
                    
      Net realized loss   Net unrealized depreciation 
Contracts  Risk type  Location on statement of operations  Value   Location on statement of operations  Value 
Futures  Interest  Net realized loss on futures contracts  $(54)  Net unrealized depreciation on futures contracts  $(11)

 

* Includes cumulative appreciation/depreciation on futures contracts as reported in the applicable table following the fund’s investment portfolio. Only current day’s variation margin is reported within the statement of assets and liabilities.

 

Capital Group Short-Term Municipal Fund

 

      Assets   Liabilities 
Contracts  Risk type  Location on statement of assets and liabilities  Value   Location on statement of assets and liabilities  Value 
Futures  Interest  Unrealized appreciation*  $3   Unrealized depreciation*  $19 
                    
      Net realized loss   Net unrealized depreciation 
Contracts  Risk type  Location on statement of operations  Value   Location on statement of operations  Value 
Futures  Interest  Net realized loss on futures contracts  $(6)  Net unrealized depreciation on futures contracts  $(16)

 

* Includes cumulative appreciation/depreciation on futures contracts as reported in the applicable table following the fund’s investment portfolio. Only current day’s variation margin is reported within the statement of assets and liabilities.

 

Capital Group California Core Municipal Fund

 

      Assets   Liabilities 
Contracts  Risk type  Location on statement of assets and liabilities  Value   Location on statement of assets and liabilities  Value 
Futures  Interest  Unrealized appreciation*  $14   Unrealized depreciation*  $ 

 

94 Private Client Services Funds
 
      Net realized loss   Net unrealized appreciation 
Contracts  Risk type  Location on statement of operations  Value   Location on statement of operations  Value 
Futures  Interest  Net realized loss on futures contracts  $(24)  Net unrealized appreciation on futures contracts  $14 

 

* Includes cumulative appreciation/depreciation on futures contracts as reported in the applicable table following the fund’s investment portfolio. Only current day’s variation margin is reported within the statement of assets and liabilities.

 

Capital Group California Short-Term Municipal Fund

 

      Assets   Liabilities 
Contracts  Risk type  Location on statement of assets and liabilities  Value   Location on statement of assets and liabilities  Value 
Futures  Interest  Unrealized appreciation*  $3   Unrealized depreciation*  $ 
                    
      Net realized loss   Net unrealized appreciation 
Contracts  Risk type  Location on statement of operations  Value   Location on statement of operations  Value 
Futures  Interest  Net realized loss on futures contracts  $(16)  Net unrealized appreciation on futures contracts  $3 

 

* Includes cumulative appreciation/depreciation on futures contracts as reported in the applicable table following the fund’s investment portfolio. Only current day’s variation margin is reported within the statement of assets and liabilities.

 

Capital Group Core Bond Fund

 

      Assets   Liabilities 
Contracts  Risk type  Location on statement of assets and liabilities  Value   Location on statement of assets and liabilities  Value 
Swaps  Interest  Unrealized appreciation*  $180   Unrealized depreciation*  $271 
                    
      Net realized (loss) gain   Net unrealized depreciation 
Contracts  Risk type  Location on statement of operations  Value   Location on statement of operations  Value 
Futures  Interest  Net realized loss on futures contracts  $(45)  Net unrealized appreciation on futures contracts  $ 
Swaps  Interest  Net realized gain on swap contracts   141   Net unrealized depreciation on swap contracts   (91)
         $96      $(91)

 

* Includes cumulative appreciation/depreciation on interest rate swaps as reported in the applicable table following the fund’s investment portfolio. Only current day’s variation margin is reported within the statement of assets and liabilities.

 

Collateral — The funds participate in a collateral program that call for the funds to either receive or pledge highly liquid assets, such as cash or U.S. government securities, as collateral due to their use of futures contracts, interest rate swaps and future delivery contracts. For futures contracts and interest rate swaps, the program calls for the fund to pledge collateral for initial and variation margin by contract. For future delivery contracts, the program calls for the fund to either receive or pledge collateral based on the net gain or loss on unsettled contracts by certain counterparties. The purpose of the collateral is to cover potential losses that could occur in the event that either party cannot meet its contractual obligations. Non-cash collateral pledged by the fund, if any, is disclosed in the fund’s investment portfolio, and cash collateral pledged by the fund, if any, is held in a segregated account with the fund’s custodian, which is reflected as pledged cash in the fund’s statement of assets and liabilities.

 

Private Client Services Funds 95
 

6. Taxation and distributions

 

Federal income taxation — Each fund complies with the requirements under Subchapter M of the Internal Revenue Code applicable to mutual funds and each intends to distribute substantially all of its net income and net capital gains each year. The funds are not subject to income taxes to the extent taxable income and net capital gains are distributed. Therefore, no federal income tax provision is required.

 

As of and during the period ended October 31, 2018, none of the funds had a liability for any unrecognized tax benefits. Each fund recognizes interest and penalties, if any, related to unrecognized tax benefits as income tax expense in their respective statements of operations. During the period, none of the funds incurred any significant interest or penalties.

 

Each fund’s tax returns are not subject to examination by federal, state and, if applicable, non-U.S. tax authorities after the expiration of each jurisdiction’s statute of limitations, which is generally three years after the date of filing but can be extended in certain jurisdictions.

 

Non-U.S. taxation — Dividend and interest income, if any, are recorded net of non-U.S. taxes paid. The funds may file withholding tax reclaims in certain jurisdictions to recover a portion of amounts previously withheld. As a result of rulings from European courts, the funds filed for additional reclaims related to prior years. These reclaims are recorded when the amount is known and there are no significant uncertainties on collectability. Gains realized by the funds on the sale of securities in certain countries, if any, may be subject to non-U.S. taxes. If applicable, the funds record an estimated deferred tax liability based on unrealized gains to provide for potential non-U.S. taxes payable upon the sale of these securities.

 

Distributions — Distributions paid to shareholders are based on each fund’s net investment income and net realized gains determined on a tax basis, which may differ from net investment income and net realized gains for financial reporting purposes. These differences are due primarily to different treatment for items such as currency gains and losses; short-term capital gains and losses; capital losses related to sales of certain securities within 30 days of purchase; net capital losses; income on certain investments; amortization of premiums and discounts and cost of investments sold. The fiscal year in which amounts are distributed may differ from the year in which the net investment income and net realized gains are recorded by the funds for financial reporting purposes. The funds may also designate a portion of the amount paid to redeeming shareholders as a distribution for tax purposes.

 

Additional tax basis disclosures for each fund as of October 31, 2018, are as follows (dollars in thousands):

 

           Capital   Capital 
   Capital   Capital   Group   Group 
   Group   Group   California   California 
   Core   Short-Term   Core   Short-Term 
   Municipal   Municipal   Municipal   Municipal 
   Fund   Fund   Fund   Fund 
Undistributed tax-exempt income   25    29    11    28 
Undistributed long-term capital gains           449     
Capital loss carryforward*   (841)   (861)       (207)
Gross unrealized appreciation on investments   979    90    1,590    47 
Gross unrealized depreciation on investments   (5,912)   (1,406)   (4,181)   (980)
Net unrealized (depreciation) appreciation on investments   (4,933)   (1,316)   (2,591)   (933)
Cost of investments   480,717    140,771    452,070    128,688 
Reclassification from (to) total distributable earnings/accumulated loss to (from) capital paid in on shares of beneficial interest   10        57    (2)

 

96 Private Client Services Funds
 
   Capital   Capital   Capital   Capital 
   Group   Group   Group   Group 
   Core Bond   Global Equity   International   U.S. Equity 
   Fund   Fund   Equity Fund   Fund 
Undistributed ordinary income  $39   $5,578   $29,311   $282 
Undistributed long-term capital gains       26,584        14,424 
Capital loss carryforward*   (2,200)       (16,445)    
Capital loss carryforward utilized           63,420     
Gross unrealized appreciation on investments   285    142,259    231,513    71,718 
Gross unrealized depreciation on investments   (11,796)   (11,852)   (21,328)   (2,916)
Net unrealized (depreciation) appreciation on investments   (11,511)   130,407    210,185    68,802 
Cost of investments   469,767    435,823    954,018    154,176 
Reclassification from (to) total distributable earnings/accumulated loss to (from) capital paid in on shares of beneficial interest   (1)   2,442    1    1,327 

 

* Capital loss carryforwards will be used to offset any capital gains realized by the fund in future years. The fund will not make distributions from capital gains while a capital loss carryforward remains.

 

Distributions paid by each fund were characterized for tax purposes as follows (dollars in thousands):

 

   Year ended October 31, 2018
           Long-Term   Total 
   Tax-Exempt   Ordinary   Capital   Distributions 
   Income   Income   Gains   Paid 
Capital Group Core Municipal Fund   9,535        872    10,407 
Capital Group Short-Term Municipal Fund   2,344            2,344 
Capital Group California Core Municipal Fund   7,517        356    7,873 
Capital Group California Short-Term Municipal Fund   1,479    32    55    1,566 
Capital Group Core Bond Fund       9,145        9,145 
Capital Group Global Equity Fund       7,638    20,172    27,810 
Capital Group International Equity Fund       22,396        22,396 
Capital Group U.S. Equity Fund       2,928    10,650    13,578 
                     
   Year ended October 31, 2017
             Long-Term   Total 
   Tax-Exempt   Ordinary   Capital   Distributions 
   Income   Income   Gains   Paid 
Capital Group Core Municipal Fund   8,282        144    8,426 
Capital Group Short-Term Municipal Fund   2,242    32        2,274 
Capital Group California Core Municipal Fund   6,542        284    6,826 
Capital Group California Short-Term Municipal Fund   1,292        52    1,344 
Capital Group Core Bond Fund       7,046    719    7,765 
Capital Group Global Equity Fund       7,255        7,255 
Capital Group International Equity Fund       19,754        19,754 
Capital Group U.S. Equity Fund       3,244    8,959    12,203 

 

Private Client Services Funds 97
 

7. Fees and transactions

 

CGTC serves as investment adviser to the funds and other funds. CGTC is a wholly owned subsidiary of Capital Group International, Inc. Expense limitations have been imposed through January 1, 2019, to limit the funds’ total annual fund operating expenses to the following rates (as a percentage of average daily net assets):

 

Fund  Expense Limitation
Capital Group Core Municipal Fund   0.30%
Capital Group Short-Term Municipal Fund   0.30 
Capital Group California Core Municipal Fund   0.30 
Capital Group California Short-Term Municipal Fund   0.30 
Capital Group Core Bond Fund   0.30 
Capital Group Global Equity Fund   0.65 
Capital Group International Equity Fund   0.65 
Capital Group U.S. Equity Fund   0.425 

 

CGTC does not intend to recoup any reimbursed expenses from a prior year under expense limitations then in effect for the funds.

 

Investment advisory services — The funds have an investment advisory and service agreement with CGTC that provides for monthly fees accrued daily. The fee for each fixed income fund was 0.25% of the average daily net assets of the fund. For the services it provides to Capital Group Global Equity Fund, Capital Group International Equity Fund and Capital Group U.S. Equity Fund, CGTC receives a unified management fee based on a percentage of the average daily net assets of the funds. The unified management fee for Capital Group Global Equity Fund and Capital Group International Equity Fund was 0.65% of the average daily net assets of each fund. The unified management fee for Capital Group U.S. Equity Fund was 0.425% of the average daily net assets of the fund.

 

For the equity funds, all managing and operating expenses are paid by CGTC from the unified management fees except brokerage expenses, taxes, interest, fees and expenses of the independent trustees (including legal counsel fees) and extraordinary expenses, such as litigation expenses. These expenses which are not paid by CGTC from the unified management fee are paid by the funds, which are currently reimbursed by the advisor.

 

Distribution services — American Funds Distributors,® Inc. (the “Distributor”) is the principal underwriter of each fund’s shares. The Distributor does not receive any compensation related to the sale of shares of the funds.

 

Affiliated officers and trustees — Officers and certain trustees of the Trust are or may be considered to be affiliated with CGTC. No affiliated officers or trustees received any compensation directly from the Trust.

 

Security transactions with related funds — The funds may purchase from, or sell securities to, other CGTC-managed funds (or accounts managed by certain affiliates of CGTC) under procedures adopted by the funds’ board of trustees. The funds involved in such transactions are considered related by virtue of having a common investment adviser (or affiliated investment advisers), common trustees and/or common officers. When such transactions occur, each transaction is executed at the current market price of the security and no brokerage commissions or fees are paid in accordance with Rule 17a-7 of the 1940 Act.

 

The following table presents purchase and sales transactions between each fund and related funds as of October 31, 2018 (dollars in thousands):

 

Fund  Purchases   Sales 
Capital Group Core Municipal Fund  $3,809   $11,864 
Capital Group Short-Term Municipal Fund   583    14,396 
Capital Group California Core Municipal Fund   4,616    8,886 
Capital Group California Short-Term Municipal Fund   3,928    3,214 
Capital Group Core Bond Fund        
Capital Group Global Equity Fund   3,277    13,208 
Capital Group International Equity Fund   13,032    28,865 
Capital Group U.S. Equity Fund   1,925    1,786 

 

98 Private Client Services Funds
 

Interfund lending — Pursuant to an exemptive order issued by the SEC, the fund, along with other CGTC-managed funds (or funds managed by certain affiliates of CGTC), may participate in an interfund lending program. The program provides an alternate credit facility that permits the funds to lend or borrow cash for temporary purposes directly to or from one another, subject to the conditions of the exemptive order. The fund did not lend or borrow cash through the interfund lending program at any time during during the year ended October 31, 2018.

 

Private Client Services Funds 99
 

8. Capital share transactions

 

Capital share transactions in the funds were as follows (dollars and shares in thousands):

 

   Sales   Reinvestment of
distributions
   Repurchases   Net increase
(decrease)
 
Fund  Amount   Shares   Amount   Shares   Amount   Shares   Amount   Shares 
                                 
Year ended October 31, 2018                                    
                                         
Capital Group Core Municipal Fund  $97,527    9,471   $7,627    744   $(62,083)   (6,053)  $43,071    4,162 
Capital Group Short-Term Municipal Fund   71,336    7,134    1,767    177    (82,952)   (8,297)   (9,849)   (986)
Capital Group California Core Municipal Fund   125,385    12,006    5,305    508    (57,673)   (5,514)   73,017    7,000 
Capital Group California Short-Term Municipal Fund   42,212    4,174    978    97    (32,493)   (3,210)   10,697    1,061 
Capital Group Core Bond Fund   77,015    7,723    6,963    701    (40,424)   (4,077)   43,554    4,347 
Capital Group Global Equity Fund   67,752    4,301    22,616    1,474    (68,145)   (4,340)   22,223    1,435 
Capital Group International Equity Fund   1,657,055    119,264    22,056    1,605    (1,984,144)   (145,012)   (305,033)   (24,143)
Capital Group U.S. Equity Fund   18,287    799    12,222    542    (41,779)   (1,807)   (11,270)   (466)
                                         
Year ended October 31, 2017                                    
                                     
Capital Group Core Municipal Fund  $101,192    9,764   $5,846    565   $(67,034)   (6,488)  $40,004    3,841 
Capital Group Short-Term Municipal Fund   79,828    7,946    1,681    167    (109,740)   (10,927)   (28,231)   (2,814)
Capital Group California Core Municipal Fund   91,608    8,697    4,558    434    (40,534)   (3,869)   55,632    5,262 
Capital Group California Short-Term Municipal Fund   46,705    4,587    872    86    (45,366)   (4,457)   2,211    216 
Capital Group Core Bond Fund   101,119    9,984    5,963    589    (37,097)   (3,654)   69,985    6,919 
Capital Group Global Equity Fund   53,952    3,836    5,365    425    (80,505)   (5,764)   (21,188)   (1,503)
Capital Group International Equity Fund   293,846    25,080    2,587    241    (357,217)   (31,060)   (60,784)   (5,739)
Capital Group U.S. Equity Fund   12,512    604    10,740    532    (31,287)   (1,466)   (8,035)   (330)

 

100 Private Client Services Funds
 

9. Investment transactions and other disclosures

 

The following tables present additional information for each of the funds for the year ended October 31, 2018 (dollars in thousands):

 

           Capital Group   Capital Group 
   Capital Group   Capital Group   California   California 
   Core Municipal   Short-Term   Core Municipal   Short-Term 
   Fund   Municipal Fund   Fund   Municipal Fund 
Purchases of investment securities*  $288,717   $90,493   $283,981   $71,045 
Sales of investment securities*   232,963    87,977    247,066    70,313 
                     
        Capital Group   Capital Group      
   Capital Group   Global Equity   International   Capital Group 
   Core Bond Fund   Fund   Equity Fund   U.S. Equity Fund 
Purchases of investment securities*  $229,549   $154,463   $312,407   $48,999 
Sales of investment securities*   166,066    196,163    809,649    74,609 

 

* Excludes short-term securities and U.S. government obligations, if any.

 

10. Advisory platform concentration

 

Most of the shares of Capital Group International Equity fund are held through a single advisory platform (more than 86% of the fund as of October 31, 2018). If the platform sponsor decides to move a significant number of its clients out of the fund it could have an adverse impact by causing the fund to have to sell securities in order to meet redemptions. The fund’s investment adviser monitors the fund’s asset allocation and the liquidity of the fund’s portfolio in seeking to mitigate this risk.

 

Private Client Services Funds 101
 

Financial highlights

 

       (Loss) income from investment operations1   Dividends and distributions                         
Year ended  Net asset
value,
beginning
of year
   Net
investment
income
   Net (losses)
gains on
securities (both
realized and
unrealized)
   Total from
investment
operations
   Dividends
(from net
investment
income)
   Distributions
(from capital
gains)
   Total
dividends
and
distributions
   Net asset
value, end
of year
   Total
return2
   Net assets,
end of year
(in millions)
   Ratio of
expenses to
average net
assets before
reimbursements
   Ratio of
expenses to
average net
assets after
reimbursements2
   Ratio of
net income
to average
net assets2
 
Capital Group Core Municipal Fund
10/31/2018  $10.41   $.21   $(.26)  $(.05)  $(.19)  $(.02)  $(.21)  $10.15    (.32)%  $474    .27%   .27%   2.04%
10/31/2017   10.48    .21    (.07)   .14    (.21)   3   (.21)   10.41    1.39    442    .35    .34    2.02 
10/31/2016   10.49    .21    3   .21    (.21)   (.01)   (.22)   10.48    1.97    405    .41    .40    1.97 
10/31/2015   10.56    .21    (.07)   .14    (.21)       (.21)   10.49    1.31    379    .42    .40    1.97 
10/31/2014   10.44    .21    .12    .33    (.21)       (.21)   10.56    3.18    341    .41    .40    2.00 
Capital Group Short-Term Municipal Fund
10/31/2018  $10.09   $.17   $(.18)  $(.01)  $(.15)  $   $(.15)  $9.93    .05%  $138    .32%   .30%   1.67%
10/31/2017   10.11    .14    (.02)   .12    (.14)   3   (.14)   10.09    1.26    150    .41    .35    1.42 
10/31/2016   10.12    .12    (.01)   .11    (.12)   3   (.12)   10.11    1.06    179    .45    .40    1.14 
10/31/2015   10.19    .12    (.07)   .05    (.12)   3   (.12)   10.12    .51    142    .46    .40    1.15 
10/31/2014   10.21    .13    (.01)   .12    (.13)   (.01)   (.14)   10.19    1.20    155    .45    .40    1.24 
Capital Group California Core Municipal Fund
10/31/2018  $10.57   $.19   $(.23)  $(.04)  $(.18)  $(.01)  $(.19)  $10.34    (.27)%  $452    .27%   .27%   1.85%
10/31/2017   10.69    .20    (.11)   .09    (.20)   (.01)   (.21)   10.57    .84    388    .35    .34    1.88 
10/31/2016   10.59    .21    .09    .30    (.20)       (.20)   10.69    2.86    336    .41    .40    1.89 
10/31/2015   10.62    .21    (.03)   .18    (.21)       (.21)   10.59    1.68    305    .42    .40    1.95 
10/31/2014   10.40    .20    .22    .42    (.20)       (.20)   10.62    4.08    280    .41    .40    1.92 
Capital Group California Short-Term Municipal Fund
10/31/2018  $10.21   $.13   $(.15)  $(.02)  $(.12)  $(.01)  $(.13)  $10.06    (.07)%  $129    .31%   .30%   1.28%
10/31/2017   10.23    .11    (.02)   .09    (.11)   3   (.11)   10.21    .97    120    .42    .35    1.11 
10/31/2016   10.28    .10    (.04)   .06    (.10)   (.01)   (.11)   10.23    .63    118    .46    .40    1.00 
10/31/2015   10.31    .10    (.03)   .07    (.10)   3   (.10)   10.28    .74    112    .46    .40    .98 
10/31/2014   10.27    .09    .04    .13    (.09)   3   (.09)   10.31    1.30    138    .44    .40    .89 
Capital Group Core Bond Fund
10/31/2018  $10.14   $.21   $(.34)  $(.13)  $(.19)  $   $(.19)  $9.82    (1.14)%  $446    .28%   .28%   2.08%
10/31/2017   10.31    .16    (.12)   .04    (.16)   (.05)   (.21)   10.14    .41    416    .35    .34    1.58 
10/31/2016   10.19    .16    .15    .31    (.16)   (.03)   (.19)   10.31    3.03    352    .41    .40    1.55 
10/31/2015   10.25    .16    (.04)   .12    (.16)   (.02)   (.18)   10.19    1.25    335    .42    .40    1.59 
10/31/2014   10.24    .16    .04    .20    (.16)   (.03)   (.19)   10.25    1.95    310    .41    .40    1.57 
Capital Group Global Equity Fund
10/31/2018  $15.62   $.22   $(.16)  $.06   $(.21)  $(.55)  $(.76)  $14.92    .25%  $567    .66%   .65%   1.38%
10/31/2017   12.65    .21    2.95    3.16    (.19)       (.19)   15.62    25.36    571    .73    .734   1.52 
10/31/2016   13.13    .20    (.08)   .12    (.18)   (.42)   (.60)   12.65    1.04    482    .86    .85    1.64 
10/31/2015   13.27    .18    (.03)   .15    (.14)   (.15)   (.29)   13.13    1.10    498    .86    .85    1.34 
10/31/2014   12.43    .14    .80    .94    (.10)       (.10)   13.27    7.60    510    .85    .854   1.09 
Capital Group International Equity Fund
10/31/2018  $13.67   $.24   $(1.05)  $(.81)  $(.19)  $   $(.19)  $12.67    (6.09)%   $ 1,162     .65%   .65%4   1.71%
10/31/2017   11.23    .20    2.42    2.62    (.18)       (.18)   13.67    23.73    1,584    .73    .734   1.64 
10/31/2016   11.50    .16    (.30)   (.14)   (.13)       (.13)   11.23    (1.20)   1,366    .85    .854   1.44 
10/31/2015   11.56    .13    (.05)   .08    (.14)       (.14)   11.50    .69    1,333    .85    .854   1.11 
10/31/2014   11.72    .16    (.23)   (.07)   (.09)       (.09)   11.56    (.62)   1,652    .85    .854   1.35 
Capital Group U.S. Equity Fund
10/31/2018  $22.95   $.34   $.85   $1.19   $(.29)  $(1.07)  $(1.36)  $22.78    5.30%  $223    .44%   .43%   1.45%
10/31/2017   19.78    .32    4.02    4.34    (.31)   (.86)   (1.17)   22.95    22.76    236    .53    .52    1.52 
10/31/2016   19.88    .33    .55    .88    (.30)   (.68)   (.98)   19.78    4.58    210    .66    .65    1.68 
10/31/2015   20.11    .26    .46    .72    (.24)   (.71)   (.95)   19.88    3.75    198    .67    .65    1.31 
10/31/2014   18.33    .25    2.05    2.30    (.24)   (.28)   (.52)   20.11    12.78    192    .66    .65    1.30 

 

102 Private Client Services Funds
 
Portfolio turnover rate for all share classes  Year ended October 31
excluding mortgage dollar roll transactions5  2018  2017  2016  2015  2014
Capital Group Core Bond Fund   41%   52%   58%   87%  Not available
                          
Portfolio turnover rate for all share classes,  Year ended October 31
including mortgage dollar roll transactions  2018 2017 2016 2015 2014
Capital Group Core Municipal Fund   55%   47%   18%   16%   9%
Capital Group Short-Term Municipal Fund   70    42    24    27    20 
Capital Group California Core Municipal Fund   69    27    11    13    18 
Capital Group California Short-Term Municipal Fund   65    36    19    23    19 
Capital Group Core Bond Fund   110    95    86    126    137 
Capital Group Global Equity Fund   28    20    36    39    29 
Capital Group International Equity Fund   22    17    21    34    33 
Capital Group U.S. Equity Fund   22    19    31    29    27 

 

1 Based on average shares outstanding.
2 This column reflects the impact, if any, of certain reimbursements by Capital Guardian Trust Company.
3 Amount less than $.01.
4 Reimbursement was less than 0.005%.
5 Refer to Note 5 for further information on mortgage dollar rolls.

 

See notes to financial statements

 

Private Client Services Funds 103
 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees and Shareholders of Capital Group Core Municipal Fund, Capital Group Short-Term Municipal Fund, Capital Group California Core Municipal Fund, Capital Group California Short- Term Municipal Fund, Capital Group Core Bond Fund, Capital Group Global Equity Fund, Capital Group International Equity Fund, and Capital Group U.S. Equity Fund

 

Opinion on the Financial Statements

 

We have audited the accompanying statements of assets and liabilities, including the investment portfolios, of Capital Group Core Municipal Fund, Capital Group Short-Term Municipal Fund, Capital Group California Core Municipal Fund, Capital Group California Short- Term Municipal Fund, Capital Group Core Bond Fund, Capital Group Global Equity Fund, Capital Group International Equity Fund, and Capital Group U.S. Equity Fund (eight of the funds constituting Capital Group Private Client Services Funds, hereafter collectively referred to as the “Funds”), as of October 31, 2018, and the related statements of operations, changes in net assets, including the related notes, and the financial highlights for the year ended October 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of October 31, 2018, the results of each of their operations, changes in each of their net assets, and each of the financial highlights for the year ended October 31, 2018 in conformity with accounting principles generally accepted in the United States of America.

 

The financial statements of the Funds as of and for the year ended October 31, 2017 and the financial highlights for each of the five years in the period then ended (not presented herein, other than the statement of changes in net assets for the year ended October 31, 2017 and the financial highlights for each of the four years in the period ended October 31, 2017), were audited by other auditors whose report dated December 19, 2017 expressed an unqualified opinion on those financial statements and financial highlights.

 

Basis for Opinion

 

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of October 31, 2018 by correspondence with the custodian and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

/s/ PricewaterhouseCoopers LLP

 

Los Angeles, California
December 17, 2018

 

We have served as the auditor of one or more investment companies in The Capital Group Companies Investment Company Complex since 1934.

 

104 Private Client Services Funds
 
Expense example unaudited

 

As a shareholder of the funds, you incur ongoing costs, including management fees and other expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the funds so you can compare these costs with the ongoing costs of investing in other mutual funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire six-month period (May 1, 2018, through October 31, 2018).

 

Actual expenses:

The first line of each share class in the table on the following pages provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading titled “Expenses paid during period” to estimate the expenses you paid on your account during this period.

 

Hypothetical example for comparison purposes:

The second line of each share class in the table on the following pages provides information about hypothetical account values and hypothetical expenses based on the actual expense ratio for the share class and an assumed rate of return of 5.00% per year before expenses, which is not the actual return of the share class. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the fund and other funds. To do so, compare this 5.00% hypothetical example with the 5.00% hypothetical examples that appear in the shareholder reports of the other funds.

 

Notes:

Shareholders of the funds may be subject to an additional fee charged by Capital Guardian Trust Company’s Capital Group Private Client Services division for the ongoing services provided to the shareholder. You can estimate the impact of these fees by adding the amount of the fees to the total estimated expenses you paid on your account during the period as calculated above. In addition, your ending account value would be lower by the amount of these fees. Note that the expenses shown in the table are meant to highlight your ongoing costs only. The second line of each fund in the table is useful in comparing ongoing costs only and will not help you determine the relative total costs of owning different funds.

 

Private Client Services Funds 105
 
   Beginning
account value
5/1/2018
   Ending
account value
10/31/2018
   Expenses
paid during
period*
   Annualized
expense
ratio
 
Capital Group Core Municipal Fund                    
Actual return  $1,000.00   $1,005.40   $1.42    .28%
Assumed 5% return   1,000.00    1,023.79    1.43    .28 
Capital Group Short-Term Municipal Fund                    
Actual return  $1,000.00   $1,006.34   $1.57    .31%
Assumed 5% return   1,000.00    1,023.64    1.58    .31 
Capital Group California Core Municipal Fund                    
Actual return  $1,000.00   $1,006.37   $1.42    .28%
Assumed 5% return   1,000.00    1,023.79    1.43    .28 
Capital Group California Short-Term Municipal Fund                    
Actual return  $1,000.00   $1,006.31   $1.67    .33%
Assumed 5% return   1,000.00    1,023.54    1.68    .33 
Capital Group Core Bond Fund                    
Actual return  $1,000.00   $1,004.35   $1.47    .29%
Assumed 5% return   1,000.00    1,023.74    1.48    .29 
Capital Group Global Equity Fund                    
Actual return  $1,000.00   $973.89   $3.23    .65%
Assumed 5% return   1,000.00    1,021.93    3.31    .65 
Capital Group International Equity Fund                    
Actual return  $1,000.00   $918.72   $3.14    .65%
Assumed 5% return   1,000.00    1,021.93    3.31    .65 
Capital Group U.S. Equity Fund                    
Actual return  $1,000.00   $1,028.31   $2.20    .43%
Assumed 5% return   1,000.00    1,023.04    2.19    .43 

 

* The “expenses paid during period” are equal to the “annualized expense ratio,” multiplied by the average account value over the period, multiplied by the number of days in the period, and divided by 365 (to reflect the one-half year period).

 

106 Private Client Services Funds
 
Tax information unaudited

 

We are required to advise you of the federal tax status of certain distributions received by shareholders during the fiscal year. The funds hereby designate the following amounts for the funds’ fiscal year ended October 31, 2018:

 

   Capital Group
Core Municipal
Fund
   Capital Group
Short-Term
Municipal Fund
   Capital Group
California
Core Municipal
Fund
   Capital Group
California
Short-Term
Municipal Fund
 
Long-term capital gains  $868,000       $407,000   $54,000 
Exempt interest dividends   100%   100%   100%   100%
                     
   Capital Group
Core Bond Fund
   Capital Group
Global Equity Fund
   Capital Group
International
Equity Fund
   Capital Group
U.S. Equity Fund
 
Long-term capital gains      $22,613,000       $11,978,000 
Foreign taxes (per share)      $0.020   $0.030     
Foreign source income (per share)      $0.20   $0.43     
Qualified dividend income       100%   100%   100%
Corporate dividends received deduction      $4,849,000        100%

 

Individual shareholders should refer to their Form 1099 or other tax information, which will be mailed in January 2019, to determine the calendar year amounts to be included on their 2018 tax returns. Shareholders should consult their tax advisors.

 

Private Client Services Funds 107
 

Approval of Investment Advisory and Service Agreement

 

Capital Group Private Client Services Funds’ board approved an amendment of the funds’ Investment Advisory and Service Agreement (the “agreement”) with Capital Guardian Trust Company (“CGTC”) on August 27, 2018, with respect to Capital Group Global Equity Fund and Capital International Equity Fund (each a “fund”). Under the current agreement, Capital Group Global Equity Fund and Capital Group International Equity Fund have been subject to a single, all inclusive “unified” management fee, which covers, with some exceptions, all services necessary for the management and operation of the funds. Under the agreement as amended, management fees and other fund expenses will be charged separately.

 

The board approved the amended agreement, subject to shareholder approval. Shareholders approved the amendment at a meeting held November 28, 2018. The board took into account the same information it considered when it approved the current agreement on June 4, 2018, as described in the funds’ semi-annual report to shareholders for the period ended April 30, 2018. The board noted that the materials provided to it remain reflective of the adviser’s services, there had been no reduction in any services provided to Capital Group Private Client Services Funds since June, 2018, and no reduction in services is contemplated by the amended agreement.

 

In addition, the board reviewed current information comparing the proposed advisory fees and total expense levels (each as a percentage of average net assets) of Capital Group Global Equity Fund and Capital Group International Equity Fund to those of other comparable funds. The board observed that the proposed advisory fees and expenses of the Capital Group Global Equity Fund and Capital Group International Equity Fund were below those of most of the comparable funds in their respective Lipper categories. The board also considered the adviser’s proposal to cap fund expenses of the Capital Group Global Equity Fund and Capital Group International Equity Fund at their current levels for a five-year period. The board also considered current investment results of Capital Group Global Equity Fund and Capital Group International Equity Fund, updated information on brokerage research costs, and updated information on the profitability of CGTC and its affiliates.

 

In considering the modified fee structure, the board considered the potential for the modified fee to facilitate expanded distribution of the funds, which can, in turn, reduce fees through economies of scale. The board also weighed the benefits of the unified fee structure described above as compared to the modified fee structure. While the board took into account that, among other benefits, the unified fee structure of the Capital Group Global Equity Fund and Capital Group International Equity Fund shifts to CGTC the risk of future increases in the Funds’ operating costs, and allows shareholders to more easily compare the total expenses of the Funds with the total expenses of other mutual funds, the board concluded that the modified fee structure would benefit shareholders by positioning the Capital Group Global Equity Fund and Capital Group International Equity Fund for growth opportunities, which would, in turn, help reduce fund expenses.

 

Please refer to the funds’ semi-annual report to shareholders for the period ended April 30, 2018, for additional discussion regarding the basis for approval of the Capital Group Private Client Services Funds’ Investment Advisory and Service Agreement.

 

Approval of Capital Research and Management Company as investment adviser

The board also approved changing the investment adviser of the Capital Group Private Client Services Funds to Capital Research and Management Company (“CRMC”). Accordingly, we anticipate that CGTC’s responsibilities as investment adviser will transition to CRMC. CRMC is an affiliate of CGTC, and the individuals managing the fund will not change. Importantly, when the change in adviser is effected, there will be no changes to the investment objectives or strategies of any fund. While we anticipate the change will take place in the second or third quarter of 2019, the investment adviser reserves the right to delay implementation until operationally ready.

 

108 Private Client Services Funds
 

Board of trustees and other officers

 

Independent trustees1

 

Name and year of birth  Year first
elected a
trustee of
the fund2
  Principal occupation(s) during past five years  Number of
portfolios overseen
by trustee3
  Other directorships held
by trustee4
Joseph C. Berenato, 1946
Trustee
  2015  Former Chairman and CEO, Ducommun Incorporated (aerospace components manufacturer)  16  None
Vanessa C. L. Chang, 1952
Chairman of the Board (Independent and Non-Executive)
  2015  Former Director, EL & EL Investments (real estate)  17  Edison International; Sykes Enterprises; Transocean Ltd.
James G. Ellis, 1947
Trustee
  2019  Dean and Professor of Marketing, Marshall School of Business, University of Southern California  91  Mercury General Corporation; Former director of Quiksilver, Inc.
Jennifer Feikin, 1968
Trustee
  2019  Business Advisor; previously held positions at Google, AOL, 20th Century Fox and McKinsey & Company; Trustee, The Nature Conservancy of California; Former Director, First Descents  10   
Pablo R. González Guajardo, 1967
Trustee
  2019  CEO, Kimberly-Clark de México, S.A.B. de C.V.  17  América Móvil, S.A.B. de C.V.; Grupo Lala, S.A.B. de C.V.; Grupo Sanborns, S.A.B. de C.V.; Kimberly-Clark de México, S.A.B. de C.V.
Leslie Stone Heisz, 1961
Trustee
  2019  Former Managing Director, Lazard (retired, 2010); Director, Edwards Lifesciences; Trustee, Public Storage; Director, Kaiser Permanente (California public benefit corporation); Lecturer, UCLA Anderson School of Management  10  Former director, Ingram Micro (technology director); Former director, Towers Watson (actuary/benefits consultancy); Former director, HCC Insurance (P&C insurer)
William D. Jones, 1955
Trustee
  2019  Real estate developer/owner, President and CEO, CityLink Investment Corporation (acquires, develops and manages real estate ventures in urban communities) and for the former City Scene Management Company (provides commercial asset management services)  18  Sempra Energy

 

Richard G. Capen, Jr., H. Frederick Christie and Richard G. Newman, founding trustees of the fund, have retired from the board. The trustees thank Ambassador Capen, Mr. Christie and Mr. Newman for their dedication and service to the fund and its shareholders.

 

Interested trustee5

 

Name, year of birth and position
with fund
  Year first
elected a
trustee or
officer of
the fund2
  Principal occupation(s) during past five years and
positions held with affiliated entities or the principal
underwriter of the fund
  Number of
portfolios overseen
by trustee3
  Other directorships held
by trustee4
John S. Armour, 1957
President and Trustee
  2013  President — Private Client Services Division, Capital Bank and Trust Company6  10  None

 

The fund’s statement of additional information includes further details about fund trustees and is available without charge upon request by calling your relationship manager at (800) 421-4225, ext. 90. The address for all trustees and officers of the fund is 333 South Hope Street, Los Angeles, CA 90071, Attention: Secretary.

 

See page 110 for footnotes.

 

Private Client Services Funds 109
 

Other officers7

 

Name, year of birth and position
with fund
  Year first elected
an officer of the
fund2
  Principal occupation(s) during past five years and positions held with affiliated entities or the principal
underwriter of the fund
Aaron Applebaum, 1979
Senior Vice President
  2018  Partner — Capital Fixed Income Investors, Capital Research and Management Company6
Mark A. Marinella, 1958
Senior Vice President
  2018  Partner — Capital Fixed Income Investors, Capital Research and Management Company6
John R. Queen, 1965
Senior Vice President
  2018  Senior Vice President — Private Client Services Division, Capital Bank and Trust Company;6 Partner — Capital Fixed Income Investors, Capital Research and Management Company6
William L. Robbins, 1968
Senior Vice President
  2018  Partner — Capital International Investors, Capital Research and Management Company6
Timothy W. McHale, 1978
Vice President
  2011  Senior Vice President and Senior Counsel — Fund Business Management Group, Capital Research and Management Company;6 Secretary, American Funds Distributors, Inc.6
Courtney R. Taylor, 1975
Secretary
  2011  Assistant Vice President — Fund Business Management Group, Capital Research and Management Company;6 Secretary, Capital Guardian Trust Company
Gregory F. Niland, 1971
Treasurer
  2014  Vice President — Investment Operations, Capital Research and Management Company6
Susan K. Countess, 1966
Assistant Secretary
  2012  Associate — Fund Business Management Group, Capital Research and Management Company6
Brian C. Janssen, 1972
Assistant Treasurer
  2015  Vice President — Investment Operations, Capital Research and Management Company6

 

1 The term independent trustee refers to a trustee who is not an “interested person” of the fund within the meaning of the Investment Company Act of 1940.
2 Trustees and officers of the fund serve until their resignation, removal or retirement.
3 Funds managed by Capital Guardian Trust Company or its affiliates.
4 This includes all directorships (other than the fund or other funds managed by Capital Guardian Trust Company or its affiliates) that are held by each trustee as a trustee or director of a public company or a registered investment company. Unless otherwise noted, all directorships are current.
5 The term interested trustee refers to a trustee who is an “interested person” of the fund within the meaning of the Investment Company Act of 1940, on the basis of his or her affiliation with the fund’s investment adviser, Capital Guardian Trust Company, or affiliated entities (including the fund’s principal underwriter).
6 Company affiliated with Capital Guardian Trust Company.
7 All of the officers listed are officers of one or more of the other funds for which Capital Guardian Trust Company or an affiliate serves as investment adviser.

 

110 Private Client Services Funds
 

Board of trustees and other officers (continued)

 

Results of special meeting of shareholders

held November 28, 2018

 

Shares outstanding (all classes) on August 31, 2018 (record date)

326,651,103

 

Total shares voting on November 28, 2018

321,707,293 (98.5% of shares outstanding)

 

   Votes for  Percent
of shares
voting for
  Votes
withheld
  Percent
of shares
withheld
Proposal 1: To elect board members:                
John S. Armour   321,702,118    100.0%   5,175    0.0%
Joseph C. Berenato   321,702,118    100.0    5,175    0.0 
Vanessa C. L. Chang   321,702,118    100.0    5,175    0.0 
James G. Ellis   321,702,118    100.0    5,175    0.0 
Jennifer Feikin   321,702,118    100.0    5,175    0.0 
Pablo R. González Guajardo   637,230    0.2    321,070,063    99.8 
Leslie Stone Heisz   321,702,118    100.0    5,175    0.0 
William D. Jones   321,702,118    100.0    5,175    0.0 

 

Proposal 2: To amend the investment advisory and service agreement between Capital Group Private Client Services Funds and Capital Guardian Trust Company for Capital Group Global Equity Fund and Capital Group International Equity Fund:

 

Shares outstanding (all classes) on August 31, 2018 (record date)

37,990,326

 

Total shares voting on November 28, 2018

37,959,787 (99.9% of shares outstanding)

 

   Votes for  Percent of
shares
voting for
  Votes
against
  Percent of
shares
voting against
  Votes
abstained
  Percent
of shares
abstained
Capital Group Global Equity Fund  37,959,787  100.0%  0  0.0%  0  0.0%

 

Shares outstanding (all classes) on August 31, 2018 (record date)

118,640,611

 

Total shares voting on November 28, 2018

115,050,619 (97.0% of shares outstanding)

 

   Votes for  Percent of
shares
voting for
  Votes
against
  Percent of
shares
voting against
  Votes
abstained
  Percent
of shares
abstained
Capital Group International Equity Fund  114,808,247  99.8%  19,893  0.0%  30,927  0.2%

 

Private Client Services Funds 111
 

Office of the fund and of the investment adviser

Capital Guardian Trust Company
6455 Irvine Center Drive
Irvine, CA 92618-4518

 

Transfer agent for shareholder accounts

American Funds Service Company
(Write to the address near you.)

 

P.O. Box 6007
Indianapolis, IN 46206-6007

 

P.O. Box 2280
Norfolk, VA 23501-2280

 

Custodian of assets

JPMorgan Chase Bank
270 Park Avenue
New York, NY 10017-2070

 

Counsel

Morgan, Lewis & Bockius LLP
One Federal Street
Boston, MA 02110-1726

 

Independent registered public accounting firm

PricewaterhouseCoopers LLP
601 South Figueroa Street
Los Angeles, CA 90017-3874

 

Principal underwriter

American Funds Distributors, Inc.
333 South Hope Street
Los Angeles, CA 90071-1406

 

Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus, which can be obtained from Capital Guardian Trust Company by calling (800) 266-9532 and should be read carefully before investing. Fund shares offered through American Fund Distributors, Inc.

 

Capital Group Private Client Services Fund files a complete list of its portfolio holdings with the U.S. Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year on Form N-Q. This filing is available free of charge on the SEC website (www.sec.gov). Additionally, the list of portfolio holdings is available by calling your relationship manager at (800) 266-9532.

 

The proxy voting procedures and policies of Capital Group Private Client Services Fund — which describe how we vote proxies relating to portfolio securities — are available upon request by calling your relationship manager at (800) 266-9532. The fund files its proxy voting record with the SEC for the 12 months endedJune 30 by August 31. The report also is available on the SEC website or by calling your relationship manager.

 

The Standard & Poor’s 500 Composite Index (“Index”) is a product of S&P Dow Jones Indices LLC and/or its affiliates and has been licensed for use by Capital Group. Copyright© 2018 S&P Dow Jones Indices LLC, a division of S&P Global, and/or its affiliates. All rights reserved. Redistribution or reproduction in whole or in part are prohibited without written permission of S&P Dow Jones Indices LLC.

 

Bloomberg® is a trademark of Bloomberg Finance L.P. (collectively with its affiliates, “Bloomberg”). Barclays® is a trademark of Barclays Bank Plc (collectively with its affiliates, “Barclays”), used under license. Neither Bloomberg nor Barclays approves or endorses this material, guarantees the accuracy or completeness of any information herein and, to the maximum extent allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

 

MSCI has not approved, reviewed or produced this report, makes no express or implied warranties or representations and is not liable whatsoever for any data in the report. You may not redistribute the MSCI data or use it as a basis for other indices or investment products.

 

 

 

ITEM 2 – Code of Ethics

 

The Registrant has adopted a Code of Ethics that applies to its Principal Executive Officer and Principal Financial Officer. The Registrant undertakes to provide to any person without charge, upon request, a copy of the Code of Ethics. Such request can be made by calling 800/421-4225 or to the Secretary of the Registrant, 6455 Irvine Center Drive, Irvine, California 92618.

 

ITEM 3 – Audit Committee Financial Expert

 

The Registrant’s board has determined that Vanessa C. L. Chang, a member of the Registrant’s audit committee, is an “audit committee financial expert” and "independent," as such terms are defined in this Item. This designation will not increase the designee’s duties, obligations or liability as compared to his or her duties, obligations and liability as a member of the audit committee and of the board, nor will it reduce the responsibility of the other audit committee members. There may be other individuals who, through education or experience, would qualify as "audit committee financial experts" if the board had designated them as such. Most importantly, the board believes each member of the audit committee contributes significantly to the effective oversight of the Registrant’s financial statements and condition.

 

ITEM 4 – Principal Accountant Fees and Services

 

Registrant:
  a)  Audit Fees:

    2017 N/A
    2018 $242,000
     
  b)  Audit-Related Fees:
    2017 N/A
    2018 $10,000
     
  c)  Tax Fees:
    2017 N/A
    2018 None
    The tax fees consist of professional services relating to the preparation of the Registrant’s tax returns.
     
  d)  All Other Fees:
    2017 N/A
    2018 None
     
    Adviser and affiliates (includes only fees for non-audit services billed to the adviser and affiliates for engagements that relate directly to the operations and financial reporting of the Registrant and were subject to the pre-approval policies described below):
  a)  Audit Fees:
    Not Applicable
     
  b)  Audit-Related Fees:
    2017 N/A
    2018 None
    The audit-related fees consist of assurance and related services relating to the examination of the Registrant’s transfer agent, principal underwriter and investment adviser conducted in accordance with Statement on Standards for Attestation Engagements Number 16 issued by the American Institute of Certified Public Accountants.
     
  c)  Tax Fees:
    Not Applicable
       
       
  d)  All Other Fees:
    Not Applicable
     

       
    All audit and permissible non-audit services that the Registrant’s audit committee considers compatible with maintaining the independent registered public accounting firm’s independence are required to be pre-approved by the committee.  The pre-approval requirement will extend to all non-audit services provided to the Registrant, the investment adviser, and any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to the Registrant, if the engagement relates directly to the operations and financial reporting of the Registrant. The committee will not delegate its responsibility to pre-approve these services to the investment adviser. The committee may delegate to one or more committee members the authority to review and pre-approve audit and permissible non-audit services.  Actions taken under any such delegation will be reported to the full committee at its next meeting. The pre-approval requirement is waived with respect to non-audit services if certain conditions are met. The pre-approval requirement was not waived for any of the non-audit services listed above provided to the Registrant, adviser and affiliates.
       
    Aggregate non-audit fees paid to the Registrant’s auditors, including fees for all services billed to the Registrant, adviser and affiliates that provide ongoing services to the Registrant, were N/A for fiscal year 2017 and $0 for fiscal year 2018. The non-audit services represented by these amounts were brought to the attention of the committee and considered to be compatible with maintaining the auditors’ independence.

 

ITEM 5 – Audit Committee of Listed Registrants

 

Not applicable to this Registrant, insofar as the Registrant is not a listed issuer as defined in Rule 10A-3 under the Securities Exchange Act of 1934.

 

ITEM 6 – Schedule of Investments

 

Not applicable, insofar as the schedule is included as part of the report to shareholders filed under Item 1 of this Form.

 

ITEM 7 – Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies

 

Not applicable to this Registrant, insofar as the Registrant is not a closed-end management investment company.

 

ITEM 8 – Portfolio Managers of Closed-End Management Investment Companies

 

Not applicable to this Registrant, insofar as the Registrant is not a closed-end management investment company.

 

ITEM 9 – Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers

 

Not applicable to this Registrant, insofar as the Registrant is not a closed-end management investment company.

 

ITEM 10 – Submission of Matters to a Vote of Security Holders

 

There have been no material changes to the procedures by which shareholders may recommend nominees to the Registrant’s board of trustees since the Registrant last submitted a proxy statement to its shareholders. The procedures are as follows. The Registrant has a nominating committee comprised solely of persons who are not considered ‘‘interested persons’’ of the Registrant within the meaning of the Investment Company Act of 1940, as amended. The committee periodically reviews such issues as the board’s composition, responsibilities, committees, compensation and other relevant issues, and recommends any appropriate changes to the full board of trustees. While the committee normally is able to identify from its own resources an ample number of qualified candidates, it will consider shareholder suggestions of persons to be considered as nominees to fill future vacancies on the board. Such suggestions must be sent in writing to the nominating committee of the Registrant, c/o the Registrant’s Secretary, and must be accompanied by complete biographical and occupational data on the prospective nominee, along with a written consent of the prospective nominee for consideration of his or her name by the nominating committee.

 

ITEM 11 – Controls and Procedures

 

(a) The Registrant’s Principal Executive Officer and Principal Financial Officer have concluded, based on their evaluation of the Registrant’s disclosure controls and procedures (as such term is defined in Rule 30a-3 under the Investment Company Act of 1940), that such controls and procedures are adequate and reasonably designed to achieve the purposes described in paragraph (c) of such rule.
   
(b) Effective May 28, 2018, the Capital Group Private Client Services Funds’s investment adviser implemented a new fixed income order management, trading, and compliance system.  In connection with introducing this new system, additional automated and manual controls were implemented and some existing controls were modified.  None of these changes were in response to any identified deficiency or weakness in the Capital Group Private Client Services Funds’s internal control over financial reporting.

 

ITEM 12 – Exhibits

 

(a)(1) The Code of Ethics that is the subject of the disclosure required by Item 2 is attached as an exhibit hereto.
   
(a)(2) The certifications required by Rule 30a-2 of the Investment Company Act of 1940 and Sections 302 and 906 of the Sarbanes-Oxley Act of 2002 are attached as exhibits hereto.

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

  CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS
   
  By /s/ John S. Armour
 

John S. Armour, President and

Principal Executive Officer

   
  Date: December 31, 2018

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

 

 

By /s/ John S. Armour

John S. Armour, President and

Principal Executive Officer

 
Date: December 31, 2018

 

 

 

By /s/ Gregory F. Niland

Gregory F. Niland, Treasurer and

Principal Financial Officer

 
Date: December 31, 2018

 

EX-99.CODE ETH 2 cgpcs_coe.htm COE

Code of Ethics

 

The following Code of Ethics is in effect for the Registrant:

 

  The Fund has adopted the following standards in accordance with the requirements of Form N-CSR adopted by the Securities and Exchange Commission pursuant to Section 406 of the Sarbanes-Oxley Act of 2002 for the purpose of deterring wrongdoing and promoting: 1) honest and ethical conduct, including handling of actual or apparent conflicts of interest between personal and professional relationships; 2) full, fair, accurate, timely and understandable disclosure in reports and documents that a fund files with or submits to the Commission and in other public communications made by the fund; 3) compliance with applicable governmental laws, rules and regulations; 4) the prompt internal reporting of violations of the Code to an appropriate person or persons identified in the Code; and 5) accountability for adherence to the Code.  These provisions shall apply to the principal executive officer or chief executive officer and treasurer (“Covered Officers”) of the Fund.
 
  (1) It is the responsibility of Covered Officers to foster, by their words and actions, a corporate culture that encourages honest and ethical conduct, including the ethical resolution of, and appropriate disclosure of conflicts of interest.  Covered Officers should work to assure a working environment that is characterized by respect for law and compliance with applicable rules and regulations.
 
  (2) Each Covered Officer must act in an honest and ethical manner while conducting the affairs of the Fund, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships.  Duties of Covered Officers include:
       
    Acting with integrity;
    Adhering to a high standard of business ethics; and
    Not using personal influence or personal relationships to improperly influence investment decisions or financial reporting whereby the Covered Officer would benefit personally to the detriment of the Fund;
       
  (3) Each Covered Officer should act to promote full, fair, accurate, timely and understandable disclosure in reports and documents that the Fund files with or submits to, the Securities and Exchange Commission and in other public communications made by the Fund.
       
    Covered Officers should familiarize themselves with disclosure requirements applicable to the Fund and disclosure controls and procedures in place to meet these requirements; and
    Covered Officers must not knowingly misrepresent, or cause others to misrepresent facts about the Fund to others, including the Fund’s auditors, independent trustees, governmental regulators and self-regulatory organizations.
       
  (4) Any existing or potential violations of this Code of Ethics should be reported to The Capital Group Companies’ Personal Investing Committee.  The Personal Investing Committee is authorized to investigate any such violations and report their findings to the Chairman of the Audit Committee of the Fund.  The Chairman of the Audit Committee may report violations of the Code of Ethics to the Board or other appropriate entity including the Audit Committee, if he or she believes such a reporting is appropriate.  The Personal Investing Committee may also determine the appropriate sanction for any violations of this Code of Ethics, including removal from office, provided that removal from office shall only be carried out with the approval of the Board.
     
  (5) Application of this Code of Ethics is the responsibility of the Personal Investing Committee, which shall report periodically to the Chairman of the Audit Committee of the Fund.
     
  (6) Material amendments to these provisions must be ratified by a majority vote of the Board.  As required by applicable rules, substantive amendments to the Code of Ethics must be filed or appropriately disclosed.

 

EX-99.CERT 3 cgpcs_cert302.htm CERT302

 

 

 

 

 

Capital Group Private Client Services Funds

6455 Irvine Center Drive

Irvine, California 92618

(213) 486-9200

CERTIFICATION

I, John S. Armour, certify that:

 

1. I have reviewed this report on Form N-CSR of Capital Group Private Client Services Funds;
   
2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
   
3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;
   
4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in rule 30a-3(c) under the Investment Company Act of 1940) and internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:
   
  a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
   
  b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
   
  c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
   
  d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
   
5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's Board of Trustees (or persons performing the equivalent functions):
   
  a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and
   
  b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

Date: December 31, 2018

 

/s/ John S. Armour

John S. Armour, President and

Principal Executive Officer

Capital Group Private Client Services Funds

 

 
 

 

 

 

 

 

 

Capital Group Private Client Services Funds

6455 Irvine Center Drive

Irvine, California 92618

(213) 486-9200

CERTIFICATION

I, Gregory F. Niland, certify that:

 

1. I have reviewed this report on Form N-CSR of Capital Group Private Client Services Funds;
   
2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
   
3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;
   
4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in rule 30a-3(c) under the Investment Company Act of 1940) and internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:
   
  a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
   
  b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
   
  c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
   
  d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
   
5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's Board of Trustees (or persons performing the equivalent functions):
   
  a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and
   
  b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

Date: December 31, 2018

 

/s/ Gregory F. Niland

Gregory F. Niland, Treasurer and

Principal Financial Officer

Capital Group Private Client Services Funds

 

EX-99.906 CERT 4 cgpcs_cert906.htm CERT906

 

 

 

 

 

Capital Group Private Client Services Funds

6455 Irvine Center Drive

Irvine, California 92618

(213) 486-9200

 

 

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

JOHN S. ARMOUR, President and Principal Executive Officer, and GREGORY F. NILAND, Treasurer and Principal Financial Officer of Capital Group Private Client Services Funds (the "Registrant"), each certify to the best of his knowledge that:

 

1) The Registrant's periodic report on Form N-CSR for the period ended October 31, 2018 (the "Form N-CSR") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
   
2) The information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Principal Executive Officer Principal Financial Officer
   
CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS
   
   
/s/ John S. Armour /s/ Gregory F. Niland
John S. Armour, President Gregory F. Niland, Treasurer
   
Date: December 31, 2018 Date: December 31, 2018

 

A signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS and will be retained by CAPITAL GROUP PRIVATE CLIENT SERVICES FUNDS and furnished to the Securities and Exchange Commission (the "Commission") or its staff upon request.

 

This certification is being furnished to the Commission solely pursuant to 18 U.S.C. Section 1350 and is not being filed as part of the Form N-CSR filed with the Commission.

 

 

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