0000051931-16-002973.txt : 20160930 0000051931-16-002973.hdr.sgml : 20160930 20160930135303 ACCESSION NUMBER: 0000051931-16-002973 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 27 CONFORMED PERIOD OF REPORT: 20160731 FILED AS OF DATE: 20160930 DATE AS OF CHANGE: 20160930 EFFECTIVENESS DATE: 20160930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK CENTRAL INDEX KEY: 0001496999 IRS NUMBER: 273101752 FISCAL YEAR END: 0731 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-22448 FILM NUMBER: 161912381 BUSINESS ADDRESS: STREET 1: 6455 IRVINE CENTER DRIVE CITY: IRVINE STATE: CA ZIP: 92618 BUSINESS PHONE: 213-486-9501 MAIL ADDRESS: STREET 1: 333 S HOPE ST - 55TH FLOOR (GYR) CITY: LOS ANGELES STATE: CA ZIP: 90071 0001496999 S000030189 AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK C000092891 Class A NYAAX C000092892 Class B NYABX C000092893 Class C NYACX C000092894 Class F-1 NYAEX C000092895 Class F-2 NYAFX N-CSR 1 tefny_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: 811-22448

 

 

 

American Funds Tax-Exempt Fund of New York

(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: July 31

 

Date of reporting period: July 31, 2016

 

 

 

 

 

Steven I. Koszalka

American Funds Tax-Exempt Fund of New York

333 South Hope Street

Los Angeles, California 90071

(Name and Address of Agent for Service)

 

 

 

 
 

 

ITEM 1 – Reports to Stockholders

 

Invest in municipal bonds
for tax-advantaged income.

 

 

American Funds Short-Term Tax-Exempt Bond Fund®
Limited Term Tax-Exempt Bond Fund of America®
The Tax-Exempt Bond Fund of America®
American High-Income Municipal Bond Fund®
The Tax-Exempt Fund of California®
American Funds Tax-Exempt Fund of New York®

Annual report for the year ended July 31, 2016
 

American Funds Short-Term Tax-Exempt Bond Fund seeks to provide you with current income exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital.

 

Limited Term Tax-Exempt Bond Fund of America seeks to provide you with current income exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital.

 

The Tax-Exempt Bond Fund of America seeks to provide you with a high level of current income exempt from federal income tax, consistent with the preservation of capital.

 

American High-Income Municipal Bond Fund seeks to provide you with a high level of current income exempt from regular federal income tax.

 

The Tax-Exempt Fund of California seeks to provide you with a high level of current income exempt from regular federal and California state income taxes. Its secondary objective is preservation of capital.

 

American Funds Tax-Exempt Fund of New York seeks to provide you with a high level of current income exempt from regular federal, New York state and New York City income taxes. Its secondary objective is preservation of capital.

 

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

 

Fund results shown in this report, unless otherwise indicated, are for Class A shares at net asset value. If a sales charge had been deducted (maximum 2.50% for American Funds Short-Term Tax-Exempt Bond Fund and Limited Term Tax-Exempt Bond Fund of America; 3.75% for The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York), the results would have been lower. 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. Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value. For current information and month-end results, visit americanfunds.com.

 

Here are the total returns on a $1,000 investment with all distributions reinvested for periods ended June 30, 2016 (the most recent calendar quarter-end), and the total annual fund operating expense ratios as of the prospectus dated October 1, 2016 (unaudited):

 

    Cumulative total returns   Average annual total returns   Gross
Class A shares   1 year   5 years   10 years/Lifetime*   expense ratios
                 
Reflecting 2.50% maximum sales charge                                
American Funds Short-Term Tax-Exempt Bond Fund     –1.02 %     0.64 %     1.32 %     0.59 %
Limited Term Tax-Exempt Bond Fund of America     0.73       2.37       3.31       0.59  
                                 
Reflecting 3.75% maximum sales charge                                
The Tax-Exempt Bond Fund of America     3.36       4.94       4.38       0.54  
American High-Income Municipal Bond Fund     5.84       7.21       4.76       0.67  
The Tax-Exempt Fund of California     3.51       5.66       4.66       0.60  
American Funds Tax-Exempt Fund of New York     3.75       4.56       4.20       0.72  

 

* Applicable only to American Funds Tax-Exempt Fund of New York, which began operations on 11/1/10. All other funds reflect 10-year results.

 

For other share class results, visit americanfunds.com.

 

The 10-year investment result for American Funds Short-Term Tax-Exempt Bond Fund includes the fund’s results as a money market fund through the date of its conversion (August 7, 2009) to a short-term tax-exempt bond fund, and therefore is not representative of the fund’s results had it operated as a short-term tax-exempt bond fund for the full term of that period. Investment results assume all distributions are reinvested and reflect applicable fees and expenses. 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 American Funds Tax-Exempt Fund of New York. Investment results reflect the reimbursement, without which the results would have been lower. This reimbursement will be in effect through at least September 30, 2017, 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. Please see the fund’s most recent prospectus for details.

 

A summary of each fund’s 30-day yield can be found on page 3.

 

 

Individual funds are listed in this report according to their risk potential, with the lowest risk funds listed first.

 

Contents
 
1 Letter to investors
   
4 Fund reviews
   
  Investment portfolios
   
17 American Funds Short-Term Tax-Exempt Bond Fund
   
23 Limited Term Tax-Exempt Bond Fund of America
   
28 The Tax-Exempt Bond Fund of America
   
35 American High-Income Municipal Bond Fund
   
40 The Tax-Exempt Fund of California
   
45 American Funds Tax-Exempt Fund of New York
   
50 Financial statements
   
85 Boards of trustees and other officers

 

Fellow investors:

 

We are pleased to present you with this annual report for our six municipal bond funds: American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York. This report covers the 12 months ended July 31, 2016, the conclusion of the funds’ fiscal year.

 

It was a strong period for the municipal market, as healthy demand, economic uncertainty and the accommodative monetary policy employed by a number of central banks contributed to a favorable environment for bond prices. Against this backdrop, all of the funds produced solid results. Total returns ranged from 1.51% for American Funds Short-Term Tax-Exempt Bond Fund to 9.45% for American High-Income Municipal Bond Fund. (See pages 4 through 16 for fund specific results and information.)

 

Economic and market overview

Municipal bond prices climbed steadily during the funds’ fiscal year. The Bloomberg Barclays Municipal Bond Index, a broad measure of the investment-grade market (bonds rated BBB/Baa and above), posted its 13th straight month of positive total returns in July. In general, bond price appreciation accounted for an unusually high proportion of these returns, as yields for many types of municipal securities remain near multiyear lows. We caution investors that such strong capital appreciation is unusual in the municipal market and unlikely to continue indefinitely.

 

A number of conditions helped support the rally. Equity markets were volatile at times as investors grappled with a slowing global economy and questioned the sustainability of the U.S. expansion. This spurred investors to seek the relative stability of bonds. For the period, the Bloomberg Barclays U.S. Treasury Index rose 5.77%. The implementation of negative interest rates in Europe and Japan further drove demand for U.S. fixed income securities. As of July 31, the yield on a 10-year U.S. Treasury bond was 1.46%. Tax-exempt bonds also benefited from these trends, generally outpacing Treasuries.

 

After increasing its target federal funds rate in December, a move that was widely anticipated, the Federal Reserve indicated it would take a cautious approach to further rate hikes in the face of mixed economic signals. However, after choosing to leave interest rates unchanged in its July meeting, the Federal Open Market Committee’s postmeeting statement noted that the near-term risks to the economic outlook had diminished.

 

In July, Puerto Rico failed to make some $1 billion in payments to bondholders, including $780 million of principal and interest on general obligation bonds. The default was the largest ever in the municipal market. We remind investors that Puerto Rico’s fiscal challenges are unique, and its issuers are not representative of the risk profile of the broader tax-exempt universe. What’s more, while prices for bonds linked to Puerto Rico have come under intense pressure in recent years, the bonds themselves held up comparatively well during the fiscal year.

 

Higher yielding municipal bonds outpaced investment-grade issues. The Bloomberg Barclays High-Yield Municipal Bond Index gained 13.44% for the year,

 

American Funds Tax-Exempt Funds 1
 

 

compared with a 6.94% increase for the Bloomberg Barclays Municipal Bond Index. The wide disparity in returns can be partially attributed to the high concentrations of tobacco-related bonds in the index — which generated some of the strongest returns for the period — and the presence of Puerto Rican bonds. In general, longer term bonds tended to outpace those of shorter duration. Revenue bonds, which support essential services such as water, sewer and electric utilities, generated higher returns on the whole than general obligation bonds.

 

Despite the low-rate environment, issuance was relatively modest for the 12 months. Investor demand for municipal bonds, however, was robust. These conditions further buoyed the year-long rally. As has been the case for some time, most of the funds covered in this report maintained relatively short duration positions throughout the fiscal year. In a strong bull market, this approach served as a drag on relative results. That said, we are pleased with the funds’ overall results and believe they are prudently positioned for the future.

 

Looking ahead

U.S. payroll employment registered a strong 292,000 gain in June, while wages continued to rise. Retail sales, housing starts and home sales increased. That said, while the U.S. does not appear to be entering a recession, growth remains modest. What’s more, many of the conditions that helped foster the recent bond market rally — weak growth abroad and unprecedented actions adopted by central banks around the world — remain in place. Currently we see no clear signal that these conditions are likely to end soon.

 

Therefore, we are seeking to maintain an evenhanded approach to the market going forward, mindful of the potential for rising rates and heightened volatility, but also aware that a lower for longer interest rate scenario could remain in place for some time. We are working hard to maintain an appropriate balance between risk and potential reward, relying on both macroeconomic and in-depth credit research to seek to identify bonds that can add value for investors.

 

Investment flows for each of the funds were solidly positive during the year. We take this opportunity to welcome our new investors.

 

We endeavor to be responsible stewards of your capital. As such, we thank you for the confidence you have placed in us.

 

Sincerely,

 

 

Brenda S. Ellerin

President, American Funds Short-Term Tax-Exempt Bond Fund and Limited Term Tax-Exempt Bond Fund of America

 

 

Neil L. Langberg

President, The Tax-Exempt Bond Fund of America and The Tax-Exempt Fund of California

 

 

Karl J. Zeile

President, American High-Income Municipal Bond Fund and American Funds Tax-Exempt Fund of New York

 

September 12, 2016

 

For current information about the funds, visit americanfunds.com.

 

2 American Funds Tax-Exempt Funds
 

Funds’ 30-day yields

 

Below is a summary of each fund’s 30-day yield and 12-month distribution rate for Class A shares as of August 31, 2016. Both measures reflect the 2.50%/3.75% maximum sales charge. Each fund’s 30-day yield is calculated in accordance with the U.S. Securities and Exchange Commission (SEC) formula. The SEC yield reflects the rate at which each fund is earning income on its current portfolio of securities while the distribution rate reflects the funds’ past dividends paid to shareholders. Accordingly, the funds’ SEC yields and distribution rates may differ. The equivalent taxable yield assumes a 43.4% tax rate.1

 

    SEC   Equivalent   12-month
Class A shares   30-day yield   taxable yield   distribution rate
             
Reflecting 2.50% maximum sales charge                        
American Funds Short-Term Tax-Exempt Bond Fund     0.24 %     0.42 %     0.99 %
Limited Term Tax-Exempt Bond Fund of America     0.39       0.69       2.08  
                         
Reflecting 3.75% maximum sales charge                        
The Tax-Exempt Bond Fund of America     1.29       2.28       2.96  
American High-Income Municipal Bond Fund     2.13       3.76       3.61  
The Tax-Exempt Fund of California     0.81       1.65 2      2.95  
American Funds Tax-Exempt Fund of New York     1.25 3      2.42 4      2.33  

 

1 Based on 2016 federal tax rates. For the year 2016, there will be an Unearned Income Medicare Contribution Tax of 3.8% that applies to net investment income for taxpayers whose modified adjusted gross income exceeds $200,000 (for single filers) and $250,000 (for married filing jointly). Thus taxpayers in the highest tax bracket will face a combined 43.4% marginal tax rate on their investment income. The federal rates do not include an adjustment for the loss of personal exemptions and the phaseout of itemized deductions that are applicable to certain taxable income levels.
2 For investors in the 50.93% federal and California state tax bracket.
3 The SEC 30-day yield for American Funds Tax-Exempt Fund of New York is 1.25% with the fund’s reimbursement.
4 For investors in the 48.39% federal and New York state tax bracket.

 

The return of principal for bond funds and for funds with significant underlying bond holdings is not guaranteed. Fund shares are subject to the same interest rate, inflation and credit risks associated with the underlying bond holdings. Income may be subject to state or local income taxes and/or federal alternative minimum taxes. Also, certain other income (such as distributions from gains on the sale of certain bonds purchased at less than par value, for The Tax-Exempt Bond Fund of America), as well as capital gain distributions, may be taxable. High-yield/lower rated bonds are subject to greater fluctuations in value and risk of loss of income and principal than investment-grade/higher rated bonds. The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York are more susceptible to factors adversely affecting issuers of each state’s tax-exempt securities than a more widely diversified municipal bond fund. Refer to the funds’ prospectus and the Risk Factors section of this report for more information on these and other risks associated with investing in the funds.

 

American Funds Tax-Exempt Funds 3
 

American Funds Short-Term Tax-Exempt Bond Fund

 

The fund produced a total return of 1.51% for the fiscal year ended July 31, 2016, outpacing the 1.20% return of the Lipper Short Municipal Debt Funds Average, a peer group measure. By way of comparison, the unmanaged Bloomberg Barclays Municipal Short 1–5 Years Index, which has no expenses, recorded a 2.15% gain. Investors cannot invest directly in an index.

 

The fund paid monthly dividends totaling 10.3 cents a share for the year. This amounts to a federally tax-exempt income return of 1.02% for investors who reinvested dividends. That is equivalent to a taxable income return of 1.80% for investors in the 43.4%1 maximum federal tax bracket. A portion of the fund’s return also may be exempt from some state and local taxes.

 

Throughout the year, the fund’s managers took an evenhanded approach to the market, avoiding aggressive investments. Given the low-yield environment, fund expenses had a notable impact on returns relative to the unmanaged index. Issues from a broad array of sectors contributed to the fund’s overall positive return. Among the most additive were revenue bonds supporting housing and transportation projects.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated taxable income below to determine your federal tax rate,2 then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 0.98% tax-exempt distribution rate3 as of July 31, 2016.

 

  The fund’s tax-exempt
If your taxable income is …     ... then your federal   distribution rate of 0.98% is
Single     Joint     tax rate is …   equivalent to a taxable rate of ...
                 
$ 0 – 9,275     $ 0 – 18,550       10.0 %     1.09 %
  9,276 – 37,650       18,551 – 75,300       15.0       1.15  
  37,651 – 91,150       75,301 – 151,900       25.0       1.31  
  91,151 – 190,150       151,901 – 231,450       28.0       1.36  
  190,151 – 413,350       231,451 – 413,350       36.8 1      1.55  
  413,351 – 415,050       413,351 – 466,950       38.8 1      1.60  
  Over 415,050       Over 466,950       43.4 1      1.73  

 

1 For the year 2016, there will be an Unearned Income Medicare Contribution Tax of 3.8% that applies to net investment income for taxpayers whose modified adjusted gross income exceeds $200,000 (for single filers) and $250,000 (for married filing jointly). Thus taxpayers in the highest tax bracket will face a combined 43.4% marginal tax rate on their investment income.
2 Based on 2016 federal tax rates. The federal rates do not include an adjustment for the loss of personal exemptions and the phaseout of itemized deductions that are applicable to certain taxable income levels.
3 The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gain distributions, if any, are added back at the maximum offering price to determine the rate.

 

Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 2.50% on the $10,000 investment.1 Thus, the net amount invested was $9,750. 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. For current information and month-end results, visit americanfunds.com.

 

4 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

 

 

1 As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $500,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
2 Consists of the Lipper Tax-Exempt Money Market Funds Index through July 31, 2009 (the period ended prior to the fund’s conversion from a tax-exempt money market fund to a short-term tax-exempt bond fund), and the Bloomberg Barclays Municipal Short 1–5 Years Index thereafter. Results of the Lipper Tax-Exempt Money Market Funds Index do not reflect any sales charges. The Bloomberg Barclays index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.
3 Prior to August 7, 2009, the fund was operated as a money market fund and did not have an initial sales charge.
4 In 2009, the fund changed its fiscal year-end from September 30 to July 31.

 

The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*          
           
  1 year   5 years   10 years
           
Class A shares –1.02%   0.60%   1.31%

 

* Assumes reinvestment of all distributions and payment of the maximum 2.50% sales charge.

 

The 10-year investment result includes the fund’s results as a money market fund through the date of its conversion (August 7, 2009) to a short-term tax-exempt bond fund, and therefore is not representative of the fund’s results had it operated as a short-term tax-exempt bond fund for the full term of that period. Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect expense reimbursements, without which results would have been lower. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.

 

American Funds Tax-Exempt Funds 5
 

Limited Term Tax-Exempt Bond Fund of America

 

The fund recorded a 2.97% total return for the 12 months ended July 31. That result lagged the 3.98% gain of the unmanaged Bloomberg Barclays Municipal Short-Intermediate 1–10 Years Index, which has no expenses. Investors cannot invest directly in an index. The fund’s result also trailed the 3.11% total return of the Lipper Short-Intermediate Municipal Debt Funds Average, a peer group measure.

 

For the fiscal year, the fund paid monthly dividends totaling about 34.7 cents a share. Those individuals who reinvested dividends received a federally tax-exempt income return of 2.20%. This is equivalent to a taxable income return of 3.89% for investors in the 43.4%1 maximum federal tax bracket.

 

For some time, the fund’s managers have maintained a short duration position. In what proved to be a strong bull market, this approach held back the fund’s returns on a relative basis. Given the low-rate environment, fund expenses also had a notable impact on relative results. Investments in transportation, government public service and health care bonds generated some of the strongest returns of the fiscal year.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated taxable income below to determine your federal tax rate,2 then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 2.11% tax-exempt distribution rate3 as of July 31, 2016.

 

                        The fund’s tax-exempt
If your taxable income is …     … then your federal   distribution rate of 2.11% is
Single     Joint     tax rate is …   equivalent to a taxable rate of …
                 
$ 0 – 9,275     $ 0 – 18,550       10.0 %     2.34 %
  9,276 – 37,650       18,551 – 75,300       15.0       2.48  
  37,651 – 91,150       75,301 – 151,900       25.0       2.81  
  91,151 – 190,150       151,901 – 231,450       28.0       2.93  
  190,151 – 413,350       231,451 – 413,350       36.8 1      3.34  
  413,351 –  415,050       413,351 –  466,950       38.8 1      3.45  
  Over 415,050       Over 466,950       43.4 1      3.73  

 

1 For the year 2016, there will be an Unearned Income Medicare Contribution Tax of 3.8% that applies to net investment income for taxpayers whose modified adjusted gross income exceeds $200,000 (for single filers) and $250,000 (for married filing jointly). Thus taxpayers in the highest tax bracket will face a combined 43.4% marginal tax rate on their investment income.
2 Based on 2016 federal tax rates. The federal rates do not include an adjustment for the loss of personal exemptions and the phaseout of itemized deductions that are applicable to certain taxable income levels.
3 The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gain distributions, if any, are added back at the maximum offering price to determine the rate.

 

Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 2.50% on the $10,000 investment.1 Thus, the net amount invested was $9,750.2 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. For current information and month-end results, visit americanfunds.com.

 

6 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

 

 

1 As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $500,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
2 The maximum initial sales charge was 3.75% until October 31, 2006.
3 The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.

 

The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*

 

  1 year   5 years   10 years
           
Class A shares 0.38%   2.19%   3.23%

 

*Assumes reinvestment of all distributions and payment of the maximum 2.50% sales charge.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect fee waivers, without which results would have been lower. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.

 

American Funds Tax-Exempt Funds 7
 

The Tax-Exempt Bond Fund of America

 

The fund produced a solid 6.69% total return for the fiscal year. This result trailed the 6.94% gain of the unmanaged Bloomberg Barclays Municipal Bond Index, which has no expenses. Investors cannot invest directly in an index. By way of comparison, the Lipper General & Insured Municipal Debt Funds Average, a peer group measure, recorded a 6.89% total return.

 

The fund paid monthly dividends totaling about 41.4 cents a share for the fiscal year, amounting to a federally tax-exempt income return of 3.24% for investors who reinvested dividends. This is equivalent to a taxable income return of 5.72% for investors in the 43.4%1 maximum federal tax bracket. The fund does not invest in bonds subject to the Alternative Minimum Tax (AMT).

 

The fund’s managers maintained the relatively conservative approach they had adopted in recent periods, focusing on shorter duration securities. This approach held the fund back slightly in relative terms. It is important to note, however, that fund managers are comfortable with portfolio positioning going forward and will continue to seek a sensible balance between identifying incremental yield opportunities and managing risk. Among the strongest contributors to the fund’s results were holdings of heath care and transportation issues.

 

We take this opportunity to welcome investors who formerly held shares in The Tax-Exempt Fund of Maryland and The Tax-Exempt Fund of Virginia, which merged with the fund effective June 17, 2016.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated taxable income below to determine your federal tax rate,2 then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 2.97% tax-exempt distribution rate3 as of July 31, 2016.

 

    The fund’s tax-exempt
If your taxable income is …     … then your federal   distribution rate of 2.97% is
Single     Joint     tax rate is …   equivalent to a taxable rate of …
                 
$ 0 – 9,275     $ 0 – 18,550       10.0 %     3.30 %
  9,276 – 37,650       18,551 – 75,300       15.0       3.49  
  37,651 – 91,150       75,301 – 151,900       25.0       3.96  
  91,151 – 190,150       151,901 – 231,450       28.0       4.13  
  190,151 – 413,350       231,451 – 413,350       36.8 1      4.70  
  413,351 –  415,050       413,351 –  466,950       38.8 1      4.85  
  Over 415,050       Over 466,950       43.4 1      5.25  

 

1 For the year 2016, there will be an Unearned Income Medicare Contribution Tax of 3.8% that applies to net investment income for taxpayers whose modified adjusted gross income exceeds $200,000 (for single filers) and $250,000 (for married filing jointly). Thus taxpayers in the highest tax bracket will face a combined 43.4% marginal tax rate on their investment income.
2 Based on 2016 federal tax rates. The federal rates do not include an adjustment for the loss of personal exemptions and the phaseout of itemized deductions that are applicable to certain taxable income levels.
3 The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gain distributions, if any, are added back at the maximum offering price to determine the rate.

 

Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 3.75% on the $10,000 investment.* Thus, the net amount invested was $9,625. 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. For current information and month-end results, visit americanfunds.com.

 

8 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

 

 

* As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $100,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.

 

The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*

 

  1 year   5 years   10 years
           
Class A shares 2.73%   4.71%   4.26%

 

* Assumes reinvestment of all distributions and payment of the maximum 3.75% sales charge.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect fee waivers, without which results would have been lower. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.

 

American Funds Tax-Exempt Funds 9
 

American High-Income Municipal Bond Fund

 

The fund generated a 9.45% total return for the fiscal year ended July 31, 2016, slightly trailing the 9.62% gain of the Lipper High Yield Municipal Debt Funds Average, a measure of the fund’s peer group. The fund also lagged the 13.44% total return of the unmanaged Bloomberg Barclays High Yield Municipal Bond Index, which has no expenses. The fund exceeded the 6.94% total return of the unmanaged Bloomberg Barclays Municipal Bond Index, which also has no expenses. Investors cannot invest directly in an index.

 

The fund paid monthly dividends totaling 61.4 cents a share, amounting to a federally tax-exempt income return of 4.07% for investors who reinvested dividends. This is equivalent to a taxable income return of 7.19% for investors in the 43.4%1 maximum federal tax bracket. A portion of the fund’s return also may be exempt from some state and local taxes.

 

The strong bull market has resulted in credit spread tightening across the municipal bond universe. Tighter spreads indicate that demand has driven prices for lower quality bonds closer to those for higher quality bonds. Given these conditions, the fund’s managers have adopted a relatively conservative stance, seeking to balance risk and potential reward and avoid paying too much for bonds of relatively lower quality. While this approach held back relative results in the recently concluded fiscal year, we believe the fund is well positioned going forward. We note that the Bloomberg Barclays High Yield Municipal Bond Index has substantial concentrations in tobacco and Puerto Rico-related bonds, areas of the market that were particularly strong during the fiscal year. The fund invests in a broad range of tax-exempt bonds, representing a diversity of sectors, industries and credit quality.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated taxable income below to determine your federal tax rate,2 then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 3.65% tax-exempt distribution rate3 as of July 31, 2016.

 

    The fund’s tax-exempt
If your taxable income is …     … then your federal   distribution rate of 3.65% is
Single     Joint     tax rate is …   equivalent to a taxable rate of …
                 
$ 0 – 9,275     $ 0 – 18,550       10.0 %     4.06 %
  9,276 – 37,650       18,551 – 75,300       15.0       4.29  
  37,651 – 91,150       75,301 – 151,900       25.0       4.87  
  91,151 – 190,150       151,901 – 231,450       28.0       5.07  
  190,151 – 413,350       231,451 – 413,350       36.8 1     5.78  
  413,351 –  415,050       413,351 –  466,950       38.8 1     5.96  
  Over 415,050       Over 466,950       43.4 1     6.45  

 

1 For the year 2016, there will be an Unearned Income Medicare Contribution Tax of 3.8% that applies to net investment income for taxpayers whose modified adjusted gross income exceeds $200,000 (for single filers) and $250,000 (for married filing jointly). Thus taxpayers in the highest tax bracket will face a combined 43.4% marginal tax rate on their investment income.
2 Based on 2016 federal tax rates. The federal rates do not include an adjustment for the loss of personal exemptions and the phaseout of itemized deductions that are applicable to certain taxable income levels.
3 The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gain distributions, if any, are added back at the maximum offering price to determine the rate.

 

Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 3.75% on the $10,000 investment.* Thus, the net amount invested was $9,625. 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. For current information and month-end results, visit americanfunds.com.

 

10 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

 

 

* As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $100,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.

 

The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*

 

  1 year   5 years   10 years
           
Class A shares 5.34%   6.95%   4.66%

 

* Assumes reinvestment of all distributions and payment of the maximum 3.75% sales charge.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect fee waivers, without which results would have been lower. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.

 

American Funds Tax-Exempt Funds 11
 

The Tax-Exempt Fund of California

 

The fund produced a 6.65% total return for the fiscal year. That result lagged the 6.95% gain of the unmanaged Bloomberg Barclays California Municipal Index, which has no expenses. Investors cannot invest directly in an index. The fund’s result also trailed the 8.11% total return of the Lipper California Municipal Debt Funds Average, a peer group measure.

 

For the period, the fund paid monthly dividends totaling about 56.4 cents a share. Investors who chose to reinvest dividends received an income return of 3.24%. This is equivalent to a taxable income return of 5.72% for those in the 50.93% effective combined federal and California tax bracket.

 

California’s economy is strengthening. The unemployment rate was 5.5% in July, down from 6.1% a year earlier, providing a constructive backdrop for municipal bonds. Shortly after the close of the fiscal year, Fitch upgraded the state’s credit rating to AA, following similar increases by two other major rating agencies. The fund’s managers sought to maintain a relatively short duration position throughout the period, an approach that detracted from the fund’s returns in relative terms. Because the fund’s approach historically has been relatively conservative, it has lagged the broader market during periods of strength. However, the managers believe this approach provides the potential to outpace the market during challenging periods and over the long term. The fund’s return was supported by positive contributions from holdings across a spectrum of sectors, credit quality and duration.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated 2016 taxable income below to determine your combined federal and California tax rate,* then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 2.98% tax-exempt distribution rateat July 31, 2016.

 

                        then your combined   The fund’s tax-exempt
If your taxable income is …     federal and California   distribution rate of 2.98% is
Single     Joint     state tax rate is …   equivalent to a taxable rate of…
                 
$ 0 – 7,850     $ 0 – 15,700       10.90 %     3.34 %
  7,851 – 9,275       15,701 – 18,550       11.80       3.38  
  9,276 – 18,610       18,551 – 37,220       16.70       3.58  
  18,611 – 29,372       37,221 – 58,744       18.40       3.65  
  29,373 – 37,650       58,745 – 75,300       20.10       3.73  
  37,651 – 40,773       75,301 – 81,546       29.50       4.23  
  40,774 – 51,530       81,547 – 103,060       31.00       4.32  
  51,531 – 91,150       103,061 – 151,900       31.98       4.38  
  91,151 – 190,150       151,901 – 231,450       34.70       4.56  
  190,151 – 263,222       231,451 – 413,350       42.68       5.20  
  263,223 – 315,866        –         43.31       5.26  
  315,867 – 413,350        –         43.94       5.32  
   –         413,351 – 466,950       44.49       5.37  
  413,351 – 415,050        –         45.72       5.49  
   –         466,951 – 526,444       48.66       5.80  
   –         526,445 – 631,732       49.23       5.87  
  415,051 – 526,443       631,733 – 1,000,000       49.80       5.94  
  526,444 –  1,000,000       1,000,001 –  1,052,886       50.36       6.00  
Over 1,000,000       Over 1,052,886     50.93       6.07  
                                             
* Based on 2016 federal and 2015 California tax rates. (State rates from 1.0% to 13.3% are individually calculated for each bracket. The federal brackets are expanded to include additional state brackets.) The effective combined tax rates paid by California residents may be lower than those shown due to the availability of income tax deductions.
The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gains distributions, if any, are added back at the maximum offering price to determine the rate.
   
Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 3.75% on the $10,000 investment.* Thus, the net amount invested was $9,625. 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. For current information and month-end results, visit americanfunds.com.
   
12 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

 

 

* As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $100,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.
   
The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*

 

  1 year   5 years   10 years
           
Class A shares 2.63%   5.36%   4.53%

 

* Assumes reinvestment of all distributions and payment of the maximum 3.75% sales charge.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect fee waivers, without which results would have been lower. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.
   
American Funds Tax-Exempt Funds 13
 

American Funds Tax-Exempt Fund of New York

 

The fund recorded a total return of 6.95% for the fiscal year. That result slightly exceeded the 6.72% total return of the unmanaged Bloomberg Barclays New York Municipal Index, which has no expenses. Investors cannot invest directly in an index. However, the fund trailed the 7.35% gain of the Lipper New York Municipal Debt Funds Average, a peer group measure.

 

The fund paid monthly dividends totaling 27.1 cents a share for the fiscal year. This represents an income return of 2.57% for those who reinvested dividends. For investors in the 50.59% combined effective federal, New York state and New York City tax bracket, this is equivalent to a taxable income return of 4.55%.

 

Over the period, the fund received positive contributions from a variety of holdings. Investments in the government public service, education and health care sectors were among those with the strongest returns.

 

Tax-exempt yields vs. taxable yields

 

Find your estimated 2016 taxable income below to determine your combined federal and New York state tax rate,1,2 then look in the far right column to see what you would have had to earn from a taxable investment to equal the fund’s 2.35% tax-exempt distribution rate3 at July 31, 2016.

 

                        then your combined   The fund’s tax-exempt
If your taxable income is …     federal and New York   distribution rate of 2.35% is
Single     Joint     state tax rate is …   equivalent to a taxable rate of…
                 
$ 0 – 8,400     $ 0 – 16,950       13.60 %     2.72 %
  8,401 – 9,275       16,951 – 18,550       14.05       2.73  
  9,276 – 11,600       18,551 – 23,300       18.83       2.90  
  11,601 – 13,750       23,301 – 27,550       19.46       2.92  
  13,751 – 21,150       27,551 – 42,450       20.02       2.94  
  21,151 – 37,650       42,451 – 75,300       20.48       2.96  
  37,651 – 79,600       75,301 – 151,900       29.84       3.35  
  79,601 – 91,150        –         29.99       3.36  
   –         151,901 – 159,350       32.64       3.49  
  91,151 – 190,150       159,351 – 231,450       32.79       3.50  
  190,151 – 212,500       231,451 – 318,750       41.00       3.98  
  212,501 – 413,350       318,751 – 413,350       41.13       3.99  
  413,351 – 415,050       413,351 – 466,950       42.99       4.12  
  415,051 –  1,062,650       466,951 –  2,125,450       47.28       4.46  
                                             
  Over 1,062,650       Over 2,125,450       48.39       4.55  
   
1 Income generated by the fund’s investments is also generally exempt from New York City taxes, offering additional tax advantages to New York City residents.
2 Based on 2016 federal and 2015 New York state tax rates. (State rates from 4.00% to 8.82% are individually calculated for each bracket. The federal brackets are expanded to include additional state brackets.) The effective combined tax rates assume full deductibility of state taxes.
3 The distribution rate is based on dividends paid over the last 12 months divided by the maximum offering price as of July 31, 2016. Capital gain distributions, if any, are added back at the maximum offering price to determine the rate.
   
Fund results shown on the following page are for Class A shares and, unless otherwise indicated, reflect deduction of the maximum sales charge of 3.75% on the $10,000 investment.* Thus, the net amount invested was $9,625. 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. For current information and month-end results, visit americanfunds.com.
   
14 American Funds Tax-Exempt Funds
 

How a $10,000 investment has grown

(for the period November 1, 2010, to July 31, 2016, with dividends reinvested)

 

 

* As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $100,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Bloomberg Barclays source: Bloomberg Index Services Ltd.
   
The results shown are before taxes on fund distributions and sale of fund shares.

 

Average annual total returns based on a $1,000 investment

 

For periods ended July 31, 2016*

 

  1 year   5 years   Lifetime
           
Class A shares 2.89%   4.35%   4.11%

 

*Assumes reinvestment of all distributions and payment of the maximum 3.75% sales charge.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, investment results reflect expense reimbursements, without which results would have been lower. The investment adviser is currently reimbursing a portion of other expenses. This reimbursement will be in effect through at least September 30, 2017, 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. Visit americanfunds.com for more information.

 

Portfolio quality summary*

 

 

* 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.
   
American Funds Tax-Exempt Funds 15
 

Results at a glance

 

For periods ended July 31, 2016, with distributions reinvested

 

    Cumulative total returns   Average annual total returns
    1 year   5 years   10 years   Lifetime1
                 
American Funds Short-Term Tax-Exempt Bond Fund
(Class A shares)
    1.51 %     1.10 %           1.45 %
Bloomberg Barclays Municipal Short 1–5 Years Index2     2.15       1.59       3.00 %     1.99  
Lipper Short Municipal Debt Funds Average     1.20       1.04       1.80       1.31  
                                 
Limited Term Tax-Exempt Bond Fund of America
(Class A shares)
    2.97       2.71       3.49       4.12  
Bloomberg Barclays Municipal Short-Intermediate 1–10 Years Index3     3.98       2.92       4.00       4.38  
Lipper Short-Intermediate Municipal Debt Funds Average     3.11       2.17       2.97       3.61  
                                 
The Tax-Exempt Bond Fund of America
(Class A shares)
    6.69       5.51       4.66       6.68  
Bloomberg Barclays Municipal Bond Index     6.94       5.13       5.01       4
Lipper General & Insured Municipal Debt Funds Average     6.89       5.31       4.35       6.64  
                                 
American High-Income Municipal Bond Fund
(Class A shares)
    9.45       7.78       5.06       5.81  
Bloomberg Barclays Municipal Bond Index     6.94       5.13       5.01       5.68  
Bloomberg Barclays High Yield Municipal Bond Index     13.44       7.59       5.06       4
Lipper High Yield Municipal Debt Funds Average     9.62       7.15       4.31       5.30  
                                 
The Tax-Exempt Fund of California
(Class A shares)
    6.65       6.17       4.93       5.76  
Bloomberg Barclays California Municipal Index     6.95       5.84       5.25       4
Lipper California Municipal Debt Funds Average     8.11       6.40       4.72       5.77  
                                 
American Funds Tax-Exempt Fund of New York
(Class A shares)
    6.95       5.15             4.80  
Bloomberg Barclays New York Municipal Index     6.72       4.97       4.97       4.53  
Lipper New York Municipal Debt Funds Average     7.35       5.02       4.25       4.31  
                                 
1 Since 8/7/09 (American Funds Short-Term Tax-Exempt Bond Fund), 10/6/93 (Limited Term Tax-Exempt Bond Fund of America), 10/3/79 (The Tax-Exempt Bond Fund of America), 9/26/94 (American High-Income Municipal Bond Fund), 10/28/86 (The Tax-Exempt Fund of California) and 11/1/10 (American Funds Tax-Exempt Fund of New York).
2 The 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.
3 The 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.
4 This index did not exist at the fund’s inception.

 

The market indexes are unmanaged and, therefore, have no expenses. Investors cannot invest directly in an index. Lipper averages reflect the current composition of all eligible mutual funds (all share classes) within a given category. Bloomberg Barclays source: Bloomberg Index Services Ltd.

 

16 American Funds Tax-Exempt Funds
 

American Funds Short-Term Tax-Exempt Bond Fund

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 93.07%   Principal amount
(000)
    Value
(000)
 
Alabama 2.39%                
Black Belt Energy Gas Dist., Gas Supply Rev. Bonds, Series 2016-A, 4.00% 2046 (put 2021)   $ 9,500     $ 10,647  
Other securities             7,996  
              18,643  
                 
California 9.29%                
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2006-C-1, 1.34% 2045 (put 2023)1     6,600       6,596  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2007-E-3, 1.14% 2047 (put 2019)1     3,000       3,000  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-G, 1.04% 2034 (put 2020)1     2,000       1,992  
G.O. Bonds, Series 2012-A, 0.89% 2033 (put 2018)1     1,500       1,495  
Various Purpose G.O. Bonds, 3.00% 2016     5,000       5,001  
Various Purpose G.O. Bonds, 4.00% 2030 (put 2021)     500       570  
Various Purpose G.O. Ref. Bonds, 5.00% 2018     3,000       3,224  
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (J. Paul Getty Trust), Series 2013-A-2, 0.846% 2047 (put 2019)1     3,500       3,502  
Other securities             47,206  
              72,586  
                 
Connecticut 1.60%                
Housing Fin. Auth., Housing Mortgage Fin. Program Bonds, Series 2014-C-1, 4.00% 2044     895       979  
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, 4.00% 2044     1,480       1,566  
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2012-F-2, AMT, 2.75% 2035     670       677  
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2015-A, 3.50% 2044     3,445       3,679  
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2015-C-1, 3.50% 2045     1,985       2,132  
Housing Fin. Auth., Housing Mortgage Fin. Program Rev. Ref. Bonds, Series 2016-A-1, 4.00% 2045     1,400       1,532  
Other securities             1,898  
              12,463  
                 
Florida 4.39%                
Citizens Property Insurance Corp., Personal Lines Account/Commercial Lines Account Secured Bonds, Series 2012-A-1, 5.00% 2017     1,000       1,037  
Citizens Property Insurance Corp., Personal Lines Account/Commercial Lines Account Secured Bonds, Series 2012-A-1, 5.00% 2019     7,450       8,315  
City of Lakeland, Energy System Rev. Ref. Bonds, Series 2012, 1.19% 20171     3,800       3,802  
Other securities             21,113  
              34,267  
                 
Georgia 3.16%                
Dev. Auth. Of Floyd County, Pollution Control Rev. Bonds (Georgia Power Company Plant Hammond Project), 2.35% 2022 (put 2020)     4,000       4,177  
Metropolitan Atlanta Rapid Transit Auth., Sales Tax Rev. Ref. Bonds (Third Indenture Series), Series 2014-A, 0.74% 2025 (put 2017)1     5,250       5,250  
Metropolitan Atlanta Rapid Transit Auth., Sales Tax Rev. Ref. Bonds, Series 2014-B, 0.72% 2025 (put 2017)1     3,500       3,497  
Other securities             11,760  
              24,684  
                 
Illinois 7.29%                
Build Bonds (Sales Tax Rev. Bonds), Series June 2013, 5.00% 2020     3,500       4,023  
City of Chicago, Water Rev. Bonds, Series 2004, 5.00% 2023     2,750       3,279  
Educational Facs. Auth., Rev. Bonds (University of Chicago), Series 1998-B, 1.65% 2025 (put 2019)     10,390       10,563  
Educational Facs. Auth., Rev. Bonds (University of Chicago), Series 2001-B-1, 1.10% 2036 (put 2018)     1,250       1,256  
   
American Funds Tax-Exempt Funds 17
 

American Funds Short-Term Tax-Exempt Bond Fund

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Illinois (continued)                
Housing Dev. Auth., Multifamily Housing Rev. Notes (Marshall Field Garden Apartment Homes), 1.44% 2050 (put 2025)1   $ 3,400     $ 3,383  
Unemployment Insurance Fund Building Receipts Rev. Bonds (Illinois Dept. of Employment Security), Series 2012-A, 5.00% 2016     4,000       4,070  
Other securities             30,386  
              56,960  
                 
Indiana 1.71%                
Dev. Fin. Auth., Solid Waste Disposal Rev. Bonds (Waste Management, Inc. Project), Series 2001, AMT, 1.75% 2031 (put 2018)     500       507  
Health and Educational Fac. Fncg. Auth., Rev. Bonds (Ascension Health Credit Group), Series 2005-A-5, 2.00% 2027 (put 2017)     1,875       1,899  
Other securities             10,953  
              13,359  
                 
Massachusetts 4.66%                
Dev. Fin. Agcy., Rev. Bonds (Partners HealthCare System), Series 2014-M-3, 0.99% 2038 (put 2018)1     8,315       8,314  
Educational Fncg. Auth., Education Loan Rev. Bonds, Series 2016-J, AMT, 5.00% 2024     3,000       3,582  
Educational Fncg. Auth., Education Loan Rev. Bonds, Issue J, Series 2012, AMT, 5.00% 2018     1,000       1,070  
Educational Fncg. Auth., Education Loan Rev. Bonds, Series 2014-I, AMT, 4.00% 2017     400       405  
Educational Fncg. Auth., Education Loan Rev. Bonds, Series 2014-I, AMT, 4.00% 2018     500       519  
Educational Fncg. Auth., Education Loan Rev. Bonds, Series 2014-I, AMT, 5.00% 2021     3,000       3,379  
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 167, 4.00% 2043     845       894  
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 169, 4.00% 2044     900       976  
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 172, 4.00% 2045     1,480       1,595  
Housing Fin. Agcy., Single Family Housing Rev. Bonds, Series 181, 4.00% 2044     1,000       1,094  
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 160, AMT, 3.75% 2034     460       476  
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 162, 2.75% 2041     510       521  
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 165, 2.65% 2041     1,640       1,679  
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 171, 4.00% 2044     915       1,002  
Housing Fin. Agcy., Single Family Housing Rev. Ref. Bonds, Series 177, AMT, 4.00% 2039     3,415       3,706  
Other securities             7,207  
              36,419  
                 
Michigan 3.17%                
State Hospital Fin. Auth., Project Rev. Ref. Bonds (Ascension Health Credit Group), Series 2010-F3, 1.40% 2047 (put 2018)     1,500       1,514  
Other securities             23,227  
              24,741  
                 
Minnesota 1.63%                
Housing Fin. Agcy., Homeownership Fin. Bonds (Mortgage-Backed Securities Program), Series 2011-G, 4.25% 2035     620       649  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2012-D, 4.00% 2040     855       893  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2013-A, AMT, 3.00% 2031     695       714  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2014-A, 4.00% 2038     1,225       1,339  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2014-C, AMT, 4.00% 2045     4,695       5,051  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2015-A, AMT, 4.00% 2041     930       1,010  
Housing Fin. Agcy., Residential Housing Fin. Bonds, Series 2015-E, AMT, 3.50% 2046     950       1,013  
Other securities             2,054  
              12,723  
                 
Nebraska 1.65%                
Central Plains Energy Project, Gas Supply Rev. Ref. Bonds, Series 2014, 5.00% 2039 (put 2019)     4,200       4,746  
Other securities             8,158  
              12,904  

 

18 American Funds Tax-Exempt Funds 
 

American Funds Short-Term Tax-Exempt Bond Fund

 

    Principal amount
(000)
    Value
(000)
 
Nevada 1.88%                
Clark County, Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2010, 1.875% 2031 (put 2020)   $ 5,500     $ 5,638  
Other securities             9,083  
              14,721  
                 
New Jersey 4.01%                
Econ. Dev. Auth., School Facs. Construction Rev. Ref. Bonds, Series 2014-PP, 5.00% 2019     4,000       4,347  
Higher Education Student Assistance Auth., Student Loan Rev. Bonds, Series 2012-1A, AMT, 4.00% 2017     3,500       3,631  
Higher Education Student Assistance Auth., Student Loan Rev. Bonds, Series 2012-1A, AMT, 5.00% 2018     2,000       2,167  
Higher Education Student Assistance Auth., Student Loan Rev. Bonds, Series 2016-1-A, AMT, 5.00% 2020     750       845  
Higher Education Student Assistance Auth., Student Loan Rev. Bonds, Series 2016-1-A, AMT, 5.00% 2021     2,000       2,290  
Higher Education Student Assistance Auth., Student Loan Rev. Ref. Bonds, Series 2014-1A1, AMT, 5.00% 2018     2,250       2,438  
Turnpike Auth., Turnpike Rev. Ref. Bonds, Series 2013-D, 1.06% 2023 (put 2017)1     4,000       4,000  
Other securities             11,605  
              31,323  
                 
New Mexico 0.97%                
City of Farmington, Pollution Control Rev. Ref. Bonds (Southern California Edison Company Four Corners Project), 1.875% 2029 (put 2020)     2,000       2,056  
City of Farmington, Pollution Control Rev. Ref. Bonds (Southern California Edison Company Four Corners Project), Series 2005-B, 1.875% 2029 (put 2020)     2,250       2,313  
Other securities             3,207  
              7,576  
                 
New York 9.82%                
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-A, 5.00% 2022     4,165       5,091  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2011-D, 5.00% 2016     1,000       1,014  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-A-1, 4.00% 2019     750       829  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-C, 5.00% 2020     2,000       2,342  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, 1.02% 2039 (put 2020)1     6,250       6,210  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 178, 3.50% 2043     1,765       1,821  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 191, 3.50% 2034     3,270       3,430  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 195, 4.00% 2046     3,000       3,298  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044     1,000       1,088  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 52, AMT, 3.50% 2030     1,000       1,069  
City of New York, G.O. Bonds, Fiscal 2004, Series 2014-A-6, 0.94% 20311     2,500       2,496  
City of New York, G.O. Bonds, Series 2008-J-4, 0.99% 20251     6,000       6,000  
City of New York, G.O. Bonds, Series 2011-I-1, 5.00% 2017     1,000       1,045  
City of New York, G.O. Bonds, Series 2012-I, 5.00% 2018     1,000       1,088  
City of New York, G.O. Bonds, Series 2014-A, 5.00% 2020     1,500       1,745  
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2013-A, 5.00% 2019     4,700       5,254  
Other securities             32,919  
              76,739  
                 
Ohio 2.06%                
Solid Waste Disposal Rev. Bonds (Waste Management Inc. Project), Series 2002, AMT, 1.70% 2022 (put 2018)     2,500       2,534  
Other securities             13,543  
              16,077  

 

American Funds Tax-Exempt Funds 19
 

American Funds Short-Term Tax-Exempt Bond Fund

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Oregon 1.31%                
G.O. Bonds (Veterans’ Welfare Bonds Series 94), Series 2014-H, 4.00% 2044   $ 3,050     $ 3,350  
Other securities             6,898  
              10,248  
                 
Pennsylvania 2.82%                
Econ. Dev. Fncg. Auth., Unemployment Compensation Rev. Bonds, Series 2012-B, 5.00% 2021     4,000       4,248  
Turnpike Commission, Turnpike Rev. Bonds, Series 2016, 5.00% 2021     3,500       4,103  
Other securities             13,715  
              22,066  
                 
Rhode Island 1.13%                
Housing and Mortgage Fin. Corp., Homeownership Opportunity Bonds, Series 66-A-1, 4.00% 2033     3,275       3,517  
Other securities             5,305  
              8,822  
                 
South Carolina 0.66%                
Public Service Auth., Rev. Obligations (Santee Cooper), Series 2012-A, 4.00% 2020     2,945       3,325  
Other securities             1,803  
              5,128  
                 
Tennessee 1.73%                
Housing Dev. Agcy., Homeownership Program Bonds, Issue 2012-1-C, 4.50% 2037     875       940  
Housing Dev. Agcy., Homeownership Program Bonds, Issue 2012-2-C, 4.00% 2038     635       678  
Housing Dev. Agcy., Homeownership Program Rev. Ref. Bonds, Issue 2011-1-A, AMT, 4.50% 2031     1,525       1,637  
Housing Dev. Agcy., Homeownership Program Rev. Ref. Bonds, Issue 2012-1-A, AMT, 4.50% 2038     740       789  
Housing Dev. Agcy., Residential Fin. Program Bonds, 4.00% 2046     480       526  
Housing Dev. Agcy., Residential Fin. Program Bonds, Issue 2013-1-C, 3.00% 2038     1,365       1,427  
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2013-2-A, AMT, 4.00% 2043     745       801  
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-1-A, AMT, 4.00% 2039     1,755       1,901  
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-2-A, AMT, 4.00% 2045     1,470       1,589  
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2014-2-C, 4.00% 2045     1,115       1,204  
Housing Dev. Agcy., Residential Fin. Program Bonds, Series 2016-1-B, 3.50% 2047     960       1,040  
Other securities             999  
              13,531  
                 
Texas 7.37%                
Grand Parkway Transportation Corp., Grand Parkway System Toll Rev. Ref. Bond Anticipation Notes, Series 2014-A, 3.00% 2016     8,150       8,230  
Mission Econ. Dev. Corp., Solid Waste Disposal Rev. Bonds (Waste Management, Inc. Project), Series 2008, AMT, 2.50% 2020 (put 2013)     2,000       2,073  
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, 5.00% 2018     2,000       2,133  
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2012-C, 2.00% 2027 (put 2016)     1,160       1,165  
City of San Antonio, Electric and Gas Systems Rev. Ref. Bonds, Series 2015-B, 0.82% 2033 (put 2018)1     6,000       5,980  
Transportation Commission, G.O. Mobility Fund Bonds, Series 2014-B, 0.82% 2041 (put 2018) 1     6,500       6,460  
Other securities             31,509  
              57,550  
                 
Virginia 0.87%                
Commonwealth Transportation Board, Federal Transportation Grant Anticipation Rev. Notes, Series 2013-A, 5.00% 2020     3,000       3,454  
Other securities             3,354  
              6,808  

 

20 American Funds Tax-Exempt Funds
 

American Funds Short-Term Tax-Exempt Bond Fund

 

    Principal amount
(000)
    Value
(000)
 
Washington 3.41%                
Econ. Dev. Fin. Auth., Solid Waste Disposal Rev. Bonds (Waste Management, Inc. Project), Series 2008, 2.125% 20202   $ 2,500     $ 2,571  
Energy Northwest, Electric Rev. Ref. Bonds (Project No. 1), Series 2012-A, 5.00% 2017     5,000       5,209  
Other securities             18,821  
              26,601  
                 
Wisconsin 2.67%                
Health and Educational Facs. Auth., Rev. Bonds (Ascension Health Alliance Senior Credit Group), Series 2013-B-2, 4.00% 2043 (put 2019)     1,000       1,087  
Health and Educational Facs. Auth., Rev. Bonds (Ascension Health Alliance Senior Credit Group), Series 2013-B-3, 5.00% 2043 (put 2020)     4,500       5,178  
Housing and Econ. Dev. Auth., Home Ownership Rev. Bonds, Series 2016-A, AMT, 3.50% 2046     4,000       4,260  
Public Fin. Auth., Solid Waste Disposal Rev. Ref. Bonds (Waste Management, Inc. Project), Series 2016-A-4, AMT, 2.00% 2033 (put 2021)     1,500       1,536  
Other securities             8,778  
              20,839  
                 
Other states & U.S. territories 11.42%                
Other securities             89,172  
                 
Total bonds, notes & other debt instruments (cost: $717,940,000)             726,950  
                 
Short-term securities 6.39%                
State of California, Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-4, 0.44% 10/5/2016     5,000       5,000  
State of Maryland, Montgomery County, Consolidated Public Improvement Bond Anticipation Notes, Series 2006-A, 0.39% 20261     3,500       3,500  
State of Maryland, Montgomery County, Consolidated Public Improvement Bond Anticipation Notes, Series 2009-B, 0.45% 8/9/2016     2,000       2,000  
State of Massachusetts, Health and Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-EE, 0.43% 9/6/2016     4,811       4,811  
State of Massachusetts, School Building Auth., Dedicated Sales Tax Rev. Ref. Bonds, Series 2015-C, 5.00% 8/15/2016     4,000       4,008  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1-G, 1.00% 8/1/2016     12,000       12,001  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-F 2.00% 10/1/2016     1,000       1,003  
State of New York, City of New York, G.O. Bonds, Series 1994-E-2, 0.39% 20201     3,000       3,000  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20451     2,000       2,000  
State of New York, New York City, Transitional Fin. Auth., New York City Recovery Bonds, Fiscal Series 2003-1, Subseries 1-C, 0.39% 20221     3,585       3,585  
State of Virginia, Industrial Dev. Auth. of Loudoun County, Virginia, Multi-Modal Rev. Bonds (Howard Hughes Medical Institute Issue), Series 2003-E, 0.44% 20381     5,000       5,000  
Other securities             4,006  
                 
Total short-term securities (cost: $49,911,000)             49,914  
Total investment securities 99.46% (cost: $767,851,000)             776,864  
Other assets less liabilities 0.54%             4,249  
                 
Net assets 100.00%           $ 781,113  

 

American Funds Tax-Exempt Funds 21
 

American Funds Short-Term Tax-Exempt Bond Fund

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio.

 

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 $2,571,000, which represented .33% of the net assets of the fund.

 

Key to abbreviations

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

22 American Funds Tax-Exempt Funds
 

Limited Term Tax-Exempt Bond Fund of America

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 91.34%   Principal amount
(000)
    Value
(000)
 
Alabama 1.30%                
Black Belt Energy Gas Dist., Gas Supply Rev. Bonds, Series 2016-A, 4.00% 2046 (put 2021)   $ 18,500     $ 20,732  
Other securities             28,178  
              48,910  
                 
California 11.53%                
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2006-C-1, 1.34% 2045 (put 2023)1     20,500       20,488  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2007-C-1, 1.34% 2047 (put 2023)1     3,500       3,498  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2007-E-3, 1.14% 2047 (put 2019)1     1,000       1,000  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2008-B-1, 1.54% 2045 (put 2024)1     2,500       2,526  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-G, 1.04% 2034 (put 2020)1     2,500       2,490  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-H, 1.14% 2034 (put 2021)1     10,480       10,432  
Econ. Recovery Bonds, Ref. Series 2009-A, 5.00% 2020     9,000       10,147  
G.O. Bonds, Series 2012-A, 0.89% 2033 (put 2018)1     5,000       4,984  
G.O. Bonds, Series 2013-C, 0.99% 2028 (put 2016)1     5,000       5,000  
Various Purpose G.O. Bonds, 3.00% 2016     18,000       18,003  
Various Purpose G.O. Bonds, 4.00% 2030 (put 2021)     500       570  
Various Purpose G.O. Bonds, 5.00% 2026     3,000       3,866  
Various Purpose G.O. Ref. Bonds, 5.00% 2021     5,000       6,013  
Various Purpose G.O. Ref. Bonds, 5.00% 2023     6,500       8,006  
Port of Oakland, Rev. Ref. Bonds, Series 2012-P, AMT, 5.00% 2021     7,750       9,119  
Other securities             326,332  
              432,474  
                 
Connecticut 1.04%                
Special Tax Obligation Ref. Bonds, Transportation Infrastructure Purposes, Series 2009-1, 5.00% 2019     8,550       9,465  
Other securities             29,422  
              38,887  
                 
District of Columbia 1.05%                
University Rev. Bonds (Georgetown University Issue), Series 2001-B, 4.70% 2031, (put 2018)     8,500       9,020  
Other securities             30,455  
              39,475  
                 
Florida 7.70%                
Citizens Property Insurance Corp., High-Risk Account Secured Bonds, Series 2009-A-1, 5.50% 2017     10,035       10,448  
Citizens Property Insurance Corp., Personal Lines Account/Commercial Lines Account Secured Bonds, Series 2012-A-1, 5.00% 2022     10,200       12,324  
Miami-Dade County, Aviation Rev. Ref. Bonds, Series 2012-A, AMT, 5.00% 2021     11,600       13,697  
Putnam County Dev. Auth., Pollution Control Rev. Ref. Bonds (Seminole Electric Cooperative, Inc. Project), Series 2007-B, AMBAC insured, 5.35% 2042 (put 2018)     10,370       11,142  
Other securities             240,953  
              288,564  
                 
Georgia 2.45%                
DeKalb County, Hospital Auth., Rev. Ref. Anticipation Certificates (DeKalb Medical Center, Inc. Project), Series 2010, 5.25% 2020     8,750       9,491  
Municipal Electric Auth., Project 1, Series 2008-D, 5.75% 2019 (preref. 2018)     11,840       13,014  
Public Gas Partners, Inc., Gas Project Rev. Ref. Bonds (Gas Supply Pool No. 1), Series A, 5.00% 2018     10,930       11,934  
Other securities             57,561  
              92,000  

 

American Funds Tax-Exempt Funds 23
 

Limited Term Tax-Exempt Bond Fund of America

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Hawaii 0.62%                
Airports System Rev. Bonds, Series 2010-B, AMT, 5.00% 2018   $ 9,900     $ 10,695  
Other securities             12,475  
              23,170  
                 
Illinois 8.27%                
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2011-B, 5.00% 2017     1,500       1,528  
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2011-B, 5.00% 2019     2,785       3,064  
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2012-B, AMT, 5.00% 2024     2,000       2,346  
City of Chicago, O’Hare International Airport, General Airport Rev. Bonds, Series 2013-A, AMT, 5.00% 2022     3,055       3,608  
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2008-A, Assured Guaranty Municipal insured, 5.00% 2019     2,000       2,121  
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2012-A, AMT, 5.00% 2025     6,170       7,199  
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2013-A, AMT, 5.00% 2021     10,000       11,576  
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2013-A, AMT, 5.00% 2023     5,000       5,990  
City of Chicago, O’Hare International Airport, General Airport Rev. Ref. Bonds, Series 2015-B, 5.00% 2023     1,500       1,828  
City of Chicago, O’Hare International Airport, Passenger Fac. Charge Rev. Ref. Bonds, Series 2012-B, AMT, 5.00% 2018     2,000       2,115  
City of Chicago, O’Hare International Airport, Passenger Fac. Charge Rev. Ref. Bonds, Series 2012-B, AMT, 5.00% 2019     2,000       2,194  
City of Chicago, O’Hare International Airport, Passenger Fac. Charge Rev. Ref. Bonds, Series 2013-B, AMT, 5.00% 2022     3,000       3,543  
City of Chicago, Water Rev. Bonds, Series 2000, 5.00% 2022     10,500       12,341  
Housing Dev. Auth., Multifamily Housing Rev. Notes (Marshall Field Garden Apartment Homes), 1.44% 2050 (put 2025)1     10,500       10,449  
Railsplitter Tobacco Settlement Auth., Tobacco Settlement Rev. Bonds, Series 2010, 5.50% 2023     12,925       15,238  
Other securities             224,844  
              309,984  
                 
Indiana 2.91%                
Fin. Auth., Private Activity Bonds (Ohio River Bridges East End Crossing Project), Series 2013-B, AMT, 5.00% 2019     10,440       10,623  
Indianapolis Airport Auth., Special Fac. Rev. Ref. Bonds (Federal Express Corp. Project), Series 2004, AMT, 5.10% 2017 (escrowed to maturity)     20,545       20,962  
Other securities             77,510  
              109,095  
                 
Maryland 0.97%                
Transportation Auth., Airport Parking Rev. Ref. Bonds (Baltimore/Washington International Thurgood Marshall Airport Projects), Series 2012-B, AMT, 5.00% 2020     8,150       9,275  
Other securities             26,955  
              36,230  
                 
Michigan 4.55%                
Wayne County, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2007, AMT, FGIC-National insured, 5.00% 2018     1,000       1,055  
Wayne County, Airport Auth., Airport Rev. Bonds (Detroit Metropolitan Wayne County Airport), Series 2007, AMT, National insured, 5.00% 2017     1,000       1,052  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2008-A, AMT, Assured Guaranty insured, 5.25% 2018     890       933  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2010-A, AMT, 5.00% 2017     1,615       1,696  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2010-A, AMT, 5.00% 2018     3,590       3,899  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2011-A, AMT, 5.00% 2019     1,000       1,122  

 

24 American Funds Tax-Exempt Funds
 

Limited Term Tax-Exempt Bond Fund of America

 

    Principal amount
(000)
    Value
(000)
 
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2011-A, AMT, 5.00% 2020   $ 10,000     $ 11,484  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2011-A, AMT, 5.00% 2021     8,240       9,632  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2011-B, 5.00% 2019     1,000       1,131  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2012-D, AMT, 5.00% 2019     3,560       3,993  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2015-F, AMT, 5.00% 2025     1,500       1,846  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2015-F, AMT, 5.00% 2026     1,000       1,224  
Other securities             131,584  
              170,651  
                 
Nebraska 0.86%                
Central Plains Energy Project, Gas Supply Rev. Ref. Bonds, Series 2014, 5.00% 2039 (put 2019)     8,800       9,944  
Investment Fin. Auth., Single Family Housing Rev. Bonds, Series 2015-C, 3.50% 2045     8,670       9,260  
Other securities             12,918  
              32,122  
                 
Nevada 2.31%                
Clark County, Highway Rev. (Motor Vehicle Fuel Tax) Ref. Bonds, Series 2011, 5.00% 2020     12,320       14,288  
Clark County, Pollution Control Rev. Ref. Bonds (Southern California Edison Company), Series 2010, 1.875% 2031 (put 2020)     15,150       15,530  
Other securities             56,777  
              86,595  
                 
New Jersey 2.70%                
Turnpike Auth., Turnpike Rev. Ref. Bonds, Series 2013-D, 1.12% 2024 (put 2018)1     11,500       11,522  
Other securities             89,566  
              101,088  
                 
New York 9.44%                
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2003-B, FGIC-National insured, 5.25% 2020     5,500       6,499  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2008-B-2, 5.00% 2016     1,000       1,014  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2008-C, 5.50% 2018     5,370       5,689  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-E, 5.00% 2020     3,250       3,806  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-A-1, 4.00% 2021     3,470       3,990  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-C, 5.00% 2024     5,000       6,356  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-1, 5.00% 2016     2,000       2,027  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-1, 5.00% 2027     3,150       3,952  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, 1.02% 2039 (put 2020)1     12,250       12,171  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2002-G-1H, 1.163% 2026 (put 2016)1     2,650       2,650  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2011-C, 5.00% 2018     1,105       1,215  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-D, 5.00% 2020     7,000       8,198  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-F, 5.00% 2021     1,000       1,201  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2014-A-2, 5.00% 2028     3,000       3,706  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044     9,700       10,550  
City of New York, G.O. Bonds, Fiscal 2014, Series 2013-G, 5.00% 2016     1,400       1,400  
City of New York, G.O. Bonds, Series 2008-J-4, 0.99% 20251     8,825       8,825  
City of New York, G.O. Bonds, Series 2011-I-1, 5.00% 2017     5,000       5,227  
City of New York, G.O. Bonds, Series 2012-I, 5.00% 2020     5,000       5,818  
City of New York, G.O. Bonds, Series 2013-D, 5.00% 2016     1,000       1,000  
City of New York, G.O. Bonds, Series 2013-E, 5.25% 2022     5,000       6,180  
City of New York, G.O. Bonds, Series 2014-A, 5.00% 2025     3,000       3,816  

 

American Funds Tax-Exempt Funds 25
 

Limited Term Tax-Exempt Bond Fund of America

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
New York (continued)                
City of New York, G.O. Bonds, Series 2014-G, 5.00% 2023   $ 1,500     $ 1,870  
City of New York, G.O. Bonds, Series 2015-C, 5.00% 2028     1,000       1,260  
City of New York, G.O. Bonds, Series 2016-E, 5.00% 2026     2,000       2,619  
Thruway Auth., Local Highway and Bridge Service Contract Rev. Ref. Bonds, Series 2009, 5.00% 2017     10,000       10,308  
Other securities             232,802  
              354,149  
                 
Texas 8.09%                
Brazos River Harbor Navigation Dist. of Brazoria County, Environmental Facs. Rev. Ref. Bonds (Dow Chemical Co. Project), Series 2002-A-4, AMT, 5.95% 2033     9,000       9,859  
Harris County Cultural Education Facs. Fin. Corp., Medical Facs. Rev. Ref. Bonds (Baylor College of Medicine), 1.127% 2045 (put 2020)1     13,000       13,066  
Harris County, Toll Road Rev. Bonds, Series 2012-B, 1.14% 2021 (put 2018)1     13,500       13,491  
City of Houston, Airport System Rev. Ref. Bonds, Series 2011-A, AMT, 5.00% 2019     10,000       11,152  
Other securities             255,699  
              303,267  
                 
Washington 2.49%                
Central Puget Sound Regional Transit Auth., Sales Tax Bonds, Series 2015-S-2A, 1.14% 2045 (put 2018)1     10,500       10,510  
Other securities             82,901  
              93,411  
                 
Wisconsin 1.57%                
Health and Educational Facs. Auth., Rev. Bonds (Ascension Health Alliance Senior Credit Group), Series 2013-B-3, 5.00% 2043 (put 2020)     10,310       11,863  
Health and Educational Facs. Auth., Rev. Ref. Bonds (Aurora Health Care, Inc.), Series 2012-A, 5.00% 2021     7,765       9,166  
Other securities             37,713  
              58,742  
                 
Other states & U.S. territories 21.49%                
Other securities             806,486  
                 
Total bonds, notes & other debt instruments (cost: $3,281,897,000)             3,425,300  
                 
Short-term securities 8.26%                
State of California, Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-3, 0.30% 11/3/2016     5,000       5,000  
State of California, Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-4, 0.44% 10/5/2016     8,000       8,000  
State of California, County of Los Angeles, 2016-17 Tax and Rev. Anticipation Notes, 3.00% 6/30/2017     14,000       14,323  
State of Colorado, General Fund Tax and Rev. Anticipation Notes, Series 2016-A, 2.00% 6/27/2017     25,000       25,320  
District of Columbia, Tax and Rev. Anticipation Notes, Series 2015, 1.50% 9/30/2016     15,000       15,029  
State of Massachusetts, School Building Auth., Dedicated Sales Tax Rev. Ref. Bonds, Series 2015-C, 5.00% 8/15/2016     20,000       20,042  
State of New York, Metropolitan Transportation Auth., Dedicated Tax Fund Bond Anticipation Notes, Series 2016-A-1-F, 2.00% 3/1/2017     7,500       7,567  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1, 1.00% 8/1/2016     5,000       5,000  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1-G, 1.00% 8/1/2016     20,000       20,001  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-E, 2.00% 3/1/2017     10,000       10,089  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-F 2.00% 10/1/2016     15,000       15,039  
State of New York, City of New York, G.O. Bonds, Series 1994-E-2, 0.39% 20201     5,500       5,500  
State of New York, City of New York, G.O. Bonds, Series 2006-H-1, 0.39% 20361     9,900       9,900  

 

26 American Funds Tax-Exempt Funds
 

Limited Term Tax-Exempt Bond Fund of America

 

    Principal amount
(000)
    Value
(000)
 
State of New York, City of New York, G.O. Bonds, Series 2008-L-4, 0.40% 20381   $ 3,000     $ 3,000  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-E-3, 0.39% 20451     7,900       7,900  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20451     7,000       7,000  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2015-A, 2.00% 9/15/2016     22,000       22,045  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2016-A, 2.00% 6/30/2017     13,000       13,177  
Other securities             95,692  
                 
Total short-term securities (cost: $309,538,000)             309,624  
Total investment securities 99.60% (cost: $3,591,435,000)             3,734,924  
Other assets less liabilities 0.40%             14,866  
                 
Net assets 100.00%           $ 3,749,790  

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio. Some of these securities (with an aggregate value of $14,457,000, which represented 0.39% of the net assets of the fund) were acquired in transactions exempt from registration under Rule 144A normally to qualified institutional buyers.

 

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.

 

Key to abbreviations

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 27
 

The Tax-Exempt Bond Fund of America

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 94.44%   Principal amount
(000)
    Value
(000)
 
Alabama 1.23%                
Black Belt Energy Gas Dist., Gas Supply Rev. Bonds, Series 2016-A, 4.00% 2046 (put 2021)   $ 38,000     $ 42,585  
Jefferson County, Sewer Rev. Warrants, Series 2013-A, Assured Guaranty Municipal insured, 5.00% 2044     22,340       25,564  
Other securities             101,424  
              169,573  
                 
Arizona 2.10%                
Health Facs. Auth., Rev. Bonds (Banner Health), Series 2007-B, 1.243% 20371     27,200       25,308  
Other securities             264,443  
              289,751  
                 
California 10.68%                
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2008-B-1, 1.54% 2045 (put 2024)1     30,850       31,174  
Foothill/Eastern Transportation Corridor Agcy., Toll Road Rev. Ref. Bonds, Series 2013-A, 6.00% 2053     24,000       29,139  
G.O. Bonds, Series 2012-A, 0.89% 2033 (put 2018)1     6,000       5,980  
Various Purpose G.O. Bonds, 3.00% 2016     39,000       39,006  
Various Purpose G.O. Bonds, 4.00% 2030 (put 2021)     1,000       1,140  
Various Purpose G.O. Bonds, 5.00% 2017     3,900       3,989  
Various Purpose G.O. Bonds, 5.00% 2029     2,500       3,166  
Various Purpose G.O. Bonds, 5.25% 2018     5,000       5,355  
Various Purpose G.O. Bonds, 5.25% 2028     10,185       12,271  
Various Purpose G.O. Bonds, 5.25% 2028     3,000       3,624  
Various Purpose G.O. Bonds, 5.25% 2031     4,000       5,139  
Various Purpose G.O. Bonds, 5.25% 2032     10,000       12,799  
Various Purpose G.O. Bonds, 6.00% 2038     8,000       9,088  
Various Purpose G.O. Bonds, 6.00% 2039     10,000       11,634  
Various Purpose G.O. Bonds, 6.50% 2033     7,000       8,085  
Various Purpose G.O. Bonds, Series 2015-C, 5.00% 2030     2,500       3,156  
Various Purpose G.O. Ref. Bonds, 5.00% 2016     5,000       5,040  
Various Purpose G.O. Ref. Bonds, 5.00% 2032     4,000       4,779  
City of San Buenaventura, Rev. Bonds (Community Memorial Health System), Series 2011, 7.50% 2041     19,850       24,798  
Turlock Irrigation Dist., Rev. Ref. Bonds, Series 2011, 5.50% 2041     17,990       20,923  
Other securities             1,235,760  
              1,476,045  
                 
Colorado 2.20%                
Health Facs. Auth., Health Facs. Rev. Ref. Bonds (Evangelical Lutheran Good Samaritan Society Project), Series 2012, 5.00% 2042     26,165       29,133  
Regional Transportation Dist., Private Activity Bonds (Denver Transit Partners Eagle P3 Project), Series 2010, 6.00% 2041     23,765       27,579  
Other securities             247,828  
              304,540  
                 
Delaware 0.24%                
Transportation Auth., Rev. Bonds (U.S. 301 Project), 5.00% 2055     25,455       30,052  
Other securities             3,665  
              33,717  
                 
Florida 7.38%                
Miami Beach Redev. Agcy., Tax Increment Rev. Ref. Bonds (City Center/Historic Convention Village), Series 2015-A, Assured Guaranty Municipal insured, 5.00% 2040     18,000       21,305  
Orlando-Orange County, Expressway Auth., Rev. Ref. Bonds, Series 2013-A, 5.00% 2035     27,350       32,590  
Other securities             965,310  
              1,019,205  

 

28 American Funds Tax-Exempt Funds
 

The Tax-Exempt Bond Fund of America

 

    Principal amount
(000)
    Value
(000)
 
Georgia 2.83%                
City of Atlanta, Water and Wastewater Rev. Ref. Bonds, Series 1999-A, FGIC-National insured, 5.50% 2022   $ 20,500     $ 25,114  
Dev. Auth. of Burke County, Pollution Control Rev. Bonds (Oglethorpe Power Corp. Vogtle Project), Series 2008-E, 7.00% 2023     19,670       21,312  
Other securities             344,199  
              390,625  
                 
Illinois 10.03%                
Chicago Transit Auth., Sales Tax Receipts Rev. Bonds, Series 2014, 5.25% 2049     27,500       32,122  
Fin. Auth., Rev. Bonds (Mercy Health Corp.), Series 2016, 5.00% 2046     18,500       21,709  
Fin. Auth., Rev. Ref. Bonds (OSF Healthcare System), Series 2015-A, 5.00% 2045     26,890       31,785  
Fin. Auth., Rev. Ref. Bonds (Provena Health), Series 2009-A, 7.75% 2034     19,000       22,820  
Fin. Auth., Student Housing Rev. Ref. Bonds (CHF-DeKalb II, LLC - Northern Illinois University Project), Series 2011, 6.875% 2043     27,500       32,720  
Housing Dev. Auth., Multifamily Housing Rev. Notes (Marshall Field Garden Apartment Homes), 1.44% 2050 (put 2025)1     25,800       25,674  
Southwestern Illinois Dev. Auth., Health Fac. Rev. Bonds (Memorial Group, Inc.), Series 2013, 7.625% 2048     17,340       24,281  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2008-B, 5.50% 2033 (preref. 2018)     18,210       19,489  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2027     1,305       1,562  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2028     1,000       1,190  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2029     3,000       3,554  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2030     7,100       8,382  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2032     1,000       1,175  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2033     2,200       2,577  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2013-A, 5.00% 2038     34,430       39,950  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2014-B, 5.00% 2038     2,500       2,958  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2014-B, 5.00% 2039     3,000       3,550  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2015-B, 5.00% 2036     2,000       2,423  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2015-B, 5.00% 2037     1,500       1,814  
State Toll Highway Auth., Toll Highway Rev. Bonds, Series 2015-B, 5.00% 2040     9,500       11,438  
State Toll Highway Auth., Toll Highway Rev. Ref. Bonds, Series 2010-A-1, 4.50% 2027     6,000       6,596  
State Toll Highway Auth., Toll Highway Rev. Ref. Bonds, Series 2010-A-1, 5.00% 2025     10,000       11,274  
State Toll Highway Auth., Toll Highway Rev. Ref. Bonds, Series 2010-A-1, 5.00% 2028     10,000       11,234  
State Toll Highway Auth., Toll Highway Rev. Ref. Bonds, Series 2010-A-1, 5.00% 2031     4,000       4,479  
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2016-B, 5.00% 2035     3,055       3,753  
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2016-B, 5.00% 2036     2,000       2,443  
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2016-B, 5.00% 2037     1,900       2,317  
Toll Highway Auth., Toll Highway Rev. Bonds, Series 2016-B, 5.00% 2041     13,450       16,296  
Other securities             1,036,656  
              1,386,221  
                 
Indiana 1.91%                
Fin. Auth., Health System Rev. Bonds (Franciscan Alliance, Inc.), Series 2016-A, 5.00% 2051     19,600       23,199  
Other securities             240,573  
              263,772  
                 
Kentucky 0.63%                
Public Transportation Infrastructure Auth., Toll Rev. Bonds (Downtown Crossing Project), Series 2013-A, 6.00% 2053     18,020       21,839  
Other securities             64,669  
              86,508  
                 
Louisiana 1.87%                
Local Government Environmental Facs. and Community Dev. Auth., Rev. Bonds (Westlake Chemical Corp. Projects), Series 2007, 6.75% 2032     24,560       26,299  
Other securities             232,644  
              258,943  

 

American Funds Tax-Exempt Funds 29
 

The Tax-Exempt Bond Fund of America

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Michigan 3.56%                
School Dist. of the City of Detroit (Wayne County), School Building and Site Improvement Ref. Bonds (Unlimited Tax G.O.), Series 2005-A, Assured Guaranty Municipal insured, 5.25% 2032   $ 20,000     $ 25,529  
Tobacco Settlement Fin. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A, 6.00% 2048     53,520       53,905  
Other securities             412,423  
              491,857  
                 
New Jersey 2.14%                
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-backed Rev. Ref. Bonds, Series 2007-1-A, 5.00% 2041     58,645       58,024  
Other securities             237,901  
              295,925  
                 
New York 6.30%                
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (Bank of America Tower at One Bryant Park Project), Series 2010, 6.375% 2049     21,000       23,918  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2003-B, FGIC-National insured, 5.25% 2021     5,000       6,069  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2005-C, 5.00% 2016     1,000       1,014  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2008-B-2, 5.00% 2016     3,000       3,041  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2008-C, 5.50% 2018     4,100       4,344  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2011-D, 5.00% 2036     6,000       7,100  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-D, 5.00% 2016     5,000       5,068  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-B, 5.00% 2016     1,000       1,014  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-B, 5.00% 2044     13,000       15,614  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-1, 5.00% 2040     8,000       9,647  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-1, 5.00% 2045     20,000       24,065  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, 1.02% 2039 (put 2020)1     13,000       12,917  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-C-1, 5.00% 2035     6,000       7,343  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2011-C, 5.00% 2023     5,000       5,957  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-D, 5.00% 2024     8,000       9,782  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-D, 5.00% 2029     7,000       8,450  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-D, 5.00% 2032     3,105       3,751  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2012-F, 5.00% 2030     10,000       12,115  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2014-A-2, 5.00% 2028     3,000       3,706  
Other securities             705,833  
              870,748  
                 
Ohio 3.80%                
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 5.875% 2030     19,990       19,992  
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 5.875% 2047     103,455       103,401  
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 6.50% 2047     38,380       39,247  
Housing Fin. Agcy., Residential Mortgage Rev. Ref. Bonds (Mortgage-backed Securities Program), Series 2016-D, 4.00% 2047     28,000       30,849  
Other securities             331,112  
              524,601  

 

30 American Funds Tax-Exempt Funds
 

The Tax-Exempt Bond Fund of America

 

    Principal amount
(000)
    Value
(000)
 
Oregon 0.49%                
G.O. Bonds (Veterans’ Welfare Bonds 96), Series 2015-Q, 4.00% 2045   $ 12,885     $ 14,132  
State Board of Higher Education, G.O. Bonds, Series 2006-A, 5.00% 2031 (preref. 2016)     1,695       1,695  
State Board of Higher Education, G.O. Bonds, Series 2006-A, 5.00% 2036 (preref. 2016)     2,715       2,716  
Other securities             48,672  
              67,215  
                 
Texas 9.22%                
Bexar County, Hospital Dist., Combination Tax and Rev. Certificates of Obligation, Series 2008, 5.00% 2032     20,500       21,815  
Grand Parkway Transportation Corp., Grand Parkway System Toll Rev. Bonds, Series 2013-B, 5.00% 2053     32,800       38,387  
Harris County Cultural Education Facs. Fin. Corp., Medical Facs. Rev. Ref. Bonds (Baylor College of Medicine), 1.127% 2045 (put 2020)1     22,000       22,112  
City of Houston, Combined Utility System, Rev. and Rev. Ref. Bonds, Series 2016-B, 5.00% 2035     30,000       37,480  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 5.50% 2018     1,000       1,069  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2021 (preref. 2018)     3,295       3,548  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2023 (preref. 2018)     11,025       11,871  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2025 (preref. 2018)     4,385       4,721  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2014-C, 1.11% 2038 (put 2020)1     7,500       7,522  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 5.625% 2033 (preref 2018)     6,890       7,382  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2021     465       497  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2023     1,545       1,652  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.00% 2025     615       660  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2012-B, 5.25% 2052     8,435       9,780  
North Texas Tollway Auth., System Rev. Ref. Bonds, Current Interest Bonds, Series 2015-B, 5.00% 2040     7,200       8,448  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2008-A, 5.625% 2033     1,860       1,980  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2008-A, 5.625% 2033 (preref. 2018)     6,350       6,804  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2008-F, 5.75% 2033 (preref. 2018)     11,000       11,805  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2008-F, 5.75% 2038 (preref. 2018)     8,500       9,122  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.00% 2028     2,995       3,367  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.00% 2028 (preref. 2019)     13,005       14,676  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.10% 2028     940       1,060  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.10% 2028 (preref. 2019)     4,060       4,591  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.25% 2039     935       1,048  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2009-A, 6.25% 2039 (preref. 2019)     4,065       4,612  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2010, 6.00% 2034     1,500       1,795  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2010, 6.00% 2038     5,000       5,952  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2011-A, 1.24% 2050 (put 2019)1     3,600       3,600  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2011-B, 5.00% 2038     8,000       8,996  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2012-C, 1.95% 2038 (put 2019)     8,600       8,773  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2014-A, 5.00% 2022     1,000       1,195  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2015-A, 5.00% 2032     7,500       9,068  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2015-A, 5.00% 2034     4,500       5,403  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2015-A, 5.00% 2035     4,000       4,785  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2015-A, 5.00% 2038     1,500       1,783  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2030     1,800       2,251  

 

American Funds Tax-Exempt Funds 31
 

The Tax-Exempt Bond Fund of America

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Texas (continued)                
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2031   $ 1,000     $ 1,246  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2032     500       620  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2033     455       562  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2034     1,000       1,230  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2035     1,200       1,470  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2036     1,000       1,219  
North Texas Tollway Auth., System Rev. Ref. Bonds, Series 2016-A, 5.00% 2039     4,000       4,842  
Other securities             973,732  
              1,274,531  
                 
Washington 2.70%                
Health Care Facs. Auth., Rev. Ref. Bonds (Virginia Mason Medical Center), Series 2007-A, 6.125% 2037     22,000       23,134  
Health Care Facs. Auth., Rev. Bonds (Catholic Health Initiatives), Series 2013-B-1, 1.44% 2035 (put 2021)1     59,750       59,295  
Other securities             291,284  
              373,713  
                 
Wisconsin 1.95%                
General Fund Annual Appropriation Rev. Ref. Bonds, Series 2009-A, 6.00% 2036     52,960       60,201  
Other securities             209,322  
              269,523  
                 
Other states & U.S. territories 23.18%                
Other securities             3,203,062  
                 
Total bonds, notes & other debt instruments (cost: $12,095,527,000)             13,050,075  
                 
                 
Short-term securities 5.82%                
State of California, Various Purpose G.O. Bonds, 2.00% 8/1/2016     6,470       6,471  
State of California, County of Los Angeles, 2016-17 Tax and Rev. Anticipation Notes, 3.00% 6/30/2017     60,000       61,384  
State of Colorado, General Fund Tax and Rev. Anticipation Notes, Series 2016-A, 2.00% 6/27/2017     75,000       75,959  
District of Columbia, Tax and Rev. Anticipation Notes, Series 2015, 1.50% 9/30/2016     25,000       25,049  
State of Massachusetts, School Building Auth., Dedicated Sales Tax Rev. Ref. Bonds, Series 2015-C, 5.00% 8/15/2016     21,705       21,750  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2007-E, 0.40% 20301     3,200       3,200  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2009-F, 0.40% 20301     20,300       20,300  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2010-L, 0.40% 20351     10,000       10,000  
State of New York, Metropolitan Transportation Auth., Dedicated Tax Fund Bond Anticipation Notes, Series 2016-A-1-F, 2.00% 3/1/2017     10,000       10,089  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1, 1.00% 8/1/2016     10,000       10,000  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1-F, 0.50% 8/1/2016     17,000       17,000  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1-G, 1.00% 8/1/2016     48,000       48,002  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-E, 2.00% 3/1/2017     33,000       33,294  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-F 2.00% 10/1/2016     39,000       39,102  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-2-C, 2.00% 2/1/2017     5,320       5,359  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-E-3, 0.39% 20451     8,340       8,340  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20451     8,600       8,600  

 

32 American Funds Tax-Exempt Funds
 

The Tax-Exempt Bond Fund of America

 

    Principal amount
(000)
    Value
(000)
 
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Tax-Exempt Bonds, Fiscal 2016 Series D, 1.50% 11/1/2016   $ 1,600     $ 1,605  
State of New York, New York City, Transitional Fin. Auth., New York City Recovery Bonds, Fiscal Series 2003-1, Subseries 1-C, 0.39% 20221     4,000       4,000  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2015-A, 2.00% 9/15/2016     101,300       101,505  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2016-A, 2.00% 6/30/2017     35,000       35,477  
Other securities             257,564  
                 
Total short-term securities (cost: $803,787,000)             804,050  
Total investment securities 100.26% (cost: $12,899,314,000)             13,854,125  
Other assets less liabilities (0.26)%             (36,570 )
                 
Net assets 100.00%           $ 13,817,555  

 

American Funds Tax-Exempt Funds 33
 

The Tax-Exempt Bond Fund of America

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio. Some of these securities (with an aggregate value of $234,744,000, which represented 1.70% of the net assets of the fund) were acquired in transactions exempt from registration under Rule 144A normally to qualified institutional buyers.

 

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.

 

Key to abbreviations

Agcy. = Agency

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

34 American Funds Tax-Exempt Funds
 

American High-Income Municipal Bond Fund

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 93.49%   Principal amount
(000)
    Value
(000)
 
California 9.91%                
City of San Buenaventura, Rev. Bonds (Community Memorial Health System), Series 2011, 7.50% 2041   $ 13,040     $ 16,290  
Other securities             488,216  
              504,506  
                 
Colorado 3.58%                
City and County of Denver, Dept. of Aviation, Special Facs. Airport Rev. Ref. Bonds (United Air Lines Project), Series 2007-A, AMT, 5.25% 2032     16,000       16,615  
City and County of Denver, Dept. of Aviation, Special Facs. Airport Rev. Ref. Bonds (United Air Lines Project), Series 2007-A, AMT, 5.75% 2032     2,905       3,036  
Health Facs. Auth., Health Care Facs. Rev. Bonds (American Baptist Homes of the Midwest Obligated Group), Series 2013, 8.00% 2043     11,100       13,473  
Regional Transportation Dist., Private Activity Bonds (Denver Transit Partners Eagle P3 Project), Series 2010, 6.00% 2041     14,800       17,175  
Other securities             132,064  
              182,363  
                 
District of Columbia 0.69%                
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-Backed Bonds, Series 2006-A, 0% 2046     145,000       19,540  
Other securities             15,542  
              35,082  
                 
Florida 6.06%                
Dev. Fin. Corp., Healthcare Facs. Rev. Bonds (UF Health - Jacksonville Project), Series 2013-A, 6.00% 2033     11,930       13,914  
Lee County, Industrial Dev. Auth., Healthcare Facs. Rev. Ref. Bonds (Shell Point/Alliance Obligated Group, Shell Point Village/Alliance Community Project), Series 2007, 5.00% 2029     13,425       13,791  
Palm Beach County, Health Facs. Auth., Retirement Communities Rev. Bonds (ACTS Retirement-Life Communities, Inc. Obligated Group), Series 2016, 5.00% 2032     11,000       13,334  
City of Tallahassee, Health Facs. Rev. Ref. Bonds (Tallahassee Memorial HealthCare, Inc. Project), Series 2016-A, 5.00% 2055     11,200       13,047  
Other securities             254,364  
              308,450  
                 
Illinois 10.18%                
City of Chicago, Chicago Midway Airport, Rev. Ref. Bonds, Series 2014-A, AMT, 5.00% 2041     13,000       14,886  
Fin. Auth., Rev. Bonds (Mercy Health Corp.), Series 2016, 5.00% 2046     10,800       12,673  
Fin. Auth., Rev. Ref. Bonds (Provena Health), Series 2009-A, 7.75% 2034     12,950       15,554  
Fin. Auth., Student Housing Rev. Ref. Bonds (CHF-DeKalb II, LLC - Northern Illinois University Project), Series 2011, 6.875% 2043     11,500       13,683  
Southwestern Illinois Dev. Auth., Health Fac. Rev. Bonds (Memorial Group, Inc.), Series 2013, 7.625% 2048     11,020       15,431  
Other securities             445,968  
              518,195  
                 
Iowa 0.94%                
Fin. Auth., Midwestern Disaster Area Rev. Ref. Bonds (Iowa Fertilizer Co. Project), Series 2013, 5.25% 2025     16,300       17,638  
Other securities             30,308  
              47,946  
                 
Massachusetts 2.27%                
Dev. Fin. Agcy., Rev. Bonds (Linden Ponds, Inc. Fac.), Series 2011-A-1, 6.25% 2046     12,254       12,875  
Dev. Fin. Agcy., Rev. Ref. Bonds (Tufts Medical Center Issue), Series 2011-I, 6.75% 2036     11,175       13,397  
Educational Fncg. Auth., Education Loan Rev. Bonds, Series 2016-J, AMT, 3.50% 2033     21,000       21,437  
Other securities             67,979  
              115,688  

 

American Funds Tax-Exempt Funds 35
 

American High-Income Municipal Bond Fund

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Michigan 4.20%                
Tobacco Settlement Fin. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A, 6.00% 2034   $ 4,050     $ 4,079  
Tobacco Settlement Fin. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A, 6.00% 2048     57,385       57,798  
Tobacco Settlement Fin. Auth., Tobacco Settlement Asset-backed Rev. Ref. Bonds, Current Interest Bonds, Series 2008-A, 6.875% 2042     5,440       5,616  
Wayne County, Airport Auth., Airport Rev. Ref. Bonds (Detroit Metropolitan Wayne County Airport), Series 2012-D, AMT, 5.00% 2028     12,000       13,820  
Other securities             132,616  
              213,929  
                 
New Jersey 4.49%                
Econ. Dev. Auth., School Facs. Construction Rev. Ref. Bonds, Series 2013-I, 2.04% 20281     16,000       14,435  
Econ. Dev. Auth., Special Fac. Rev. Bonds (Continental Airlines, Inc. Project), Series 1999, AMT, 5.125% 2023     4,525       5,116  
Econ. Dev. Auth., Special Fac. Rev. Bonds (Continental Airlines, Inc. Project), Series 1999, AMT, 5.25% 2029     18,500       20,769  
Econ. Dev. Auth., Special Fac. Rev. Bonds (Continental Airlines, Inc. Project), Series 2000-B, AMT, 5.625% 2030     1,750       2,040  
Econ. Dev. Auth., Special Fac. Rev. Bonds (Continental Airlines, Inc. Project), Series 2003, AMT, 5.50% 2033     3,500       4,004  
Econ. Dev. Auth., Special Fac. Rev. Ref. Bonds (Continental Airlines, Inc. Project), Series 2012, AMT, 5.75% 2027     4,500       5,179  
South Jersey Transportation Auth., Transportation System Rev. Bonds, Series 2014-A, 5.00% 2039     12,650       14,378  
Tobacco Settlement Fncg. Corp., Tobacco Settlement Asset-backed Rev. Ref. Bonds, Series 2007-1-A, 5.00% 2041     52,665       52,107  
Other securities             110,813  
              228,841  
                 
New York 4.49%                
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (Bank of America Tower at One Bryant Park Project), Series 2010, 6.375% 2049     13,360       15,216  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), AMT, 2.00% 2028     4,600       4,600  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2005, AMT, 7.625% 2025     15,200       15,356  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2005, AMT, 7.75% 2031     3,130       3,162  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2005, AMT, 8.00% 2028     2,000       2,020  
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2016, AMT, 5.00% 2020     10,000       11,043  
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2016, AMT, 5.00% 2026     5,000       5,565  
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2016, AMT, 5.00% 2031     4,750       5,214  
Other securities             166,475  
              228,651  
                 
Ohio 5.25%                
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 5.875% 2030     2,350       2,350  
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 5.875% 2047     105,320       105,265  
Buckeye Tobacco Settlement Fncg. Auth., Tobacco Settlement Asset-backed Bonds, Current Interest Bonds, Series 2007-A-2, 6.50% 2047     20,205       20,661  
County of Gallia, Hospital Facs. Rev. Ref. and Improvement Bonds (Holzer Health System Obligated Group Project), Series 2012-A, 8.00% 2042     10,735       13,007  
Other securities             125,895  
              267,178  

 

36 American Funds Tax-Exempt Funds
 

American High-Income Municipal Bond Fund

 

    Principal amount
(000)
    Value
(000)
 
Oklahoma 0.81%                
Trustees of the Tulsa Municipal Airport Trust, American Airlines Inc. Rev. Ref. Bonds, Series 2001-B, AMT, 5.50% 2035   $ 15,875     $ 18,238  
Trustees of the Tulsa Municipal Airport Trust, American Airlines Inc. Rev. Ref. Bonds, Series 2013-B, AMT, 5.50% 2035     120       137  
Trustees of the Tulsa Municipal Airport Trust, Series 2015, AMT, 5.00% 2035 (put 2025)     5,000       5,847  
Other securities             16,953  
              41,175  
                 
Pennsylvania 5.25%                
Higher Educational Facs. Auth., Rev. Bonds (Edinboro University Foundation Student Housing Project), Series 2008, 5.875% 2038     11,400       11,942  
Hospitals and Higher Education Facs. Auth. of Philadelphia, Hospital Rev. Bonds (Temple University Health System Obligated Group), Series 2012-A, 5.625% 2042     11,545       12,991  
Other securities             242,262  
              267,195  
                 
Puerto Rico 3.38%                
Aqueduct and Sewer Auth., Rev. Ref. Bonds, Series 2012-A, 5.25% 2042     31,815       22,416  
Electric Power Auth., Power Rev. Ref. Bonds, Series UU, Assured Guaranty Municipal insured, 0.953% 20291     19,235       13,892  
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, 6.00% 2033     12,025       12,393  
Other securities             123,226  
              171,927  
                 
Texas 6.97%                
Brazos River Harbor Navigation Dist. of Brazoria County, Environmental Facs. Rev. Ref. Bonds (Dow Chemical Co. Project), Series 2002-A-4, AMT, 5.95% 2033     24,545       26,887  
City of Houston, Airport System Special Facs. Rev. Bonds (Continental Airlines, Inc. Terminal Improvement Projects), Series 2011, AMT, 6.50% 2030     9,300       10,912  
City of Houston, Airport System Special Facs. Rev. Bonds (Continental Airlines, Inc. Terminal Improvement Projects), Series 2011, AMT, 6.625% 2038     3,000       3,508  
City of Houston, Airport System Special Facs. Rev. Ref. Bonds (United Airlines, Inc. Airport Improvement Projects), Series 2015-B-1, AMT, 5.00% 2030     3,000       3,452  
City of Houston, Airport System Special Facs. Rev. Ref. Bonds (United Airlines, Inc. Airport Improvement Projects), Series 2015-C, AMT, 5.00% 2020     11,335       12,612  
City of Houston, Airport System Special Facs. Rev. Ref. Bonds (United Airlines, Inc. Terminal E Project), Series 2014, AMT, 4.75% 2024     5,500       6,327  
City of Houston, Airport System Special Facs. Rev. Ref. Bonds (United Airlines, Inc. Terminal E Project), Series 2014, AMT, 5.00% 2029     6,310       7,160  
Mission Econ. Dev. Corp., Rev. Bonds (Natgasoline Project), Series 2016-B, AMT, 5.75% 20312     14,165       15,142  
Other securities             269,122  
              355,122  
                 
Wisconsin 1.47%                
Housing and Econ. Dev. Auth., Home Ownership Rev. Bonds, Series 2016-A, AMT, 3.50% 2046     19,000       20,235  
Other securities             54,639  
              74,874  

 

American Funds Tax-Exempt Funds 37
 

American High-Income Municipal Bond Fund

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Other states & U.S. territories 23.55%                
Other securities           $ 1,199,826  
                 
Total bonds, notes & other debt instruments (cost: $4,399,961,000)             4,760,948  
                 
Short-term securities 6.73%                
State of California, Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-3, 0.30% 11/3/2016   $ 5,000       5,000  
State of California, Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-4, 0.44% 10/5/2016     8,000       8,000  
State of California, County of Los Angeles, 2016-17 Tax and Rev. Anticipation Notes, 3.00% 6/30/2017     14,000       14,323  
State of Colorado, General Fund Tax and Rev. Anticipation Notes, Series 2016-A, 2.00% 6/27/2017     50,000       50,640  
District of Columbia, Tax and Rev. Anticipation Notes, Series 2015, 1.50% 9/30/2016     15,000       15,029  
State of Massachusetts, School Building Auth., Dedicated Sales Tax Rev. Ref. Bonds, Series 2015-C, 5.00% 8/15/2016     15,000       15,031  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2007-E, 0.40% 20301     4,980       4,980  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2009-E, 0.40% 20301     13,550       13,550  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2009-F, 0.40% 20301     3,260       3,260  
State of Mississippi, Business Fin. Corp., Gulf Opportunity Zone Industrial Dev. Rev. Bonds (Chevron U.S.A. Inc. Project), Series 2010-L, 0.40% 20351     8,000       8,000  
State of New York, Metropolitan Transportation Auth., Dedicated Tax Fund Bond Anticipation Notes, Series 2016-A-1-F, 2.00% 3/1/2017     7,500       7,567  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1, 1.00% 8/1/2016     5,000       5,000  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2015-B-1-G, 1.00% 8/1/2016     20,000       20,001  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-E, 2.00% 3/1/2017     7,000       7,062  
State of New York, Metropolitan Transportation Auth., Transportation Rev. Bond Anticipation Notes, Series 2016-A-1-F 2.00% 10/1/2016     10,000       10,026  
State of New York, City of New York, G.O. Bonds, Series 1994-E-2, 0.39% 20201     6,500       6,500  
State of New York, City of New York, G.O. Bonds, Series 2006-H-1, 0.39% 20361     11,100       11,100  
State of New York, City of New York, G.O. Bonds, Series 2008-L-4, 0.40% 20381     5,000       5,000  
State of New York, New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20451     6,100       6,100  
State of New York, New York City, Transitional Fin. Auth., New York City Recovery Bonds, Fiscal Series 2003-1, Subseries 1-C, 0.39% 20221     5,855       5,855  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2015-A, 2.00% 9/15/2016     23,000       23,047  
State of Oregon, Full Faith and Credit Tax Anticipation Notes, Series 2016-A, 2.00% 6/30/2017     15,000       15,205  
Other securities             82,720  
                 
Total short-term securities (cost: $342,907,000)             342,996  
Total investment securities 100.22% (cost: $4,742,868,000)             5,103,944  
Other assets less liabilities (0.22)%             (11,429 )
                 
Net assets 100.00%           $ 5,092,515  

 

38 American Funds Tax-Exempt Funds
 

American High-Income Municipal Bond Fund

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio.

 

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, including those in “Other securities,” was $343,128,000, which represented 6.74% of the net assets of the fund.

 

Key to abbreviations

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 39
 

The Tax-Exempt Fund of California

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 96.41%   Principal amount
(000)
    Value
(000)
 
California 94.15%                
State issuers 37.58%                
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-A, 4.00% 2034   $ 2,000     $ 2,292  
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-A, 4.00% 2035     7,000       7,988  
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-A, 4.00% 2037     6,645       7,534  
Trustees of the California State University, Systemwide Rev. Bonds, Series 2016-B-2, 4.00% 2049 (put 2021)     5,000       5,695  
Trustees of the California State University, Systemwide Rev. Ref. Bonds, Series 2012-A, 5.00% 2027     3,000       3,659  
Eastern Municipal Water Dist., Water and Wastewater Rev. Ref. Bonds, Series 2016-A, 5.00% 2042     5,900       7,336  
Educational Facs. Auth., Rev. Ref. Bonds (California Lutheran University), Series 2008, 5.75% 2038     6,000       6,565  
Educational Facs. Auth., Rev. Ref. Bonds (Chapman University), Series 2011, 5.00% 2031     8,615       9,966  
G.O. Bonds, Series 2012-A, 0.89% 2033 (put 2018)1     6,500       6,479  
G.O. Bonds, Series 2013-E, 1.156% 20291     1,500       1,502  
Various Purpose G.O. Bonds, 3.00% 2016     21,500       21,503  
Various Purpose G.O. Bonds, 4.00% 2030 (put 2021)     3,000       3,420  
Various Purpose G.O. Bonds, 5.00% 2016     890       897  
Various Purpose G.O. Bonds, 5.00% 2016     700       706  
Various Purpose G.O. Bonds, 5.00% 2017     6,000       6,137  
Various Purpose G.O. Bonds, 5.00% 2033     4,000       5,000  
Various Purpose G.O. Bonds, 5.25% 2028     5,000       6,040  
Various Purpose G.O. Bonds, 5.25% 2028     2,000       2,410  
Various Purpose G.O. Bonds, 5.25% 2032     5,000       6,399  
Various Purpose G.O. Bonds, 6.00% 2038     7,000       7,952  
Various Purpose G.O. Bonds, 6.00% 2039     2,000       2,327  
Various Purpose G.O. Bonds, 6.50% 2033     5,000       5,775  
Various Purpose G.O. Bonds, Series 2008, 5.00% 2017     2,675       2,746  
Various Purpose G.O. Rev. Ref. Bonds, 4.00% 2017     1,000       1,021  
Veterans G.O. Ref. Bonds, Series 2016-CN, 3.50% 2045     10,000       10,901  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2005-A, Assured Guaranty Municipal insured, 0% 2026     11,000       9,007  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2007-A-1, 5.125% 2047     5,000       5,001  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2015-A, 5.00% 2032     3,250       4,024  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2015-A, 5.00% 2033     5,265       6,491  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2015-A, 5.00% 2040     5,000       6,061  
Golden State Tobacco Securitization Corp., Enhanced Tobacco Settlement Asset-backed Bonds, Series 2015-A, 5.00% 2045     6,000       7,246  
Golden State Tobacco Securitization Corp., Tobacco Settlement Asset-backed Rev. Ref. Bonds, Series 2007-A-1, 5.75% 2047     26,225       26,758  
Health Facs. Fncg. Auth., Rev. Bonds (Sutter Health), Series 2011-D, 5.25% 2031     2,000       2,396  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Stanford Hospital and Clinics), Series 2010-B, 5.25% 2031     8,000       9,400  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2008-A, 5.25% 2022     2,000       2,190  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2016-A, 5.00% 2033     1,000       1,248  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2016-A, 5.00% 2034     2,000       2,487  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2016-A, 5.00% 2035     2,000       2,478  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2016-B, 4.00% 2038     5,000       5,592  
Health Facs. Fncg. Auth., Rev. Ref. Bonds (Sutter Health), Series 2016-B, 5.00% 2035     1,000       1,254  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, 5.25% 2024     370       409  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, 5.25% 2024 (preref. 2018)     1,630       1,801  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.00% 2033     2,110       2,320  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.00% 2033 (preref. 2018)     9,390       10,325  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.25% 2025     365       403  

 

40 American Funds Tax-Exempt Funds

 

The Tax-Exempt Fund of California

 

    Principal amount
(000)
    Value
(000)
 
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2008-A, 5.25% 2025 (preref. 2018)   $ 1,635     $ 1,807  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2016-B-2, 4.00% 2032     1,830       2,100  
Imperial Irrigation Dist., Electric System Rev. Ref. Bonds, Series 2016-B-2, 5.00% 2041     6,965       8,645  
Infrastructure and Econ. Dev. Bank, Rev. Ref. Bonds (J. Paul Getty Trust), Series 2013-A-2, 0.846% 2047 (put 2019)1     10,000       10,005  
Municipal Fin. Auth., Rev. Ref. Bonds (Azusa Pacific University Project), Series 2011-B, 8.00% 20412     8,550       11,291  
Municipal Fin. Auth., Rev. Ref. Bonds (Inland Regional Center Project), 5.00% 2032     3,000       3,627  
Municipal Fin. Auth., Rev. Ref. Bonds (Inland Regional Center Project), 5.00% 2037     2,000       2,374  
Municipal Fin. Auth., Rev. Ref. Bonds (Inland Regional Center Project), 5.00% 2045     4,000       4,737  
Northern California Power Agcy., Lodi Energy Center Rev. Bonds, Issue One, Series 2010-A, 5.00% 2025     6,000       6,809  
Pollution Control Fncg. Auth., Water Furnishing Rev. Bonds (Poseidon Resources (Channelside) LP Desalination Project), Series 2012 Plant Bonds, AMT, 5.00% 20452     7,000       7,900  
Public Works Board, Lease Rev. Bonds (Regents of the University of California, Various University of California Projects), Series 2009-E, 5.00% 2024 (preref. 2019)     2,500       2,790  
Public Works Board, Lease Rev. Bonds (Regents of the University of California, Various University of California Projects), Series 2009-E, 5.00% 2034 (preref. 2019)     1,500       1,674  
Statewide Communities Dev. Auth., Rev. Bonds (Front Porch Communities and Services Project), Series 2007-A, 5.125% 20372     9,500       9,680  
Statewide Communities Dev. Auth., Rev. Bonds (Inland Regional Center Project), Series 2007, 5.00% 2017 (escrowed to maturity)     1,425       1,479  
Statewide Communities Dev. Auth., Rev. Bonds (Inland Regional Center Project), Series 2007, 5.25% 2027 (preref. 2017)     2,000       2,127  
Statewide Communities Dev. Auth., Rev. Bonds (Inland Regional Center Project), Series 2007, 5.375% 2037 (preref. 2017)     6,500       6,928  
Statewide Communities Dev. Auth., Rev. Bonds (John Muir Health), Series 2016-A, 4.00% 2046     6,500       7,122  
Statewide Communities Dev. Auth., Rev. Bonds (Kaiser Permanente), Series 2012-A, 5.00% 2042     6,500       7,594  
Statewide Communities Dev. Auth., Rev. Bonds (Sutter Health), Series 2011-A, 5.25% 2024     1,000       1,178  
Statewide Communities Dev. Auth., Rev. Bonds (Sutter Health), Series 2011-A, 6.00% 2042     4,500       5,411  
Statewide Communities Dev. Auth., Senior Living Rev. Ref. Bonds (Southern California Presbyterian Homes), Series 2006-A, 4.875% 2036 (preref. 2016)2     6,500       6,587  
Regents of the University of California, Limited Project Rev. Bonds, Series 2015-I, 5.00% 2017     4,625       4,794  
Regents of the University of California, Limited Project Rev. Bonds, Series 2016-K, 5.00% 2033     2,110       2,668  
Regents of the University of California, Limited Project Rev. Bonds, Series 2016-K, 5.00% 2034     2,500       3,149  
Regents of the University of California, Limited Project Rev. Bonds, Series 2016-K, 5.00% 2035     9,390       11,780  
Regents of the University of California, Medical Center Pooled Rev. Ref. Bonds, Series 2007-C-2, National insured, 1.09% 20371     5,000       4,589  
Regents of the University of California, Medical Center Pooled Rev. Ref. Bonds, Series 2007-C-2, National insured, 1.16% 20431     8,000       7,006  
Other securities             383,352  
              778,344  
                 
City & county issuers 56.57%                
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2013-A, 5.00% 2025     1,700       2,106  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2013-A, 5.00% 2026     6,375       7,843  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, 5.00% 2034     2,000       2,457  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, 5.00% 2035     3,000       3,670  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, 5.00% 2036     1,000       1,217  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, 5.00% 2037     1,000       1,216  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 4.00% 2035     2,500       2,787  
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 4.00% 2037     2,000       2,219  

 

American Funds Tax-Exempt Funds 41
 

The Tax-Exempt Fund of California

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
California (continued)            
City & county issuers (continued)                
Alameda Corridor Transportation Auth., Rev. Ref. Bonds, Series 2016-B, Assured Guaranty Municipal insured, 5.00% 2036   $ 1,500     $ 1,841  
Baldwin Park Unified School Dist. (Los Angeles County), G.O. Rev. Ref. Bonds, Series 2016, Assured Guaranty Municipal insured, 4.00% 2031     6,420       7,360  
Assn. of Bay Area Governments, Fin. Auth. for Nonprofit Corps., Insured Rev. Ref. Bonds (Casa de las Campanas, Inc.), Series 2010, 6.00% 2037     6,000       7,090  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2006-C-1, 1.34% 2045 (put 2023)1     2,000       1,999  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2008-B-1, 1.54% 2045 (put 2024)1     7,500       7,579  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2008-F-1, 5.00% 2039 (preref. 2018)     2,000       2,149  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2008-F-1, 5.125% 2047 (preref. 2018)     6,000       6,459  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2009-F-1, 5.125% 2039 (preref. 2019)     2,000       2,240  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2009-F-1, 5.625% 2044 (preref. 2019)     1,670       1,893  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-B, 1.50% 2047     3,950       3,988  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-F-1, 5.00% 2054     5,000       5,941  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-G, 1.04% 2034 (put 2020)1     2,750       2,739  
Bay Area Toll Auth., San Francisco Bay Area Toll Bridge Rev. Ref. Bonds, Series 2014-H, 1.14% 2034 (put 2021)1     4,000       3,982  
Chabot-Las Positas Community College Dist. (Alameda and Contra Costa Counties), G.O. Rev. Ref. Bonds, Series 2016, 4.00% 2034     9,940       11,366  
Coachella Valley Unified School Dist., G.O. Bonds (Riverside and Imperial Counties), 2005 Election, Series 2016-E, Assured Guaranty Municipal insured, 4.00% 2045     6,555       7,310  
Foothill/Eastern Transportation Corridor Agcy., Toll Road Rev. Ref. Bonds, Series 2013-A, 6.00% 2053     7,500       9,106  
Foothill/Eastern Transportation Corridor Agcy., Toll Road Rev. Ref. Bonds, Series 2014-A, 6.00% 2049     5,800       7,042  
Oakland Unified School Dist., (County of Alameda), G.O. Bonds, Series 2015-A, 5.00% 2040     5,550       6,618  
Pasadena Unified School Dist. (Los Angeles County), 2008 Election G.O. Bonds, Series 2016, 4.00% 2032     5,000       5,824  
Pasadena Unified School Dist. (Los Angeles County), 2008 Election G.O. Bonds, Series 2016, 4.00% 2034     5,040       5,768  
Pasadena Unified School Dist. (Los Angeles County), 2008 Election G.O. Bonds, Series 2016, 4.00% 2035     15,940       18,151  
Pasadena Unified School Dist. (Los Angeles County), 2008 Election G.O. Bonds, Series 2016, 4.00% 2036     2,250       2,545  
Sacramento County Sanitation Districts Fncg. Auth., Rev. Ref. Bonds (Sacramento Regional County Sanitation Dist.), Series 2007-B, FGIC-National insured, 0.981% 20351     13,500       12,582  
City of San Buenaventura, Rev. Bonds (Community Memorial Health System), Series 2011, 7.50% 2041     10,825       13,523  
San Diego Unified School Dist., G.O. Rev. Ref. Bonds, Series 2016-R-5, 4.00% 2029     6,500       7,735  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Bonds, Series 2009-E, 6.00% 2039     3,000       3,432  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2016-A, 5.00% 2029     1,375       1,768  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Issue 34-E, AMT, 5.75% 2019     3,500       3,816  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2009-A, 4.90% 2029     5,000       5,637  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2010-F, 5.00% 2040     3,000       3,402  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2011-F, AMT, 5.00% 2028     2,630       3,070  
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2012-A, AMT, 5.00% 2028     1,000       1,188  

 

42 American Funds Tax-Exempt Funds

 

The Tax-Exempt Fund of California

 

    Principal amount
(000)
    Value
(000)
 
Airport Commission, City and County of San Francisco, San Francisco International Airport, Second Series Rev. Ref. Bonds, Series 2012-A, AMT, 5.00% 2030   $ 1,000     $ 1,168  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay North Redev. Project), Series 2011-C, 6.75% 2033     500       632  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay North Redev. Project), Series 2011-C, 6.75% 2041     1,875       2,369  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay North Redev. Project-Infrastructure), Series 2006-B, RADIAN insured, 5.00% 2036     5,000       5,001  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2009-D, 6.50% 2030     975       1,145  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2011-D, 7.00% 2033     810       1,032  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2011-D, 7.00% 2041     2,500       3,186  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2014-A, 5.00% 2043     2,100       2,472  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2016-B, 5.00% 2031     425       530  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2016-C, 5.00% 2033     1,000       1,239  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2016-C, 5.00% 2034     650       805  
City and County of San Francisco, Redev. Fin. Auth., Tax Allocation Rev. Bonds (Mission Bay South Redev. Project), Series 2016-C, National insured, 5.00% 2041     2,100       2,606  
Public Utilities Commission of the City and County of San Francisco, Wastewater Rev. Green Bonds, Series 2016-A, 4.00% 2037     6,575       7,425  
City of San Jose, Airport Rev. Ref. Bonds, Series 2011-A-1, AMT, 5.50% 2030     8,000       9,392  
School Facs. Improvement Dist. No. 2007-1 of the Poway Unified School Dist., G.O. Bonds (San Diego County), Election 2008, 0% 2035     12,850       7,400  
Tobacco Securitization Auth. of Southern California, Tobacco Settlement Asset-backed Rev. Ref. Bonds (San Diego County Tobacco Asset Securitization Corp.), Series 2006-A, 5.125% 2046     7,800       7,801  
Victor Valley Union High School Dist., G.O. Rev. Ref. Bonds, Series 2016-A, BAM insured, 4.00% 2032     7,500       8,583  
City of Whittier, Health Fac. Rev. Bonds (PIH Health), Series 2014, 5.00% 2044     9,000       10,561  
Other securities             889,408  
              1,171,413  
 
Puerto Rico 1.40%                
Highways and Transportation Auth., Transportation Rev. Ref. Bonds, Series 2007-N, Assured Guaranty insured, 5.25% 2036     6,590       6,998  
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, 6.00% 2033     7,150       7,369  
Other securities             14,753  
              29,120  
 
Other U.S. territories 0.86%                
Other securities             17,719  
                 
Total bonds, notes & other debt instruments (cost: $1,846,948,000)             1,996,596  
 
Short-term securities 3.00%                
G.O. Bonds, Series 2009-A-10, 0.42% 20341     2,000       2,000  
Various Purpose G.O. Commercial Paper, Series 2016-A-2, 0.42% 8/4/2016     3,000       3,000  
Educational Facs. Auth., Higher Education Commercial Paper, Series 2016-S-1, 0.47% 9/6/2016     17,000       17,000  
Various Purpose G.O. Bonds, 2.00% 8/1/2016     10,000       10,001  
Various Purpose G.O. Commercial Paper, Series 2016-A-5, 0.43% 9/6/2016     4,000       4,000  

 

American Funds Tax-Exempt Funds 43

 

The Tax-Exempt Fund of California

 

Short-term securities (continued)   Principal amount
(000)
    Value
(000)
 
County of Los Angeles, 2016-17 Tax and Rev. Anticipation Notes, 3.00% 6/30/2017   $ 15,000     $ 15,346  
Regents of the University of California, General Rev. Bonds, Series 2013-AL-1, 0.41% 20481     5,600       5,600  
Other securities             5,195  
                 
Total short-term securities (cost: $62,112,000)             62,142  
Total investment securities 99.41% (cost: $1,909,060,000)             2,058,738  
Other assets less liabilities 0.59%             12,130  
                 
Net assets 100.00%           $ 2,070,868  

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio.

 

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, including those in “Other securities,” was $58,092,000, which represented 2.81% of the net assets of the fund.

 

Key to abbreviations

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

44 American Funds Tax-Exempt Funds
 

American Funds Tax-Exempt Fund of New York

Summary investment portfolio July 31, 2016

 

Bonds, notes & other debt instruments 96.91%  
 
Principal amount
(000)
 
 
 
 
Value
(000)
 
 
New York 93.41%                
State issuers 50.30%                
Dobbs Ferry Local Dev. Corp., Rev. Bonds, Series 2014, 5.00% 2039   $ 1,625     $ 1,918  
Dobbs Ferry Local Dev. Corp., Rev. Bonds, Series 2014, 5.00% 2044     500       587  
Dormitory Auth. of the State of New York, School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2013-E, Assured Guaranty Municipal insured, 5.00% 2022     1,000       1,229  
Dormitory Auth., Cornell University, Rev. Bonds, Series 2016-A, 5.00% 2033     1,000       1,276  
Dormitory Auth., Fordham University, Rev. Bonds, Series 2011-A, 5.50% 2036     1,000       1,206  
Dormitory Auth., Fordham University, Rev. Bonds, Series 2016-A, 5.00% 2036     1,000       1,237  
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2031     500       613  
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2035     1,000       1,211  
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2040     250       302  
Dormitory Auth., Mount Sinai School of Medicine of New York University, Rev. Ref. Bonds, Series 2010-A, 5.00% 2021     1,000       1,149  
Dormitory Auth., New School Rev. Bonds, Series 2010, 5.25% 2021     500       580  
Dormitory Auth., New School Rev. Bonds, Series 2010, 5.50% 2040     500       581  
Dormitory Auth., New School Rev. Bonds, Series 2015-A, 5.00% 2032     1,000       1,216  
Dormitory Auth., New York University Rev. Bonds, Series 2016-A, 5.00% 2039     1,000       1,242  
Dormitory Auth., North Shore-Long Island Jewish Obligated Group, Rev. Ref. Bonds, Series 2011-A, 5.00% 2032     1,500       1,746  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, 5.00% 2022     200       243  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, 5.00% 2034     1,000       1,207  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2011-A, 6.00% 2040 (preref. 2020)     1,000       1,204  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 4.00% 2040     505       563  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 5.00% 2027     200       256  
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 5.00% 2033     400       499  
Dormitory Auth., Pratt Institute, Rev. Bonds, Series 2016, 5.00% 2039     650       797  
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-A, 5.00% 2022     1,000       1,222  
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-A, 5.00% 2033     1,000       1,249  
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-E, 5.00% 2026     500       649  
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Ref. Bonds, Series 2011-A, 5.00% 2024     500       594  
Dormitory Auth., Skidmore College Rev. Bonds, Series 2011-A, 5.50% 2041     1,420       1,683  
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2008-A, 5.00% 2016     1,425       1,450  
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2014-E, 5.00% 2017     845       866  
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2014-E, 5.00% 2032     750       927  
Environmental Facs. Corp., Solid Waste Disposal Rev. Ref. Bonds (Waste Management, Inc. Project), Series 2012, AMT, 0.85% 2030 (put 2016)1     3,250       3,250  
Environmental Facs. Corp., Solid Waste Disposal Rev. Ref. Bonds (Waste Management, Inc. Project), Series 2013-A, 2.75% 2017     1,000       1,019  
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2007 Series A, 5.00% 2047     825       844  
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2012 Series A, 5.25% 2047     1,000       1,152  
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2012 Series A, 5.75% 2047     1,000       1,183  
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 2, 5.15% 20342     1,250       1,411  
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 2, 5.375% 20402     350       409  
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 3, 7.25% 20442     375       495  
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (4 World Trade Center Project), Series 2011, 5.00% 2031     1,500       1,767  
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (Bank of America Tower at One Bryant Park Project), Series 2010, 6.375% 2049     1,500       1,708  
Liberty Dev. Corp., Rev. Bonds (Goldman Sachs Headquarters Issue), Series 2005, 5.25% 2035     1,000       1,349  
                 
American Funds Tax-Exempt Funds 45
 

American Funds Tax-Exempt Fund of New York

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
New York (continued)                
State issuers (continued)                
Metropolitan Transportation Auth., Dedicated Tax Fund Bonds, Series 2004-C, AMBAC insured, 5.50% 2017   $ 1,000     $ 1,064  
Metropolitan Transportation Auth., Dedicated Tax Fund Rev. Ref. Bonds, Series 2002-B-3D, 1.44% 20201     2,000       2,018  
Metropolitan Transportation Auth., Dedicated Tax Fund Rev. Ref. Bonds, Series 2008-A-2A, 0.82% 2026 (put 2017)1     490       489  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-E, 5.00% 2031     1,000       1,212  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-F, 5.00% 2016     1,000       1,014  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-B, 5.00% 2044     500       601  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-D-1, 5.00% 2039     250       305  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, 1.02% 2039 (put 2020)1     500       497  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-C-1, 5.00% 2035     1,750       2,142  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-C-1, 5.25% 2030     280       360  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2016-C-1, 4.00% 2041     1,000       1,116  
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2016-C-1, 5.00% 2036     500       616  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2002-G-1H, 1.163% 2026 (put 2016)1     715       715  
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2016-B, 4.00% 2036     1,000       1,121  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 178, 3.50% 2043     440       454  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 191, 3.50% 2034     660       692  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 194, AMT, 3.50% 2035     750       795  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 195, 4.00% 2046     1,475       1,622  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044     900       979  
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 52, AMT, 3.50% 2030     1,100       1,176  
Mortgage Agcy., Mortgage Rev. Bonds, Series 46, 5.00% 2029     135       140  
Mortgage Agcy., Mortgage Rev. Ref. Bonds, Series 45, 4.50% 2029     335       348  
Mortgage Agcy., Mortgage Rev. Ref. Bonds, Series 48, 2.625% 2041     625       642  
Port Auth., Consolidated Bonds, Series 147, AMT, FGIC-National insured, 5.00% 2021     500       515  
Port Auth., Consolidated Bonds, Series 166, 5.00% 2031     1,000       1,171  
Port Auth., Consolidated Rev. Ref. Bonds, Series 167, AMT, 5.00% 2025     1,000       1,150  
Port Auth., Consolidated Rev. Ref. Bonds, Series 172, AMT, 5.00% 2034     500       576  
Port Auth., Consolidated Rev. Ref. Bonds, Series 186, AMT, 5.00% 2044     500       594  
Power Auth. of the State of New York, Rev. Ref. Bonds, Series 2011-A, 5.00% 2038     1,500       1,779  
Thruway Auth., General Rev. Bonds, Series 2014-J, 5.00% 2027     1,000       1,241  
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2013-A, 5.00% 2019     250       280  
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2016-A, 5.00% 2051     650       781  
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2016-A, 5.25% 2056     250       309  
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2016, AMT, 5.00% 2031     2,250       2,470  
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2034     500       583  
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2041     500       575  
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2046     300       345  
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.25% 2050     1,200       1,395  
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Bonds, Series 2010-A-1, 5.00% 2019     1,000       1,143  
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Ref. Bonds, Series 2015-B-4A, 0.613% 2028 (put 2016)1     1,040       1,039  
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Ref. Bonds, Series 2000-ABCD-5, Assured Guaranty Municipal insured, 0.88% 20191     500       498  
Urban Dev. Corp., Rev. Bonds (General Purpose), Series 2014-A, 5.00% 2027     1,500       1,892  
Urban Dev. Corp., Rev. Bonds (General Purpose), Series 2014-A, 5.00% 2034     500       608  
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (General Purpose), Series 2016-A, 5.00% 2032     1,000       1,255  
                 
46 American Funds Tax-Exempt Funds
 

American Funds Tax-Exempt Fund of New York

 

    Principal amount
(000)
    Value
(000)
 
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (General Purpose), Series 2016-A, 5.00% 2035   $ 300     $ 371  
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (State Facs. and Equipment), Series 2009-B-1, 5.25% 2038     1,000       1,108  
Other securities             19,184  
              105,069  
                 
City & county issuers 43.11%                
Buffalo and Erie County, Industrial Land Dev. Corp., Rev. Bonds (Buffalo State College Foundation Housing Corp. Project), Series 2011-A, 5.375% 2041     1,400       1,623  
Buffalo and Erie County, Industrial Land Dev. Corp., Obligated Group Rev. Bonds (Catholic Health System, Inc. Project), Series 2015, 5.00% 2040     1,050       1,239  
Dutchess County Local Dev. Corp., Rev. Bonds (Health Quest Systems, Inc. Project), Series 2016-B, 4.00% 2041     850       928  
Dutchess County Local Dev. Corp., Rev. Bonds (Health Quest Systems, Inc. Project), Series 2016-B, 5.00% 2046     500       604  
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2010, 5.75% 2030     500       579  
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2010, 5.75% 2040     1,000       1,155  
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2014-A, 5.00% 2028     430       522  
Erie County, Industrial Dev. Agcy., School Fac. Rev. Bonds (City School Dist. of the City of Buffalo Project), Series 2011-A, 5.25% 2025     500       598  
Erie County, Industrial Dev. Agcy., School Fac. Rev. Ref. Bonds (City School Dist. of the City of Buffalo Project), Series 2012-A, 5.00% 2021     500       593  
Erie County, Industrial Dev. Agcy., School Fac. Rev. Ref. Bonds (City School Dist. of the City of Buffalo Project), Series 2013-A, 5.00% 2027     790       972  
Various Purpose G.O. Bonds, Series 2014-A, 5.00% 2028     1,250       1,527  
Various Purpose G.O. Bonds, Series 2016-A, 5.00% 2027     850       1,074  
Various Purpose G.O. Bonds, Series 2016-B, 5.00% 2025     1,000       1,270  
Town of Hempstead Local Dev. Corp., Rev. Bonds (Hofstra University Project), Series 2011, 5.00% 2027     1,300       1,505  
Town of Hempstead Local Dev. Corp., Rev. Bonds (Hofstra University Project), Series 2011, 5.00% 2041     800       924  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2011-A, 5.00% 2038     500       566  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-A, 5.00% 2044     1,240       1,478  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-C, 0.977% 2033 (put 2018)1     1,000       1,000  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-B, 5.00% 2035     1,215       1,474  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-B, 5.00% 2038     750       906  
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-C, 1.207% 2033 (put 2018)1     300       301  
Nassau County, Tobacco Settlement Corp., Tobacco Settlement Asset-Backed Current Interest Bonds, Series 2006-A-3, 5.125% 2046     2,000       1,987  
Nassau County, G.O. General Improvement Bonds, 2016 Ref. Series A, 5.00% 2030     1,795       2,222  
Nassau County, G.O. General Improvement Bonds, Series 2016-B, 5.00% 2023     750       924  
City of New York, G.O. Bonds, Fiscal 2014, Series 2013-G, 5.00% 2016     1,000       1,000  
City of New York, G.O. Bonds, Series 2008-J-4, 0.99% 20251     1,500       1,500  
City of New York, G.O. Bonds, Series 2008-L-1, 5.00% 2023     1,000       1,074  
City of New York, G.O. Bonds, Series 2011-I-1, 5.00% 2016     750       750  
City of New York, G.O. Bonds, Series 2013-J, 5.00% 2016     2,500       2,501  
City of New York, G.O. Bonds, Series 2015-A, 5.00% 2026     1,000       1,294  
City of New York, G.O. Bonds, Series 2015-C, 5.00% 2028     500       630  
City of New York, G.O. Bonds, Series 2015-C, 5.00% 2033     1,000       1,229  
City of New York, G.O. Bonds, Series 2016-C, 5.00% 2031     1,500       1,888  
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2011 Series C, 5.25% 2025     1,000       1,184  
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2017 Series 2016-A-1, 5.00% 2035     2,000       2,485  
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Series 2015-C, 5.00% 2027     750       959  
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Fiscal 2010 Series D, 5.00% 2023     1,000       1,157  

 

  American Funds Tax-Exempt Funds 47
 

American Funds Tax-Exempt Fund of New York

 

Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
New York (continued)                
City & county issuers (continued)                
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-A-1, 5.00% 2037   $ 500     $ 613  
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-C, 5.00% 2026     1,000       1,304  
New York City, Housing Dev. Corp. Multi-Family Rev. Bonds (8 Spruce Street), Series 2014-E, 3.50% 2048     1,670       1,734  
New York City, Housing Dev. Corp. Multi-Family Rev. Bonds (8 Spruce Street), Series 2014-F, 4.50% 2048     500       538  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), AMT, 2.00% 2028     200       200  
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2005, AMT, 7.625% 2025     1,500       1,515  
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2011-EE, 5.375% 2043     1,000       1,184  
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2014-EE, 5.00% 2045     500       602  
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2015-HH, 5.00% 2039     500       611  
Trust for Cultural Resources of the City of New York, Rev. Bonds (Juilliard School), Series 2009-B, 1.35% 2036 (put 2017)     1,500       1,510  
Trust for Cultural Resources of the City of New York, Rev. Bonds (The Museum of Modern Art), Series 2016-1-E, 4.00% 2028     1,500       1,804  
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport), Series 2014-A, AMT, 5.00% 2027     600       710  
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport), Series 2014-A, AMT, 5.00% 2028     500       587  
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport), Series 2014-A, AMT, 5.00% 2029     700       820  
Onondaga County, Resource Recovery Agcy., Rev. Ref. Bonds, Series 2015-A, AMT, Assured Guaranty Municipal insured, 5.00% 2030     1,750       2,065  
Southold Local Dev. Corporation, Rev. Bonds (Peconic Landing at Southold, Inc. Project), Series 2015, 5.00% 2045     1,500       1,699  
Suffolk County, Econ. Dev. Corp., Rev. Ref. Bonds (Peconic Landing at Southold, Inc. Project), Series 2010, 5.875% 2030     1,000       1,147  
TSASC, Inc., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2006-1, 5.00% 2034     1,380       1,380  
TSASC, Inc., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2006-1, 5.125% 2042     4,845       4,828  
Westchester County, Health Care Corp., Rev. Bonds, Series 2010-B, 6.00% 2030     130       151  
Westchester County, Health Care Corp., Rev. Bonds, Series 2010-B, 6.00% 2030 (preref. 2020)     870       1,059  
Westchester County, Health Care Corp., Rev. Bonds, Series 2011-A, 5.00% 2021     100       118  
Westchester County, Local Dev. Corp., Rev. Bonds (Westchester Medical Center Obligated Group Project), Series 2016, 5.00% 2034     1,150       1,385  
Westchester County, Local Dev. Corp., Rev. Bonds (Westchester Medical Center Obligated Group Project), Series 2016, 5.00% 2046     1,000       1,176  
Other securities             17,695  
              90,057  
                 
Guam 1.49%                
Government of Guam, Business Privilege Tax Bonds, Series 2011-A, 5.00% 2031     1,200       1,310  
Other securities             1,804  
              3,114  
                 
Other U.S. Territories 2.01%                
Other securities             4,212  
                 
Total bonds, notes & other debt instruments (cost: $188,886,000)             202,452  
                 
48 American Funds Tax-Exempt Funds
 

American Funds Tax-Exempt Fund of New York

 

Short-term securities 4.07%   Principal amount
(000)
    Value
(000)
 
Dormitory Auth., University of Rochester Rev. Bonds, Series 2003-A, JPMorgan Chase LOC, 0.39% 20311   $ 5,095     $ 5,094  
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-E-3, 0.39% 20451     1,000       1,000  
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20451     400       400  
New York City Transitional Fin. Auth., Future Tax Secured Tax-Exempt Bonds, Fiscal 2016 Series D, 1.50% 11/1/2016     1,000       1,003  
Other securities             1,000  
                 
Total short-term securities (cost: $8,497,000)             8,497  
Total investment securities 100.98% (cost: $197,383,000)             210,949  
Other assets less liabilities (0.98)%             (2,050 )
                 
Net assets 100.00%           $ 208,899  

 

This summary investment portfolio is designed to streamline the report and help investors better focus on the fund’s principal holdings. See the inside back cover for details on how to obtain a complete schedule of portfolio holdings.

 

“Other securities” includes all issues that are not disclosed separately in the summary investment portfolio.

 

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, including those in “Other securities,” was $4,171,000, which represented 2.00% of the net assets of the fund.

 

Key to abbreviations

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

LOC = Letter of Credit

Preref. = Prerefunded

Redev. = Redevelopment

Ref. = Refunding

Rev. = Revenue

TECP = Tax-Exempt Commercial Paper

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 49
 

Financial statements

 

Statements of assets and liabilities
at July 31, 2016

 

    American Funds     Limited Term  
    Short-Term     Tax-Exempt Bond  
    Tax-Exempt Bond Fund     Fund of America  
Assets:                
Investment securities, at value   $ 776,864     $ 3,734,924  
Cash     7,068       9,566  
Receivables for:                
Sales of investments           2,006  
Sales of fund’s shares     1,733       15,852  
Interest     5,650       32,444  
Other     7       49  
      791,322       3,794,841  
                 
Liabilities:                
Payables for:                
Purchases of investments     4,629       39,029  
Repurchases of fund’s shares     5,115       4,057  
Dividends on fund’s shares     60       562  
Investment advisory services     241       722  
Services provided by related parties     96       504  
Trustees’ deferred compensation     31       129  
Other     37       48  
      10,209       45,051  
Net assets at July 31, 2016   $ 781,113     $ 3,749,790  
                 
Net assets consist of:                
Capital paid in on shares of beneficial interest   $ 773,593     $ 3,606,071  
Undistributed net investment income     46       611  
Accumulated net realized loss     (1,539 )     (381 )
Net unrealized appreciation     9,013       143,489  
Net assets at July 31, 2016   $ 781,113     $ 3,749,790  
                 
Investment securities, at cost   $ 767,851     $ 3,591,435  
                 
Shares of beneficial interest issued and outstanding (no stated par value) — unlimited shares authorized                
Class A: Net assets   $ 687,769     $ 3,055,065  
  Shares outstanding     67,310       190,414  
  Net asset value per share   $ 10.22     $ 16.04  
Class B: Net assets           $ 276  
  Shares outstanding             17  
  Net asset value per share           $ 16.04  
Class C: Net assets           $ 30,467  
  Shares outstanding             1,899  
  Net asset value per share           $ 16.04  
Class F-1: Net assets   $ 13,146     $ 89,770  
  Shares outstanding     1,286       5,595  
  Net asset value per share   $ 10.22     $ 16.04  
Class F-2: Net assets   $ 80,198     $ 290,573  
  Shares outstanding     7,849       18,111  
  Net asset value per share   $ 10.22     $ 16.04  
Class R-6: Net assets           $ 283,639  
  Shares outstanding             17,678  
  Net asset value per share           $ 16.04  

 

See Notes to Financial Statements

 

50 American Funds Tax-Exempt Funds
 

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

 

The Tax-Exempt     American     The Tax-Exempt     American Funds  
Bond Fund     High-Income     Fund of     Tax-Exempt Fund  
of America     Municipal Bond Fund     California     of New York  
                     
$ 13,854,125     $ 5,103,944     $ 2,058,738     $ 210,949  
  15,819       8,254       5,353       937  
                             
  3,724       30,288       3,558       2,000  
  40,653       15,954       5,233       1,140  
  131,666       49,443       23,173       1,840  
  169       67       13       4  
  14,046,156       5,207,950       2,096,068       216,870  
                             
  203,257       104,781       21,124       7,565  
  16,295       6,982       2,121       145  
  2,877       1,402       722       122  
  2,571       1,248       516       58  
  2,981       868       513       31  
  534       101       128       1  
  86       53       76       49  
  228,601       115,435       25,200       7,971  
$ 13,817,555     $ 5,092,515     $ 2,070,868     $ 208,899  
                             
$ 12,914,577     $ 4,835,115     $ 1,953,401     $ 195,141  
  10,413       9,740       2,045       194  
  (20,166 )     (113,416 )     (34,256 )     (2 )
  912,731       361,076       149,678       13,566  
$ 13,817,555     $ 5,092,515     $ 2,070,868     $ 208,899  
                             
$ 12,899,314     $ 4,742,868     $ 1,909,060     $ 197,383  
                             
$ 9,509,949     $ 3,519,195     $ 1,677,609     $ 161,441  
  709,923       217,042       92,102       14,524  
$ 13.40     $ 16.21     $ 18.21     $ 11.12  
$ 3,218     $ 1,273     $ 261     $ 17  
  240       78       14       2  
$ 13.40     $ 16.21     $ 18.21     $ 11.12  
$ 516,967     $ 246,307     $ 97,124     $ 13,989  
  38,592       15,191       5,332       1,258  
$ 13.40     $ 16.21     $ 18.21     $ 11.12  
$ 517,532     $ 281,698     $ 82,765     $ 2,140  
  38,634       17,373       4,544       193  
$ 13.40     $ 16.21     $ 18.21     $ 11.12  
$ 2,879,362     $ 774,846     $ 213,109     $ 31,312  
  214,946       47,788       11,700       2,817  
$ 13.40     $ 16.21     $ 18.21     $ 11.12  
$ 390,527     $ 269,196                  
  29,153       16,602                  
$ 13.40     $ 16.21                  
   
American Funds Tax-Exempt Funds 51
 

Statements of operations
for the year ended July 31, 2016

 

    American Funds     Limited Term  
    Short-Term     Tax-Exempt Bond  
    Tax-Exempt Bond Fund     Fund of America  
Investment income:                
Income:                
Interest   $ 12,114     $ 93,382  
                 
Fees and expenses*:                
Investment advisory services     2,759       7,991  
Distribution services     1,031       8,850  
Transfer agent services     306       1,238  
Administrative services     108       571  
Reports to shareholders     28       116  
Registration statement and prospectus     123       279  
Trustees’ compensation     8       34  
Auditing and legal     52       66  
Custodian     2       8  
State and local taxes            
Other     17       28  
Total fees and expenses before reimbursements     4,434       19,181  
Less waivers/reimbursements of fees and expenses:                
Miscellaneous fee reimbursements            
Total fees and expenses after reimbursements     4,434       19,181  
Net investment income     7,680       74,201  
                 
Net realized (loss) gain and unrealized appreciation:                
Net realized (loss) gain on investments     (762 )     269  
Net unrealized appreciation on investments     4,308       27,733  
Net realized (loss) gain and unrealized appreciation     3,546       28,002  
Net increase in net assets resulting from operations   $ 11,226     $ 102,203  

 

* Additional information related to class-specific fees and expenses is included in the Notes to Financial Statements.
Amount less than one thousand.

 

See Notes to Financial Statements

 

52 American Funds Tax-Exempt Funds
 

(dollars in thousands)

 

The Tax-Exempt     American     The Tax-Exempt     American Funds  
Bond Fund     High-Income     Fund of     Tax-Exempt Fund  
of America     Municipal Bond Fund     California     of New York  
                             
$ 429,567     $ 196,361     $ 68,826     $ 5,793  
                             
  26,734       12,652       5,556       605  
  27,191       11,279       4,778       474  
  6,099       2,369       599       78  
  2,609       879       310       34  
  403       145       62       8  
  811       387       91       83  
  116       36       20       1  
  126       72       96       64  
  27       10       4      
  141       351       18      
  45       33       21       12  
  64,302       28,213       11,555       1,359  
                             
                    60  
  64,302       28,213       11,555       1,299  
  365,265       168,148       57,271       4,494  
                             
  559       9,631       (415 )     271  
  383,061       208,275       61,026       7,254  
  383,620       217,906       60,611       7,525  
$ 748,885     $ 386,054     $ 117,882     $ 12,019  
   
American Funds Tax-Exempt Funds 53
 

Statements of changes in net assets

 

    American Funds     Limited Term     The Tax-Exempt  
    Short-Term     Tax-Exempt Bond     Bond Fund  
    Tax-Exempt Bond Fund     Fund of America     of America  
    Year ended July 31     Year ended July 31     Year ended July 31  
    2016     2015     2016     2015     2016     2015  
Operations:                                                
Net investment income   $ 7,680     $ 8,091     $ 74,201     $ 75,181     $ 365,265     $ 324,926  
Net realized (loss) gain     (762 )     (380 )     269       84       559       3,709  
Net unrealized appreciation (depreciation)     4,308       (5,652 )     27,733       (36,958 )     383,061       17,674  
Net increase in net assets resulting from operations     11,226       2,059       102,203       38,307       748,885       346,309  
                                                 
Dividends paid or accrued to shareholders from net investment income     (7,612 )     (8,084 )     (74,286 )     (74,782 )     (364,050 )     (321,189 )
                                                 
Net capital share transactions     51,287       (65,037 )     538,776       143,346       2,957,629       1,124,196  
                                                 
Total increase (decrease) in net assets     54,901       (71,062 )     566,693       106,871       3,342,464       1,149,316  
                                                 
Net assets:                                                
Beginning of year     726,212       797,274       3,183,097       3,076,226       10,475,091       9,325,775  
End of year   $ 781,113     $ 726,212     $ 3,749,790     $ 3,183,097     $ 13,817,555     $ 10,475,091  
                                                 
Undistributed (distributions in excess of) net investment income   $ 46     $ (24 )   $ 611     $ 708     $ 10,413     $ 9,014  

 

See Notes to Financial Statements

 

54 American Funds Tax-Exempt Funds
 

(dollars in thousands)

 

American     The Tax-Exempt     American Funds  
High-Income     Fund of     Tax-Exempt Fund  
Municipal Bond Fund     California     of New York  
Year ended July 31     Year ended July 31     Year ended July 31  
2016     2015     2016     2015     2016     2015  
                                 
$ 168,148     $ 138,904     $ 57,271     $ 54,073     $ 4,494     $ 4,043  
  9,631       (3,961 )     (415 )     957       271       351  
  208,275       30,465       61,026       5,572       7,254       250  
  386,054       165,408       117,882       60,602       12,019       4,644  
                                             
  (162,941 )     (135,657 )     (56,704 )     (53,343 )     (4,403 )     (3,949 )
                                             
  1,267,761       539,260       347,830       136,929       45,587       28,236  
                                             
  1,490,874       569,011       409,008       144,188       53,203       28,931  
                                             
  3,601,641       3,032,630       1,661,860       1,517,672       155,696       126,765  
$ 5,092,515     $ 3,601,641     $ 2,070,868     $ 1,661,860     $ 208,899     $ 155,696  
                                             
$ 9,740     $ 6,018     $ 2,045     $ 1,557     $ 194     $ 127  
   
American Funds Tax-Exempt Funds 55
 

Notes to financial statements

 

1. Organization

 

American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California, which is presently the only series of The American Funds Tax-Exempt Series II, and American Funds Tax-Exempt Fund of New York (each a “fund” or collectively, the “funds”), are registered under the Investment Company Act of 1940 as open-end, diversified management investment companies.

 

Each fund’s investment objectives are as follows:

 

American Funds Short-Term Tax-Exempt Bond Fund — Seeks to provide current income exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital.

 

Limited Term Tax-Exempt Bond Fund of America — Seeks to provide current income exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital.

 

The Tax-Exempt Bond Fund of America — Seeks to provide a high level of current income exempt from federal income tax, consistent with the preservation of capital.

 

American High-Income Municipal Bond Fund — Seeks to provide a high level of current income exempt from regular federal income tax.

 

The Tax-Exempt Fund of California — Seeks to provide a high level of current income exempt from regular federal and California state income taxes. Its secondary objective is preservation of capital.

 

American Funds Tax-Exempt Fund of New York — Seeks to provide a high level of current income exempt from regular federal, New York state and New York City income taxes. Its secondary objective is preservation of capital.

 

American Funds Short-Term Tax-Exempt Bond Fund has three share classes (Class A, as well as two F share classes, F-1 and F-2). Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America and American High-Income Municipal Bond Fund each have six share classes consisting of five retail share classes (Classes A, B and C, as well as two F share classes, F-1 and F-2) and one share class that is only available to the American Funds Portfolio Series (Class R-6). The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York each have five retail share classes (Classes A, B and C, as well as two F share classes, F-1 and F-2). Some share classes are only available to limited categories of investors. The funds’ share classes are described further in the following table:

 

Share class   Initial sales charge   Contingent deferred sales
charge upon redemption
  Conversion feature
Class A   Up to 2.50% for American Funds Short-Term Tax-Exempt Bond Fund and Limited Term Tax-Exempt Bond Fund of America; up to 3.75% for all other funds   None (except 1% for certain redemptions within one year of purchase without an initial sales charge)     None      
Class B*   None     Declines from 5% to 0% for redemptions within six years of purchase   Class B converts to Class A after eight years
Class C   None     1% for redemptions within one year of purchase   Class C converts to Class F-1 after 10 years
Classes F-1 and F-2   None   None   None
Class R-6   None   None   None
* Class B shares are not available for purchase in Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York.
Class C shares are not available for purchase in Limited Term Tax-Exempt Bond Fund of America.

 

Holders of all share classes of each fund have equal pro rata rights to the assets, dividends and liquidation proceeds of each fund held. Each share class of each fund has identical voting rights, except for the exclusive right to vote on matters affecting only its class. Share classes have different fees and expenses (“class-specific fees and expenses”), primarily due to different arrangements for distribution, transfer agent and administrative services. Differences in class-specific fees and expenses will result in differences in net investment income and, therefore, the payment of different per-share dividends by each share class of each fund.

 

56 American Funds Tax-Exempt Funds
 

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 the funds’ investment adviser to make estimates and assumptions that affect reported amounts and disclosures. Actual results could differ from those estimates. 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. 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.

 

Class allocations — Income, fees and expenses (other than class-specific fees and expenses) are allocated daily among the various share classes of each fund based on the relative value of their settled shares. Realized and unrealized gains and losses are allocated daily among the various share classes of each fund based on their relative net assets. Class-specific fees and expenses, such as distribution, transfer agent and administrative services, are charged directly to the respective share class of each fund.

 

Dividends and distributions to shareholders — Dividends to shareholders are declared daily after the determination of each fund’s net investment income and are paid to shareholders monthly. Distributions to shareholders are recorded on each fund’s ex-dividend date.

 

3. Valuation

 

Capital Research and Management Company (“CRMC”), the funds’ investment adviser, values each fund’s investments at fair value as defined by U.S. GAAP. The net asset value of each share class of 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.

 

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 following inputs: 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. For certain distressed securities, valuations may include 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 not deemed to be 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 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 each fund’s 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 share class 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.

 

American Funds Tax-Exempt Funds 57
 

Processes and structure — Each fund’s 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 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 boards of trustees with supplemental information to support the changes. Each fund’s 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. At July 31, 2016, all of the investment securities held by each fund were classified as Level 2.

 

4. Risk factors

 

Investing in each fund 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 funds 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 or governmental agency 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 funds 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 and strategic initiatives such as mergers, acquisitions or dispositions and the market response to any such initiatives.

 

Investing in municipal securities — The yield and/or value of the funds’ investments in municipal securities may be adversely affected by events tied to the municipal securities markets, which can be very volatile and significantly impacted by unfavorable legislative or political developments and negative changes in the financial conditions of municipal securities issuers and the economy. To the extent the funds invest in obligations of a municipal issuer, the volatility, credit quality and performance of the funds may be adversely impacted by local political and economic conditions of the issuer. For example, a credit rating downgrade, bond default or bankruptcy involving an issuer within a particular state or territory could affect the market values and marketability of many or all municipal obligations of that state or territory. Income from municipal securities held by the funds could also be declared taxable because of changes in tax laws or interpretations by taxing authorities or as a result of noncompliant conduct of a municipal issuer. Additionally, the relative amount of publicly available information about municipal securities is generally less than that for corporate securities.

 

Investing in debt instruments — The prices of, and the income generated by, bonds and other debt securities held by the funds 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. Falling interest rates may cause an issuer to redeem, call or refinance a debt security before its stated maturity, which may result in the funds 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.

 

58 American Funds Tax-Exempt Funds
 

Bonds and other debt securities are also subject to credit risk, which is the possibility that the credit strength of an issuer will weaken 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. Lower quality debt securities generally have higher rates of interest and may be subject to greater price fluctuations than higher quality debt securities. Credit risk is gauged, in part, by the credit ratings of the debt securities in which the funds invest. 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 funds’ investment adviser relies on its own credit analysts to research issuers and issues in seeking to mitigate various credit and default risks.

 

Thinly traded securities — There may be little trading in the secondary market for particular bonds or other debt securities, which may make them more difficult to value, acquire or sell.

 

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 funds 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. These risks may be increased with respect to investments in junk bonds.

 

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

 

Risks of investing in municipal bonds of issuers within the state of California — Because The Tax-Exempt Fund of California invests primarily in securities of issuers within the state of California, the fund is 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.

 

Risks of investing in municipal bonds of issuers within the state of New York — Because American Funds Tax-Exempt Fund of New York invests primarily in securities of issuers within the state of New York, the fund is more susceptible to factors adversely affecting issuers of New York securities than a comparable municipal bond mutual fund that does not concentrate its investments in a single state. For example, such factors may include political policy changes, tax base erosion, state constitutional limits on tax increases, budget deficits and other financial or economic difficulties, and changes in the credit ratings assigned to New York’s municipal issuers. New York’s economy and finances may be especially vulnerable to changes in the performance of the financial services sector, which historically has been volatile.

 

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

 

5. 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 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. Generally, income earned by each fund is exempt from federal income taxes; however, each fund may earn taxable income from certain investments.

 

As of and during the period ended July 31, 2016, none of the funds had a liability for any unrecognized tax benefits. The funds recognize interest and penalties, if any, related to unrecognized tax benefits as income tax expense in their respective statement of operations. During the period, none of the funds incurred any significant interest or penalties.

 

The funds are not subject to examination by U.S. federal tax authorities for tax years before 2012 or by state tax authorities for tax years before 2011.

 

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 short-term capital gains and losses; capital losses related to sales of certain securities

 

American Funds Tax-Exempt Funds 59
 

within 30 days of purchase; deferred expenses; cost of investments sold; net capital losses; amortization of premium and discounts; and income on certain investments. 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.

 

As indicated in the following tables, all of the funds had capital loss carryforwards available at July 31, 2016. These will be used to offset any capital gains realized by these funds in future years through the expiration dates, if applicable. None of the funds will make distributions from capital gains while a capital loss carryforward remains.

 

Under the Regulated Investment Company Modernization Act of 2010 (the “Act”), net capital losses recognized after July 31, 2011, (August 31, 2011, for The Tax-Exempt Bond Fund of America and The Tax-Exempt Fund of California) may be carried forward indefinitely, and their character is retained as short-term and/or long-term losses. Previously, net capital losses were carried forward for eight years and treated as short-term losses. As a transition rule, the Act requires that post-enactment net capital losses be used before pre-enactment net capital losses.

 

Additional tax basis disclosures for each fund are as follows (dollars in thousands):

 

    American Funds
Short-Term
Tax-Exempt
Bond Fund
    Limited Term
Tax-Exempt
Bond Fund
of America
    The
Tax-Exempt
Bond Fund
of America
    American
High-Income
Municipal
Bond Fund
    The
Tax-Exempt
Fund of
California
    American
Funds
Tax-Exempt
Fund of
New York
 
Undistributed tax-exempt income   $ 103     $ 577     $ 3,596     $ 2,754     $ 757     $ 138  
Capital loss carryforward:                                                
No expiration     (1,539 )     (380 )     (10,160 )     (1,323 )     (463 )     (3 )
Expiring 2017                 (2,271 )     (14,384 )     (3,446 )      
Expiring 2018                 (15,752 )     (69,970 )     (30,345 )      
Expiring 2019                       (24,408 )            
      (1,539 )     (380 )     (28,183 )     (110,085 )     (34,254 )     (3 )
Capital loss carryforward utilized           267             9,928             274  
Gross unrealized appreciation on investment securities     9,411       144,929       982,155       403,000       156,978       14,115  
Gross unrealized depreciation on investment securities     (365 )     (716 )     (19,040 )     (34,036 )     (5,164 )     (370 )
Net unrealized appreciation on investment securities     9,046       144,213       963,115       368,964       151,814       13,745  
Cost of investment securities     767,818       3,590,711       12,891,010       4,734,980       1,906,924       197,204  
Reclassification to (from) undistributed net investment income from (to) accumulated net realized loss           2       (175 )     195       (57 )     (5 )
Reclassification to (from) undistributed net investment income from (to) capital paid in on shares of beneficial interest     2       (14 )     359       (1,680 )     (22 )     (19 )
Reclassification to capital paid in on shares of beneficial interest from accumulated net realized loss     1             153                   2  

 

Tax-exempt income distributions paid or accrued to shareholders of each fund were as follows (dollars in thousands):

 

American Funds Short-Term Tax-Exempt Bond Fund

 

Share class   Year ended
July 31, 2016
    Year ended
July 31, 2015
 
Class A   $ 6,775     $ 7,392  
Class F-1     90       92  
Class F-2     747       600  
Total   $ 7,612     $ 8,084  
   
60 American Funds Tax-Exempt Funds
 

Limited Term Tax-Exempt Bond Fund of America

 

Share class   Year ended
July 31, 2016
    Year ended
July 31, 2015
 
Class A   $ 60,916     $ 62,578  
Class B     7       22  
Class C     422       532  
Class F-1     1,795       1,992  
Class F-2     5,409       5,317  
Class R-6     5,737       4,341  
Total   $ 74,286     $ 74,782  
 
The Tax-Exempt Bond Fund of America                
 
Share class     Year ended July 31, 2016       Year ended July 31, 2015  
Class A   $ 252,498     $ 231,655  
Class B     127       256  
Class C     9,193       8,319  
Class F-1     37,801       44,346  
Class F-2     53,592       28,978  
Class R-6     10,839       7,635  
Total   $ 364,050     $ 321,189  
 
American High-Income Municipal Bond Fund                
 
Share class     Year ended July 31, 2016       Year ended July 31, 2015  
Class A   $ 118,431     $ 104,118  
Class B     76       163  
Class C     6,480       5,732  
Class F-1     9,162       7,566  
Class F-2     19,563       11,686  
Class R-6     9,229       6,392  
Total   $ 162,941     $ 135,657  
 
The Tax-Exempt Fund of California                
 
Share class     Year ended July 31, 2016       Year ended July 31, 2015  
Class A   $ 47,262     $ 44,830  
Class B     21       47  
Class C     1,955       1,990  
Class F-1     2,131       1,921  
Class F-2     5,335       4,555  
Total   $ 56,704     $ 53,343  
 
American Funds Tax-Exempt Fund of New York                
 
Share class     Year ended July 31, 2016       Year ended July 31, 2015  
Class A   $ 3,489     $ 3,198  
Class B     1       1  
Class C     207       176  
Class F-1     43       41  
Class F-2     663       533  
Total   $ 4,403     $ 3,949  
   
American Funds Tax-Exempt Funds 61
 

6. Fees and transactions with related parties

 

CRMC, the funds’ investment adviser, is the parent company of American Funds Distributors,® Inc. (“AFD”), the principal underwriter of the funds’ shares, and American Funds Service Company® (“AFS”), the funds’ transfer agent. CRMC, AFD and AFS are considered related parties to each fund.

 

Investment advisory services — Each fund has an investment advisory and service agreement with CRMC that provides for monthly fees accrued daily. These fees are based on annual rates that generally decrease as average net asset levels increase. The agreement for each fund, except American Funds Short-Term Tax-Exempt Bond Fund, also provides for monthly fees accrued daily based on a series of decreasing rates on each fund’s monthly gross income.

 

The range of rates, net asset levels, gross income levels and annualized rates of average net assets for each fund are as follows:

 

                                                    For  
    Rates     Net asset level (in billions)     Rates     Monthly gross income     the year
ended
 
    Beginning     Ending           In excess     Beginning     Ending           In excess     July 31,  
Fund   with     with     Up to     of     with     with     Up to     of     2016  
American Funds Short-Term Tax-Exempt Bond Fund     .390 %     .290 %   $ .20     $ 1.2                                       .367 %
Limited Term Tax-Exempt Bond Fund of America     .300       .150       .06       1.0       3.00 %     2.50 %   $ 3,333,333     $ 3,333,333       .236  
The Tax-Exempt Bond Fund of America     .300       .120       .06       10.0       3.00       2.00       3,333,333       8,333,333       .229  
American High-Income Municipal Bond Fund     .300       .150       .06       3.0       3.00       2.50       3,333,333       3,333,333       .302  
The Tax-Exempt Fund of California     .300       .180       .06       1.0       3.00       2.50       3,333,333       3,333,333       .305  
American Funds Tax-Exempt Fund of New York     .300       .180       .06       1.0       3.00       2.50       3,333,333       3,333,333       .337  

 

CRMC has agreed to reimburse a portion of the fees and expenses of American Funds Tax-Exempt Fund of New York. This reimbursement may be adjusted or discontinued by CRMC, subject to any restrictions in the fund’s prospectus. For the year ended July 31, 2016, total fees and expenses reimbursed by CRMC were $60,000. Fees and expenses in the statement of operations are presented gross of any reimbursements from CRMC.

 

Class-specific fees and expenses — Expenses that are specific to individual share classes are accrued directly to the respective share class of each fund. The principal class-specific fees and expenses are described below:

 

Distribution services — Each fund has plans of distribution for all share classes, except Class F-2 and Class R-6 shares, if applicable. Under the plans, each fund’s board of trustees approves certain categories of expenses that are used to finance activities primarily intended to sell fund shares and service existing accounts. The plans provide for payments based on an annualized percentage of average daily net assets. In some cases, the boards of trustees have limited the amounts that may be paid to less than the maximum allowed by the plans. All share classes with a plan may use the allotted percentage of average daily net assets to pay service fees, or to compensate AFD for paying service fees, to firms that have entered into agreements with AFD to provide certain shareholder services. The remaining amounts available to be paid under each plan are paid to dealers to compensate them for their sales activities.

 

    American Funds Short-Term   Limited Term Tax-Exempt   The Tax-Exempt Bond Fund  
    Tax-Exempt Bond Fund   Bond Fund of America   of America  
    Currently       Currently       Currently      
Share class   approved limits   Plan limits   approved limits   Plan limits   approved limits   Plan limits  
Class A   0.15%   0.15%     0.30 %     0.30 %     0.25 %     0.25 %  
Class B   Not applicable   Not applicable     1.00       1.00       1.00       1.00    
Class C   Not applicable   Not applicable     1.00       1.00       1.00       1.00    
Class F-1   0.25   0.50     0.25       0.50       0.25       0.50    
   
62 American Funds Tax-Exempt Funds
 
    American High-Income   The Tax-Exempt Fund   American Funds Tax-Exempt  
    Municipal Bond Fund   of California   Fund of New York  
    Currently       Currently       Currently      
Share class   approved limits   Plan limits   approved limits   Plan limits   approved limits   Plan limits  
Class A     0.30 %     0.30 %     0.25 %     0.25 %     0.25 %     0.30 %  
Class B     1.00       1.00       1.00       1.00       1.00       1.00    
Class C     1.00       1.00       1.00       1.00       1.00       1.00    
Class F-1     0.25       0.50       0.25       0.50       0.25       0.50    

 

For Class A shares, distribution-related expenses include the reimbursement of dealer and wholesaler commissions paid by AFD for certain shares sold without a sales charge. This share class of each fund reimburses AFD for amounts billed within the prior 15 months but only to the extent that the overall annual expense limit is not exceeded. As of July 31, 2016, unreimbursed expenses subject to reimbursement for Class A shares of each fund were as follows (dollars in thousands):

 

Fund   Class A  
American Funds Short-Term Tax-Exempt Bond Fund   $ 1,075  
Limited-Term Tax-Exempt Bond Fund of America     61  
The Tax-Exempt Bond Fund of America     7,704  
American High-Income Municipal Bond Fund      
The Tax-Exempt Fund of California     1,466  
American Funds Tax-Exempt Fund of New York     2  

 

Transfer agent services — Each fund has a shareholder services agreement with AFS under which each fund compensates AFS for providing transfer agent services to each of the funds’ share classes. These services include recordkeeping, shareholder communications and transaction processing. In addition, each fund reimburses AFS for amounts paid to third parties for performing transfer agent services on behalf of its respective fund shareholders.

 

Administrative services — Each fund has an administrative services agreement with CRMC under which each fund compensates CRMC for providing administrative services to each of the funds’ Class A, C, F and R shares, if applicable. These services include, but are not limited to, coordinating, monitoring, assisting and overseeing third parties that provide services to each fund’s shareholders. Under the agreements, Class A shares of each fund pay an annual fee of 0.01% and Class C, F and R shares of each fund, if applicable, pay an annual fee of 0.05% of their respective average daily net assets.

 

For the year ended July 31, 2016, class-specific expenses under the agreements for each fund were as follows (dollars in thousands):

 

American Funds Short-Term Tax-Exempt Bond Fund

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $1,003     $216     $67  
Class F-1   28     13     6  
Class F-2   Not applicable     77     35  
Total class-specific expenses   $1,031     $306     $108  

 

Limited Term Tax-Exempt Bond Fund of America

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $8,336     $877     $281  
Class B   5     *   Not applicable  
Class C   295     9     15  
Class F-1   214     101     43  
Class F-2   Not applicable     251     115  
Class R-6   Not applicable     *   117  
Total class-specific expenses   $8,850     $1,238     $571  

 

The Tax-Exempt Bond Fund of America

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $20,113     $2,621     $802  
Class B   52     2     Not applicable  
Class C   3,922     130     198  
Class F-1   3,104     1,605     624  
Class F-2   Not applicable     1,741     825  
Class R-6   Not applicable     *   160  
Total class-specific expenses   $27,191     $6,099     $2,609  

 

American High-Income Municipal Bond Fund

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $8,592     $1,490     $304  
Class B   23     1     Not applicable  
Class C   2,066     103     103  
Class F-1   598     271     120  
Class F-2   Not applicable     504     242  
Class R-6   Not applicable     *   110  
Total class-specific expenses   $11,279     $2,369     $879  

 

See page 64 for footnote.

 

American Funds Tax-Exempt Funds 63
 

The Tax-Exempt Fund of California

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $3,761     $329     $151  
Class B   8     *   Not applicable  
Class C   832     19     42  
Class F-1   177     78     35  
Class F-2   Not applicable     173     82  
Total class-specific expenses   $4,778     $599     $310  

 

American Funds Tax-Exempt Fund of New York

 

    Distribution   Transfer agent   Administrative  
Share class   services   services   services  
Class A   $350     $47     $14  
Class B   *   *   Not applicable  
Class C   122     4     6  
Class F-1   2     1     1  
Class F-2   Not applicable     26     13  
Total class-specific expenses   $474     $78     $34  

 

*  Amount less than one thousand.

 

Trustees’ deferred compensation — Trustees who are unaffiliated with CRMC may elect to defer the cash payment of part or all of their compensation. These deferred amounts, which remain as liabilities of each fund, are treated as if invested in shares of the funds or other American Funds. These amounts represent general, unsecured liabilities of each fund and vary according to the total returns of the selected funds. Trustees’ compensation in the funds’ statement of operations reflects the current fees (either paid in cash or deferred) and a net increase in the value of the following deferred amounts (dollars in thousands):

 

        Increase in value of   Total trustees’
Fund   Current fees   deferred amounts   compensation
American Funds Short-Term Tax-Exempt Bond Fund     $     7     $   1       $     8  
Limited Term Tax-Exempt Bond Fund of America     31       3       34  
The Tax-Exempt Bond Fund of America     109       7       116  
American High-Income Municipal Bond Fund     33       3       36  
The Tax-Exempt Fund of California     16       4       20  
American Funds Tax-Exempt Fund of New York     1       *     1  

 

*  Amount less than one thousand.

 

Affiliated officers and trustees — Officers and certain trustees of the funds are or may be considered to be affiliated with CRMC, AFD and AFS. No affiliated officers or trustees received any compensation directly from the funds.

 

Security transactions with related funds — Each fund may purchase from, or sell securities to, other CRMC-managed funds (or funds managed by certain affiliates of CRMC) under procedures adopted by each fund’s 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.

 

64 American Funds Tax-Exempt Funds
 

7. Fund mergers

 

On June 17, 2016, The Tax-Exempt Bond Fund of America (the “acquiring fund”) acquired the net assets of The Tax-Exempt Fund of Maryland and The Tax-Exempt Fund of Virginia (each an “acquired fund”) pursuant to an Agreement and Plan of Reorganization and Liquidation approved by the Board of Trustees on March 17, 2016. The acquisition was accomplished by a tax-free exchange of shares of each class of the acquiring fund for the corresponding class of each acquired fund at the close of business on June 17, 2016. All share classes of The Tax-Exempt Fund of Maryland were exchanged for equivalent share classes of The Tax-Exempt Bond Fund of America at a ratio of 1.20 to 1 and all share classes of The Tax-Exempt Fund of Virginia were exchanged for equivalent share classes of The Tax-Exempt Bond Fund of America at a ratio of 1.28 to 1. Shares issued by The Tax-Exempt Bond Fund of America are disclosed in the capital share transactions table on page 69. Further information about the merger of the funds is as follows (dollars and shares in thousands, except per share amounts):

 

                    Net asset
        Shares         value
    Status   outstanding     Net assets   per share
The Tax-Exempt Fund of Maryland   Acquired fund                      
Class A         14,652     $ 236,260     $16.12  
Class B         7       105     16.12  
Class C         1,765       28,452     16.12  
Class F-1         973       15,686     16.12  
Class F-2         1,750       28,222     16.12  
                           
The Tax-Exempt Fund of Virginia   Acquired fund                      
Class A         21,740     $ 372,441     $17.13  
Class B         13       231     17.13  
Class C         2,042       34,975     17.13  
Class F-1         1,260       21,593     17.13  
Class F-2         2,796       47,897     17.13  
                           
The Tax-Exempt Bond Fund of America   Acquiring fund                      
Class A         647,341     $ 8,670,741     $13.39  
Class B         250       3,347     13.39  
Class C         32,479       435,039     13.39  
Class F-1         36,031       482,611     13.39  
Class F-2         203,270       2,722,681     13.39  
Class R-6         27,834       372,819     13.39  
                           
The Tax-Exempt Bond Fund of America   Post merger                      
Class A         693,092     $ 9,269,273     $13.37  
Class B         275       3,678     13.37  
Class C         37,270       498,450     13.37  
Class F-1         38,809       519,019     13.37  
Class F-2         209,082       2,796,217     13.37  
Class R-6         27,845       372,396     13.37  

 

    The Tax-Exempt Fund     The Tax-Exempt Fund        
Components of net assets acquired on June 17, 2016   of Maryland     of Virginia     Total  
Capital paid in on shares of beneficial interest   $ 300,041     $ 453,261     $ 753,302  
Undistributed net investment income     286       390       676  
Undistributed net realized loss     (6,256 )     (4,072 )     (10,328 )
Net unrealized appreciation     14,654       27,558       42,212  
Total net assets   $ 308,725     $ 477,137     $ 785,862  
   
American Funds Tax-Exempt Funds 65
 

Had the acquisition been completed on August 1, 2015, the beginning of the annual reporting period for the acquired and acquiring funds, the pro forma results of operations for the year ended July 31, 2016, would have been as follows (dollars in thousands):

 

Pro forma components of net assets resulting from operations for the year ended July 31, 2016
Net investment income   $ 385,692  
Net gain on investments     2,193  
Net unrealized appreciation on investments     425,273  
Total net assets   $ 813,158  

 

Since the combined investment portfolios have been managed as a single integrated portfolio since the reorganization was completed, it is not practicable to separate the income, expenses and changes in net assets of each acquired fund included in the acquiring fund’s statement of operations since June 17, 2016.

 

8. Capital share transactions

 

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

 

American Funds Short-Term Tax-Exempt Bond Fund

 

                Reinvestments of                 Net increase  
    Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                                 
Year ended July 31, 2016                                                                
Class A   $ 265,488       26,090     $ 6,336       622     $ (240,607 )     (23,645 )   $ 31,217       3,067  
Class F-1     7,767       763       90       9       (4,002 )     (394 )     3,855       378  
Class F-2     62,784       6,169       603       59       (47,172 )     (4,638 )     16,215       1,590  
Total net increase (decrease)   $ 336,039       33,022     $ 7,029       690     $ (291,781 )     (28,677 )   $ 51,287       5,035  
                                                                 
Year ended July 31, 2015                                                                
Class A   $ 226,415       22,149     $ 6,692       655     $ (311,118 )     (30,452 )   $ (78,011 )     (7,648 )
Class F-1     3,788       370       92       9       (8,533 )     (834 )     (4,653 )     (455 )
Class F-2     71,689       7,024       489       48       (54,551 )     (5,348 )     17,627       1,724  
Total net increase (decrease)   $ 301,892       29,543     $ 7,273       712     $ (374,202 )     (36,634 )   $ (65,037 )     (6,379 )
                                                                 
Limited Term Tax-Exempt Bond Fund of America
 
                    Reinvestments of                     Net increase  
    Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                                 
Year ended July 31, 2016                                                                
Class A   $ 770,995       48,281     $ 56,942       3,566     $ (466,226 )     (29,211 )   $ 361,711       22,636  
Class B     144       9       7           (597 )     (37 )     (446 )     (28 )
Class C     11,072       693       408       26       (11,244 )     (705 )     236       14  
Class F-1     24,656       1,544       1,728       108       (20,991 )     (1,315 )     5,393       337  
Class F-2     143,068       8,950       4,556       286       (66,832 )     (4,185 )     80,792       5,051  
Class R-6     101,074       6,329       5,737       359       (15,721 )     (986 )     91,090       5,702  
Total net increase (decrease)   $ 1,051,009       65,806     $ 69,378       4,345     $ (581,611 )     (36,439 )   $ 538,776       33,712  
                                                                 
Year ended July 31, 2015                                                                
Class A   $ 511,796       31,861     $ 58,014       3,614     $ (484,127 )     (30,151 )   $ 85,683       5,324  
Class B     67       4       21       1       (1,299 )     (81 )     (1,211 )     (76 )
Class C     5,323       331       513       32       (13,432 )     (836 )     (7,596 )     (473 )
Class F-1     14,553       906       1,901       118       (36,973 )     (2,298 )     (20,519 )     (1,274 )
Class F-2     98,669       6,135       4,491       280       (75,895 )     (4,727 )     27,265       1,688  
Class R-6     67,930       4,228       4,341       271       (12,547 )     (782 )     59,724       3,717  
Total net increase (decrease)   $ 698,338       43,465     $ 69,281       4,316     $ (624,273 )     (38,875 )   $ 143,346       8,906  
   
66 American Funds Tax-Exempt Funds
 

The Tax-Exempt Bond Fund of America

 

                Issued in connection     Reinvestments of                 Net increase  
    Sales*     with the mergers     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                             
Year ended July 31, 2016                                                                                
Class A   $ 1,871,164       141,849     $ 608,701       45,527     $ 232,021       17,617     $ (850,880 )     (64,706 )   $ 1,861,006       140,287  
Class B     188       14       336       25       122       9       (4,787 )     (363 )     (4,141 )     (315 )
Class C     159,538       12,081       63,427       4,744       8,714       661       (76,537 )     (5,817 )     155,142       11,669  
Class F-1     444,340       34,050       37,279       2,788       37,270       2,843       (1,510,010 )     (114,741 )     (991,121 )     (75,060 )
Class F-2     2,030,700       154,105       76,119       5,693       50,029       3,784       (329,704 )     (24,984 )     1,827,144       138,598  
Class R-6     108,885       8,267                       10,841       823       (10,127 )     (773 )     109,599       8,317  
Total net increase (decrease)   $ 4,614,815       350,366     $ 785,862       58,777     $ 338,997       25,737     $ (2,782,045 )     (211,384 )   $ 2,957,629       223,496  

 

    Issued in connection     Issued in connection        
    with the merger of     with the merger of     Total issued  
    The Tax-Exempt Fund     The Tax-Exempt Fund     in connection  
    of Maryland     of Virginia     with the mergers  
Merger details   Amount     Shares     Amount     Shares     Amount     Shares  
Class A   $ 236,260       17,671     $ 372,441       27,856     $ 608,701       45,527  
Class B     105       8       231       17       336       25  
Class C     28,452       2,128       34,975       2,616       63,427       4,744  
Class F-1     15,686       1,173       21,593       1,615       37,279       2,788  
Class F-2     28,222       2,111       47,897       3,582       76,119       5,693  
Total issued   $ 308,725       23,091     $ 477,137       35,686     $ 785,862       58,777  

 

                Reinvestments of                 Net increase  
    Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
Year ended July 31, 2015                                                                
Class A   $ 1,166,527       89,279     $ 210,997       16,150     $ (783,919 )     (60,074 )   $ 593,605       45,355  
Class B     366       28       248       19       (6,082 )     (466 )     (5,468 )     (419 )
Class C     83,656       6,403       7,868       602       (68,383 )     (5,240 )     23,141       1,765  
Class F-1     324,142       24,816       43,866       3,358       (287,808 )     (22,060 )     80,200       6,114  
Class F-2     446,591       34,216       26,012       1,991       (145,323 )     (11,130 )     327,280       25,077  
Class R-6     103,919       7,954       7,634       584       (6,115 )     (468 )     105,438       8,070  
Total net increase (decrease)   $ 2,125,201       162,696     $ 296,625       22,704     $ (1,297,630 )     (99,438 )   $ 1,124,196       85,962  

 

See page 69 for footnotes.

 

American Funds Tax-Exempt Funds 67
 

American High-Income Municipal Bond Fund

 

                Reinvestments of                 Net increase  
    Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended July 31, 2016                                                                
Class A   $ 916,799       58,141     $ 109,175       6,926     $ (367,188 )     (23,358 )   $ 658,786       41,709  
Class B     256       16       72       4       (2,546 )     (162 )     (2,218 )     (142 )
Class C     89,022       5,638       6,037       383       (41,568 )     (2,642 )     53,491       3,379  
Class F-1     121,444       7,680       8,917       566       (68,553 )     (4,339 )     61,808       3,907  
Class F-2     559,242       35,343       17,128       1,084       (149,558 )     (9,505 )     426,812       26,922  
Class R-6     62,899       3,986       9,230       585       (3,047 )     (198 )     69,082       4,373  
Total net increase (decrease)   $ 1,749,662       110,804     $ 150,559       9,548     $ (632,460 )     (40,204 )   $ 1,267,761       80,148  
                                                                 
Year ended July 31, 2015                                                                
Class A   $ 582,004       37,495     $ 96,061       6,188     $ (360,143 )     (23,213 )   $ 317,922       20,470  
Class B     334       22       154       10       (3,271 )     (211 )     (2,783 )     (179 )
Class C     55,686       3,585       5,320       343       (41,042 )     (2,648 )     19,964       1,280  
Class F-1     78,498       5,049       7,372       475       (57,976 )     (3,746 )     27,894       1,778  
Class F-2     145,866       9,397       9,910       639       (59,263 )     (3,823 )     96,513       6,213  
Class R-6     73,819       4,754       6,392       412       (461 )     (30 )     79,750       5,136  
Total net increase (decrease)   $ 936,207       60,302     $ 125,209       8,067     $ (522,156 )     (33,671 )   $ 539,260       34,698  
 
The Tax-Exempt Fund of California
 
                    Reinvestments of                     Net increase  
      Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended July 31, 2016                                                                
Class A   $ 364,822       20,350     $ 41,439       2,313     $ (165,245 )     (9,243 )   $ 241,016       13,420  
Class B     36       2       20       1       (1,162 )     (65 )     (1,106 )     (62 )
Class C     33,775       1,879       1,844       103       (18,810 )     (1,052 )     16,809       930  
Class F-1     26,848       1,496       1,985       111       (10,978 )     (613 )     17,855       994  
Class F-2     86,120       4,793       4,508       252       (17,372 )     (969 )     73,256       4,076  
Total net increase (decrease)   $ 511,601       28,520     $ 49,796       2,780     $ (213,567 )     (11,942 )   $ 347,830       19,358  
                                                                 
Year ended July 31, 2015                                                                
Class A   $ 212,686       11,982     $ 38,804       2,186     $ (136,473 )     (7,697 )   $ 115,017       6,471  
Class B     62       3       45       3       (1,048 )     (59 )     (941 )     (53 )
Class C     15,438       870       1,845       104       (15,711 )     (888 )     1,572       86  
Class F-1     16,450       928       1,796       101       (20,701 )     (1,172 )     (2,455 )     (143 )
Class F-2     46,534       2,624       3,856       217       (26,654 )     (1,501 )     23,736       1,340  
Total net increase (decrease)   $ 291,170       16,407     $ 46,346       2,611     $ (200,587 )     (11,317 )   $ 136,929       7,701  
   
68 American Funds Tax-Exempt Funds
 

American Funds Tax-Exempt Fund of New York

 

                Reinvestments of                 Net increase  
    Sales*     dividends     Repurchases*     (decrease)  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended July 31, 2016                                                                
Class A   $ 42,821       3,939     $ 2,365       217     $ (13,606 )     (1,255 )   $ 31,580       2,901  
Class B     3       1               (33 )     (3 )     (30 )     (2 )
Class C     6,364       587       195       18       (2,798 )     (257 )     3,761       348  
Class F-1     676       63       25       2       (257 )     (24 )     444       41  
Class F-2     13,967       1,282       540       50       (4,675 )     (428 )     9,832       904  
Total net increase (decrease)   $ 63,831       5,872     $ 3,125       287     $ (21,369 )     (1,967 )   $ 45,587       4,192  
                                                                 
Year ended July 31, 2015                                                                
Class A   $ 28,352       2,636     $ 1,969       183     $ (8,840 )     (824 )   $ 21,481       1,995  
Class B     15       1       1           (23 )     (2 )     (7 )     (1 )
Class C     3,231       300       165       15       (1,537 )     (143 )     1,859       172  
Class F-1     699       65       22       2       (174 )     (16 )     547       51  
Class F-2     7,365       684       404       38       (3,413 )     (317 )     4,356       405  
Total net increase (decrease)   $ 39,662       3,686     $ 2,561       238     $ (13,987 )     (1,302 )   $ 28,236       2,622  

 

*  Includes exchanges between share classes of the fund.

  Amount less than one thousand.

 

9. Investment transactions

 

Each fund made purchases and sales of investment securities, excluding short-term securities and U.S. government obligations, if any, during the year ended July 31, 2016, as follows (dollars in thousands):

 

Fund   Purchases     Sales  
American Funds Short-Term Tax-Exempt Bond Fund   $ 181,232     $ 144,867  
Limited Term Tax-Exempt Bond Fund of America     799,426       503,856  
The Tax-Exempt Bond Fund of America     3,334,506       1,358,732  
American High-Income Municipal Bond Fund     1,801,011       825,937  
The Tax-Exempt Fund of California     500,277       187,841  
American Funds Tax-Exempt Fund of New York     73,809       22,111  

 

10. Ownership concentration

 

At July 31, 2016, CRMC held aggregate ownership of 20% of the outstanding shares of American Funds Tax-Exempt Fund of New York. The ownership represents the seed money invested in the fund when it began operations on November 1, 2010.

 

American Funds Tax-Exempt Funds 69
 

Financial highlights

American Funds Short-Term Tax-Exempt Bond Fund

 

          Income (loss) from
investment operations1
    Dividends and distributions                                
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
    Net gains
(losses) 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
    Ratio of
net income
to average
net assets
 
Class A:                                                                                                
7/31/2016   $ 10.17     $ .10     $ .05     $ .15     $ (.10 )   $     $ (.10 )   $ 10.22       1.51 %   $ 688       .59 %     1.02 %
7/31/2015     10.25       .11       (.08 )     .03       (.11 )           (.11 )     10.17       .26       653       .58       1.04  
7/31/2014     10.21       .11       .04       .15       (.11 )           (.11 )     10.25       1.43       737       .58       1.04  
7/31/2013     10.32       .13       (.11 )     .02       (.13 )     3     (.13 )     10.21       .16       701       .59       1.21  
7/31/2012     10.23       .13       .09       .22       (.13 )           (.13 )     10.32       2.17       606       .59       1.27  
Class F-1:                                                                                                
7/31/2016     10.17       .08       .05       .13       (.08 )           (.08 )     10.22       1.29       13       .81       .80  
7/31/2015     10.25       .08       (.08 )           (.08 )           (.08 )     10.17       .05       9       .80       .83  
7/31/2014     10.21       .08       .04       .12       (.08 )           (.08 )     10.25       1.19       14       .82       .80  
7/31/2013     10.32       .10       (.11 )     (.01 )     (.10 )     3     (.10 )     10.21       (.08 )     30       .84       .96  
7/31/2012     10.23       .11       .09       .20       (.11 )           (.11 )     10.32       1.98       18       .78       1.09  
Class F-2:                                                                                                
7/31/2016     10.17       .11       .05       .16       (.11 )           (.11 )     10.22       1.55       80       .56       1.06  
7/31/2015     10.25       .11       (.08 )     .03       (.11 )           (.11 )     10.17       .29       64       .55       1.08  
7/31/2014     10.21       .11       .04       .15       (.11 )           (.11 )     10.25       1.47       46       .54       1.07  
7/31/2013     10.32       .13       (.11 )     .02       (.13 )     3     (.13 )     10.21       .19       37       .56       1.23  
7/31/2012     10.23       .14       .09       .23       (.14 )           (.14 )     10.32       2.24       15       .52       1.33  

 

    Year ended July 31  
    2016   2015   2014   2013   2012  
Portfolio turnover rate for all share classes   21%   38%   20%   22%   14%  

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 Amount less than $.01.

 

See Notes to Financial Statements

 

70 American Funds Tax-Exempt Funds

 

Limited Term Tax-Exempt Bond Fund of America

 

          Income (loss) from
investment operations1
    Dividends and distributions                                
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
    Net gains
(losses) 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 period
    Total
return2
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average
net assets
    Ratio of
net income
to average
net assets
 
Class A:                                                                                                
7/31/2016   $ 15.92     $ .35     $ .12     $ .47     $ (.35 )   $     $ (.35 )   $ 16.04       2.97 %   $ 3,055       .59 %     2.17 %
7/31/2015     16.10       .38       (.18 )     .20       (.38 )           (.38 )     15.92       1.23       2,670       .57       2.36  
7/31/2014     15.94       .40       .16       .56       (.40 )           (.40 )     16.10       3.56       2,615       .60       2.51  
7/31/2013     16.36       .40       (.42 )     (.02 )     (.40 )     3     (.40 )     15.94       (.13 )     2,625       .60       2.45  
7/31/2012     15.85       .44       .51       .95       (.44 )           (.44 )     16.36       6.06       2,549       .60       2.72  
Class B:                                                                                                
7/31/2016     15.92       .24       .12       .36       (.24 )           (.24 )     16.04       2.25       4     1.29       1.50  
7/31/2015     16.10       .26       (.18 )     .08       (.26 )           (.26 )     15.92       .52       1       1.28       1.66  
7/31/2014     15.94       .29       .16       .45       (.29 )           (.29 )     16.10       2.85       2       1.29       1.83  
7/31/2013     16.36       .29       (.42 )     (.13 )     (.29 )     3     (.29 )     15.94       (.82 )     3       1.29       1.78  
7/31/2012     15.85       .33       .51       .84       (.33 )           (.33 )     16.36       5.33       6       1.30       2.04  
Class C:                                                                                                
7/31/2016     15.92       .23       .12       .35       (.23 )           (.23 )     16.04       2.20       30       1.33       1.43  
7/31/2015     16.10       .26       (.18 )     .08       (.26 )           (.26 )     15.92       .47       30       1.33       1.60  
7/31/2014     15.94       .28       .16       .44       (.28 )           (.28 )     16.10       2.80       38       1.34       1.78  
7/31/2013     16.36       .28       (.42 )     (.14 )     (.28 )     3     (.28 )     15.94       (.87 )     49       1.34       1.72  
7/31/2012     15.85       .32       .51       .83       (.32 )           (.32 )     16.36       5.27       75       1.34       1.99  
Class F-1:                                                                                                
7/31/2016     15.92       .33       .12       .45       (.33 )           (.33 )     16.04       2.88       90       .67       2.09  
7/31/2015     16.10       .36       (.18 )     .18       (.36 )           (.36 )     15.92       1.13       84       .67       2.27  
7/31/2014     15.94       .39       .16       .55       (.39 )           (.39 )     16.10       3.49       105       .67       2.45  
7/31/2013     16.36       .39       (.42 )     (.03 )     (.39 )     3     (.39 )     15.94       (.22 )     122       .69       2.37  
7/31/2012     15.85       .43       .51       .94       (.43 )           (.43 )     16.36       6.00       132       .65       2.67  
Class F-2:                                                                                                
7/31/2016     15.92       .38       .12       .50       (.38 )           (.38 )     16.04       3.15       291       .41       2.34  
7/31/2015     16.10       .40       (.18 )     .22       (.40 )           (.40 )     15.92       1.39       208       .41       2.52  
7/31/2014     15.94       .43       .16       .59       (.43 )           (.43 )     16.10       3.75       183       .42       2.69  
7/31/2013     16.36       .43       (.42 )     .01       (.43 )     3     (.43 )     15.94       .05       148       .42       2.64  
7/31/2012     15.85       .47       .51       .98       (.47 )           (.47 )     16.36       6.28       162       .38       2.94  
Class R-6:                                                                                                
7/31/2016     15.92       .39       .12       .51       (.39 )           (.39 )     16.04       3.26       284       .30       2.45  
7/31/2015     16.10       .42       (.18 )     .24       (.42 )           (.42 )     15.92       1.50       190       .31       2.62  
7/31/2014     15.94       .45       .16       .61       (.45 )           (.45 )     16.10       3.86       133       .31       2.80  
7/31/2013     16.36       .45       (.42 )     .03       (.45 )     3     (.45 )     15.94       .16       132       .31       2.72  
7/31/20125,6     16.32       .10       .05       .15       (.11 )           (.11 )     16.36       .90 7     43       .07 7     .64 7
                                                                                                 

 

    Year ended July 31  
    2016   2015   2014   2013   2012  
Portfolio turnover rate for all share classes   16%   19%   9%   13%   9%  

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 Amount less than $.01.
4 Amount less than $1 million.
5 Class R-6 shares were offered beginning May 11, 2012.
6 Based on operations for the period shown and, accordingly, is not representative of a full year.
7 Not annualized.

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 71

 

Financial highlights (continued)

The Tax-Exempt Bond Fund of America

 

          Income (loss) from investment operations1                                      
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
    Net gains
(losses) on
securities (both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net asset
value,
end
of period
    Total
return2
    Net assets,
end of period
(in millions)
    Ratio of
expenses
to average
net assets
    Ratio of
net income
to average
net assets
 
Class A:                                                                                
7/31/2016   $ 12.96     $ .41     $ .44     $ .85     $ (.41 )   $ 13.40       6.69 %   $ 9,510       .54 %     3.15 %
7/31/2015     12.92       .42       .04       .46       (.42 )     12.96       3.62       7,385       .54       3.28  
7/31/2014     12.44       .45       .48       .93       (.45 )     12.92       7.60       6,772       .56       3.57  
7/31/20133,4     13.08       .40       (.64 )     (.24 )     (.40 )     12.44       (1.93 )5     6,984       .55 6     3.35 6
8/31/2012     12.26       .47       .82       1.29       (.47 )     13.08       10.71       7,445       .55       3.73  
8/31/2011     12.53       .48       (.27 )     .21       (.48 )     12.26       1.85       6,557       .55       4.01  
Class B:                                                                                
7/31/2016     12.96       .31       .44       .75       (.31 )     13.40       5.90       3       1.28       2.43  
7/31/2015     12.92       .33       .04       .37       (.33 )     12.96       2.85       7       1.28       2.55  
7/31/2014     12.44       .35       .48       .83       (.35 )     12.92       6.81       13       1.30       2.84  
7/31/20133,4     13.08       .31       (.64 )     (.33 )     (.31 )     12.44       (2.59 )5     20       1.30 6     2.61 6
8/31/2012     12.26       .38       .82       1.20       (.38 )     13.08       9.90       30       1.29       3.01  
8/31/2011     12.53       .39       (.27 )     .12       (.39 )     12.26       1.08       40       1.30       3.26  
Class C:                                                                                
7/31/2016     12.96       .31       .44       .75       (.31 )     13.40       5.85       517       1.33       2.35  
7/31/2015     12.92       .32       .04       .36       (.32 )     12.96       2.80       349       1.33       2.50  
7/31/2014     12.44       .35       .48       .83       (.35 )     12.92       6.75       325       1.35       2.79  
7/31/20133,4     13.08       .31       (.64 )     (.33 )     (.31 )     12.44       (2.64 )5     375       1.34 6     2.56 6
8/31/2012     12.26       .37       .82       1.19       (.37 )     13.08       9.85       420       1.34       2.94  
8/31/2011     12.53       .39       (.27 )     .12       (.39 )     12.26       1.03       370       1.35       3.21  
Class F-1:                                                                                
7/31/2016     12.96       .39       .44       .83       (.39 )     13.40       6.53       518       .67       3.04  
7/31/2015     12.92       .41       .04       .45       (.41 )     12.96       3.49       1,474       .67       3.16  
7/31/2014     12.44       .43       .48       .91       (.43 )     12.92       7.46       1,389       .68       3.46  
7/31/20133,4     13.08       .39       (.64 )     (.25 )     (.39 )     12.44       (2.05 )5     1,659       .68 6     3.21 6
8/31/2012     12.26       .46       .82       1.28       (.46 )     13.08       10.59       1,526       .66       3.62  
8/31/2011     12.53       .47       (.27 )     .20       (.47 )     12.26       1.73       1,356       .66       3.90  
Class F-2:                                                                                
7/31/2016     12.96       .43       .44       .87       (.43 )     13.40       6.84       2,879       .40       3.26  
7/31/2015     12.92       .44       .04       .48       (.44 )     12.96       3.76       990       .41       3.42  
7/31/2014     12.44       .46       .48       .94       (.46 )     12.92       7.74       662       .42       3.70  
7/31/20133,4     13.08       .42       (.64 )     (.22 )     (.42 )     12.44       (1.81 )5     327       .42 6     3.49 6
8/31/2012     12.26       .49       .82       1.31       (.49 )     13.08       10.88       239       .40       3.87  
8/31/2011     12.53       .50       (.27 )     .23       (.50 )     12.26       1.99       196       .41       4.15  
Class R-6:                                                                                
7/31/2016     12.96       .44       .44       .88       (.44 )     13.40       6.95       391       .29       3.39  
7/31/2015     12.92       .46       .04       .50       (.46 )     12.96       3.86       270       .30       3.52  
7/31/2014     12.44       .48       .48       .96       (.48 )     12.92       7.86       165       .31       3.81  
7/31/20133,4     13.08       .43       (.64 )     (.21 )     (.43 )     12.44       (1.71 )5     115       .31 6     3.58 6
8/31/20124,7     12.94       .14       .15       .29       (.15 )     13.08       2.25 5     42       .09 5     1.15 5

 

    Year ended
July 31
  For the period
9/1/2012 to
  Year ended
August 31
    2016   2015   2014   7/31/20133,4,5   2012   2011
Portfolio turnover rate for all share classes   13%   14%   10%   16%   14%   12%

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 In 2013, the fund changed its fiscal year-end from August to July.
4 Based on operations for the period shown and, accordingly, is not representative of a full year.
5 Not annualized.
6 Annualized.
7 Class R-6 shares were offered beginning May 11, 2012.

 

See Notes to Financial Statements

 

72 American Funds Tax-Exempt Funds
 

American High-Income Municipal Bond Fund

 

          Income (loss) from investment operations1                                      
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
    Net gains
(losses) on
securities (both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net asset
value,
end
of period
    Total
return2
    Net assets,
end of period
(in millions)
    Ratio of
expenses
to average
net assets
    Ratio of
net income
to average
net assets
 
Class A:                                                                                
7/31/2016   $ 15.40     $ .63     $ .79     $ 1.42     $ (.61 )   $ 16.21       9.45 %   $ 3,519       .67 %     4.02 %
7/31/2015     15.22       .64       .17       .81       (.63 )     15.40       5.34       2,700       .68       4.13  
7/31/2014     14.48       .68       .73       1.41       (.67 )     15.22       9.99       2,357       .68       4.59  
7/31/2013     15.13       .63       (.65 )     (.02 )     (.63 )     14.48       (.25 )     2,246       .69       4.14  
7/31/2012     13.78       .66       1.35       2.01       (.66 )     15.13       14.98       2,286       .68       4.64  
Class B:                                                                                
7/31/2016     15.40       .52       .79       1.31       (.50 )     16.21       8.67       1       1.38       3.36  
7/31/2015     15.22       .53       .17       .70       (.52 )     15.40       4.60       4       1.39       3.43  
7/31/2014     14.48       .57       .73       1.30       (.56 )     15.22       9.17       6       1.44       3.87  
7/31/2013     15.13       .52       (.65 )     (.13 )     (.52 )     14.48       (.97 )     10       1.42       3.42  
7/31/2012     13.78       .56       1.35       1.91       (.56 )     15.13       14.14       16       1.42       3.96  
Class C:                                                                                
7/31/2016     15.40       .52       .79       1.31       (.50 )     16.21       8.62       247       1.43       3.26  
7/31/2015     15.22       .52       .17       .69       (.51 )     15.40       4.55       182       1.44       3.37  
7/31/2014     14.48       .56       .73       1.29       (.55 )     15.22       9.12       161       1.48       3.80  
7/31/2013     15.13       .52       (.65 )     (.13 )     (.52 )     14.48       (1.02 )     161       1.46       3.37  
7/31/2012     13.78       .55       1.35       1.90       (.55 )     15.13       14.09       170       1.46       3.86  
Class F-1:                                                                                
7/31/2016     15.40       .62       .79       1.41       (.60 )     16.21       9.37       282       .74       3.95  
7/31/2015     15.22       .62       .17       .79       (.61 )     15.40       5.27       207       .75       4.06  
7/31/2014     14.48       .66       .73       1.39       (.65 )     15.22       9.87       178       .79       4.49  
7/31/2013     15.13       .62       (.65 )     (.03 )     (.62 )     14.48       (.35 )     172       .79       4.04  
7/31/2012     13.78       .65       1.35       2.00       (.65 )     15.13       14.89       191       .76       4.56  
Class F-2:                                                                                
7/31/2016     15.40       .66       .79       1.45       (.64 )     16.21       9.65       775       .48       4.18  
7/31/2015     15.22       .66       .17       .83       (.65 )     15.40       5.53       321       .49       4.32  
7/31/2014     14.48       .70       .73       1.43       (.69 )     15.22       10.15       223       .53       4.71  
7/31/2013     15.13       .66       (.65 )     .01       (.66 )     14.48       (.09 )     126       .52       4.31  
7/31/2012     13.78       .69       1.35       2.04       (.69 )     15.13       15.20       87       .49       4.81  
Class R-6:                                                                                
7/31/2016     15.40       .68       .79       1.47       (.66 )     16.21       9.76       269       .38       4.31  
7/31/2015     15.22       .68       .17       .85       (.67 )     15.40       5.64       188       .39       4.42  
7/31/2014     14.48       .72       .73       1.45       (.71 )     15.22       10.27       108       .42       4.82  
7/31/2013     15.13       .68       (.65 )     .03       (.68 )     14.48       .02       58       .40       4.44  
7/31/20123,4     14.86       .14       .28       .42       (.15 )     15.13       2.85 5     13       .08 5     1.00 5

 

    Year ended July 31  
    2016   2015   2014   2013   2012  
Portfolio turnover rate for all share classes   21%   23%   24%   25%   20%  

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 Class R-6 shares were offered beginning May 11, 2012.
4 Based on operations for the period shown and, accordingly, is not representative of a full year.
5 Not annualized.

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 73

 

Financial highlights (continued)

The Tax-Exempt Fund of California

 

          Income (loss) from investment operations1                                      
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
    Net gains
(losses) on
securities (both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net asset
value,
end
of period
    Total
return2
    Net assets,
end of period
(in millions)
    Ratio of
expenses
to average
net assets
    Ratio of
net income
to average
net assets
 
Class A:                                                                                
7/31/2016   $ 17.62     $ .57     $ .58     $ 1.15     $ (.56 )   $ 18.21       6.65 %   $ 1,678       .60 %     3.17 %
7/31/2015     17.52       .60       .09       .69       (.59 )     17.62       3.98       1,386       .62       3.38  
7/31/2014     16.72       .63       .80       1.43       (.63 )     17.52       8.72       1,265       .63       3.72  
7/31/20133,4     17.54       .59       (.82 )     (.23 )     (.59 )     16.72       (1.45 )5     1,250       .63 6     3.64 6
8/31/2012     16.32       .66       1.22       1.88       (.66 )     17.54       11.70       1,334       .63       3.89  
8/31/2011     16.63       .65       (.31 )     .34       (.65 )     16.32       2.24       1,218       .64       4.08  
Class B:                                                                                
7/31/2016     17.62       .44       .58       1.02       (.43 )     18.21       5.88       7     1.34       2.51  
7/31/2015     17.52       .47       .09       .56       (.46 )     17.62       3.22       1       1.35       2.65  
7/31/2014     16.72       .51       .79       1.30       (.50 )     17.52       7.93       2       1.38       3.00  
7/31/20133,4     17.54       .47       (.82 )     (.35 )     (.47 )     16.72       (2.12 )5     3       1.37 6     2.90 6
8/31/2012     16.32       .53       1.22       1.75       (.53 )     17.54       10.89       5       1.37       3.17  
8/31/2011     16.63       .53       (.31 )     .22       (.53 )     16.32       1.48       7       1.39       3.33  
Class C:                                                                                
7/31/2016     17.62       .43       .58       1.01       (.42 )     18.21       5.82       97       1.39       2.38  
7/31/2015     17.52       .46       .09       .55       (.45 )     17.62       3.16       78       1.40       2.59  
7/31/2014     16.72       .50       .80       1.30       (.50 )     17.52       7.87       76       1.42       2.94  
7/31/20133,4     17.54       .46       (.82 )     (.36 )     (.46 )     16.72       (2.16 )5     87       1.42 6     2.85 6
8/31/2012     16.32       .52       1.22       1.74       (.52 )     17.54       10.83       101       1.42       3.10  
8/31/2011     16.63       .52       (.31 )     .21       (.52 )     16.32       1.42       91       1.44       3.28  
Class F-1:                                                                                
7/31/2016     17.62       .55       .58       1.13       (.54 )     18.21       6.52       83       .73       3.04  
7/31/2015     17.52       .58       .09       .67       (.57 )     17.62       3.85       63       .74       3.26  
7/31/2014     16.72       .61       .80       1.41       (.61 )     17.52       8.59       65       .76       3.60  
7/31/20133,4     17.54       .56       (.82 )     (.26 )     (.56 )     16.72       (1.58 )5     74       .77 6     3.50 6
8/31/2012     16.32       .64       1.22       1.86       (.64 )     17.54       11.59       82       .73       3.79  
8/31/2011     16.63       .64       (.31 )     .33       (.64 )     16.32       2.13       82       .74       3.98  
Class F-2:                                                                                
7/31/2016     17.62       .60       .58       1.18       (.59 )     18.21       6.79       213       .48       3.29  
7/31/2015     17.52       .62       .09       .71       (.61 )     17.62       4.10       134       .49       3.51  
7/31/2014     16.72       .65       .80       1.45       (.65 )     17.52       8.85       110       .51       3.84  
7/31/20133,4     17.54       .60       (.82 )     (.22 )     (.60 )     16.72       (1.35 )5     91       .51 6     3.77 6
8/31/2012     16.32       .68       1.22       1.90       (.68 )     17.54       11.87       74       .48       4.02  
8/31/2011     16.63       .67       (.31 )     .36       (.67 )     16.32       2.38       41       .50       4.22  

 

    Year ended
July 31
  For the period
9/1/2012 to
  Year ended
August 31
    2016   2015   2014   7/31/20133,4,5   2012   2011
Portfolio turnover rate for all share classes   11%   17%   8%   12%   15%   10%

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 In 2013, the fund changed its fiscal year-end from August to July.
4 Based on operations for the period shown and, accordingly, is not representative of a full year.
5 Not annualized.
6 Annualized.
7 Amount less than $1 million.

 

See Notes to Financial Statements

 

74 American Funds Tax-Exempt Funds
 

American Funds Tax-Exempt Fund of New York

 

          Income (loss) from investment operations1                                            
Period ended   Net asset
value,
beginning
of year
    Net
investment
income
    Net gains
(losses) on
securities (both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net asset
value,
end
of year
    Total
return2,3
    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
 
Class A:                                                                                        
7/31/2016   $ 10.66     $ .28     $ .45     $ .73     $ (.27 )   $ 11.12       6.95 %4   $ 161       .72 %4     .69 %4     2.54 %4
7/31/2015     10.58       .32       .07       .39       (.31 )     10.66       3.65 4     124       .72 4     .67 4     2.91 4
7/31/2014     10.21       .31       .37       .68       (.31 )     10.58       6.83 4     102       .73 4     .63 4     3.07 4
7/31/2013     10.85       .31       (.64 )     (.33 )     (.31 )     10.21       (3.16 )4     100       .66 4     .59 4     2.88 4
7/31/2012     9.98       .32       .87       1.19       (.32 )     10.85       12.11 4     106       .76 4     .63 4     3.06 4
Class B:                                                                                        
7/31/2016     10.66       .25       .45       .70       (.24 )     11.12       6.64 4     5     1.06 4     1.03 4     2.24 4
7/31/2015     10.58       .23       .07       .30       (.22 )     10.66       2.87 4     5     1.49 4     1.43 4     2.15 4
7/31/2014     10.21       .23       .37       .60       (.23 )     10.58       5.98 4     5     1.51 4     1.44 4     2.29 4
7/31/2013     10.85       .22       (.64 )     (.42 )     (.22 )     10.21       (4.00 )4     5     1.53 4     1.46 4     1.99 4
7/31/2012     9.98       .23       .87       1.10       (.23 )     10.85       11.18 4     5     1.59 4     1.45 4     2.24 4
Class C:                                                                                        
7/31/2016     10.66       .20       .45       .65       (.19 )     11.12       6.11       14       1.51       1.48       1.75  
7/31/2015     10.58       .23       .07       .30       (.22 )     10.66       2.79       10       1.56       1.50       2.07  
7/31/2014     10.21       .22       .37       .59       (.22 )     10.58       5.89       8       1.60       1.51       2.19  
7/31/2013     10.85       .21       (.64 )     (.43 )     (.21 )     10.21       (4.04 )     8       1.58       1.50       1.96  
7/31/2012     9.98       .23       .87       1.10       (.23 )     10.85       11.12       7       1.62       1.50       2.17  
Class F-1:                                                                                        
7/31/2016     10.66       .29       .45       .74       (.28 )     11.12       7.02 4     2       .65 4     .62 4     2.61 4
7/31/2015     10.58       .31       .07       .38       (.30 )     10.66       3.58 4     2       .80 4     .74 4     2.83 4
7/31/2014     10.21       .31       .37       .68       (.31 )     10.58       6.77 4     1       .77 4     .68 4     3.03 4
7/31/2013     10.85       .29       (.64 )     (.35 )     (.29 )     10.21       (3.36 )4     1       .86 4     .79 4     2.67 4
7/31/2012     9.98       .31       .87       1.18       (.31 )     10.85       11.95 4     2       .86 4     .74 4     2.94 4
Class F-2:                                                                                        
7/31/2016     10.66       .30       .45       .75       (.29 )     11.12       7.10       31       .58       .55       2.68  
7/31/2015     10.58       .33       .07       .40       (.32 )     10.66       3.77       20       .61       .56       3.02  
7/31/2014     10.21       .32       .37       .69       (.32 )     10.58       6.89       16       .66       .57       3.13  
7/31/2013     10.85       .31       (.64 )     (.33 )     (.31 )     10.21       (3.14 )     14       .64       .57       2.90  
7/31/2012     9.98       .33       .87       1.20       (.33 )     10.85       12.21       13       .63       .53       3.13  

 

    Year ended July 31
    2016   2015   2014   2013   2012
Portfolio turnover rate for all share classes   14%   42%   25%   23%   15%

 

1 Based on average shares outstanding.
2 This column reflects the impact, if any, of certain reimbursements from CRMC. During the periods shown, CRMC reduced fees for other fees and expenses.
3 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
4 All or a significant portion of assets in this class consisted of seed capital invested by CRMC and/or its affiliates. Fees for distribution services are not charged or accrued on these seed capital assets. If such fees were paid by the fund on seed capital assets, fund expenses would have been higher and net income and total return would have been lower.
5 Amount less than $1 million.

 

See Notes to Financial Statements

 

American Funds Tax-Exempt Funds 75
 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees and Shareholders of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York

 

In our opinion, the accompanying statements of assets and liabilities, including the the summary investment portfolios, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York (the “Funds”) at July 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the periods presented (other than as noted below for The Tax-Exempt Fund of California), in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at July 31, 2016 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion. The financial highlights of The Tax-Exempt Fund of California for each of the periods ended on or before July 31, 2013, were audited by another independent registered public accounting firm whose report, dated September 9, 2013, expressed an unqualified opinion on those financial highlights.

 

PricewaterhouseCoopers LLP

 

Los Angeles, California
September 12, 2016

 

76 American Funds Tax-Exempt Funds
 
Expense example unaudited

 

As a fund shareholder, you incur two types of costs: (1) transaction costs, such as initial sales charges on purchase payments and contingent deferred sales charges on redemptions (loads), and (2) ongoing costs, including management fees, distribution and service (12b-1) fees, and other expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the fund 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 (February 1, 2016, through July 31, 2016).

 

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 entitled “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:

Class F-1 and F-2 shareholders may be subject to fees charged by financial intermediaries, typically ranging from 0.75% to 1.50% of assets annually depending on services offered. 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 on the following pages are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads). Therefore, the second line of each share class in the table is useful in comparing ongoing costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

American Funds Tax-Exempt Funds 77
 

American Funds Short-Term Tax-Exempt Bond Fund

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,008.17     $ 2.95       .59 %
Class A – assumed 5% return     1,000.00       1,021.93       2.97       .59  
Class F-1 – actual return     1,000.00       1,007.07       4.04       .81  
Class F-1 – assumed 5% return     1,000.00       1,020.84       4.07       .81  
Class F-2 – actual return     1,000.00       1,008.35       2.80       .56  
Class F-2 – assumed 5% return     1,000.00       1,022.08       2.82       .56  

 

Limited Term Tax-Exempt Bond Fund of America

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,012.19     $ 3.10       .62 %
Class A – assumed 5% return     1,000.00       1,021.78       3.12       .62  
Class B – actual return     1,000.00       1,008.77       6.44       1.29  
Class B – assumed 5% return     1,000.00       1,018.45       6.47       1.29  
Class C – actual return     1,000.00       1,008.56       6.64       1.33  
Class C – assumed 5% return     1,000.00       1,018.25       6.67       1.33  
Class F-1 – actual return     1,000.00       1,011.90       3.35       .67  
Class F-1 – assumed 5% return     1,000.00       1,021.53       3.37       .67  
Class F-2 – actual return     1,000.00       1,013.21       2.05       .41  
Class F-2 – assumed 5% return     1,000.00       1,022.82       2.06       .41  
Class R-6 – actual return     1,000.00       1,013.78       1.50       .30  
Class R-6 – assumed 5% return     1,000.00       1,023.37       1.51       .30  

 

The Tax-Exempt Bond Fund of America

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,032.30     $ 2.68       .53 %
Class A – assumed 5% return     1,000.00       1,022.23       2.66       .53  
Class B – actual return     1,000.00       1,028.49       6.46       1.28  
Class B – assumed 5% return     1,000.00       1,018.50       6.42       1.28  
Class C – actual return     1,000.00       1,028.25       6.66       1.32  
Class C – assumed 5% return     1,000.00       1,018.30       6.62       1.32  
Class F-1 – actual return     1,000.00       1,031.38       3.48       .69  
Class F-1 – assumed 5% return     1,000.00       1,021.43       3.47       .69  
Class F-2 – actual return     1,000.00       1,033.01       2.02       .40  
Class F-2 – assumed 5% return     1,000.00       1,022.87       2.01       .40  
Class R-6 – actual return     1,000.00       1,033.54       1.47       .29  
Class R-6 – assumed 5% return     1,000.00       1,023.42       1.46       .29  

 

78 American Funds Tax-Exempt Funds
 

American High-Income Municipal Bond Fund

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,049.97     $ 3.41       .67 %
Class A – assumed 5% return     1,000.00       1,021.53       3.37       .67  
Class B – actual return     1,000.00       1,046.37       6.97       1.37  
Class B – assumed 5% return     1,000.00       1,018.05       6.87       1.37  
Class C – actual return     1,000.00       1,046.10       7.17       1.41  
Class C – assumed 5% return     1,000.00       1,017.85       7.07       1.41  
Class F-1 – actual return     1,000.00       1,049.68       3.72       .73  
Class F-1 – assumed 5% return     1,000.00       1,021.23       3.67       .73  
Class F-2 – actual return     1,000.00       1,051.01       2.40       .47  
Class F-2 – assumed 5% return     1,000.00       1,022.53       2.36       .47  
Class R-6 – actual return     1,000.00       1,051.56       1.84       .36  
Class R-6 – assumed 5% return     1,000.00       1,023.07       1.81       .36  

 

The Tax-Exempt Fund of California

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,030.23     $ 3.03       .60 %
Class A – assumed 5% return     1,000.00       1,021.88       3.02       .60  
Class B – actual return     1,000.00       1,026.57       6.75       1.34  
Class B – assumed 5% return     1,000.00       1,018.20       6.72       1.34  
Class C – actual return     1,000.00       1,026.19       7.00       1.39  
Class C – assumed 5% return     1,000.00       1,017.95       6.97       1.39  
Class F-1 – actual return     1,000.00       1,029.56       3.68       .73  
Class F-1 – assumed 5% return     1,000.00       1,021.23       3.67       .73  
Class F-2 – actual return     1,000.00       1,030.87       2.37       .47  
Class F-2 – assumed 5% return     1,000.00       1,022.53       2.36       .47  

 

American Funds Tax-Exempt Fund of New York

 

    Beginning
account value
2/1/2016
    Ending
account value
7/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A – actual return   $ 1,000.00     $ 1,034.33     $ 3.19       .63 %
Class A – assumed 5% return     1,000.00       1,021.73       3.17       .63  
Class B – actual return     1,000.00       1,033.24       4.20       .83  
Class B – assumed 5% return     1,000.00       1,020.74       4.17       .83  
Class C – actual return     1,000.00       1,030.28       7.17       1.42  
Class C – assumed 5% return     1,000.00       1,017.80       7.12       1.42  
Class F-1 – actual return     1,000.00       1,034.65       2.88       .57  
Class F-1 – assumed 5% return     1,000.00       1,022.03       2.87       .57  
Class F-2 – actual return     1,000.00       1,035.06       2.53       .50  
Class F-2 – assumed 5% return     1,000.00       1,022.38       2.51       .50  

 

* 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 366 (to reflect the one-half year period).

 

American Funds Tax-Exempt Funds 79
 
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 July 31, 2016:

 

Fund   Exempt interest dividends
American Funds Short-Term Tax-Exempt Bond Fund     100 %
Limited Term Tax-Exempt Bond Fund of America     100  
The Tax-Exempt Bond Fund of America     100  
American High-Income Municipal Bond Fund     100  
The Tax-Exempt Fund of California     100  
American Funds Tax-Exempt Fund of New York     100  

 

Individual shareholders should refer to their Form 1099 or other tax information, which will be mailed in January 2017, to determine the calendar year amounts to be included on their 2016 tax returns. Shareholders should consult their tax advisors.

 

80 American Funds Tax-Exempt Funds
 

Approval of Investment Advisory and Service Agreement

 

American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California, American Funds Tax-Exempt Fund of New York

 

The boards of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York (the “board”) have approved each fund’s Investment Advisory and Service Agreement (the “agreement”) with Capital Research and Management Company (“CRMC”) for a one-year term through April 30, 2017. The board approved the agreement following the recommendation of each fund’s Contracts Committee (the “committee”), which is composed of each fund’s independent board members. The board and the committee determined that each fund’s advisory fee structure was fair and reasonable in relation to the services provided, and that approving the agreement was in the best interests of each fund and its shareholders.

 

In reaching this decision, the board and the committee took into account information furnished to them throughout the year and otherwise provided to them, as well as information prepared specifically in connection with their review of the agreements, and were advised by their independent counsel. They considered the following factors, among others, but did not identify any single issue or particular piece of information that, in isolation, was the controlling factor, and each board and committee member did not necessarily attribute the same weight to each factor.

 

1. Nature, extent and quality of services

The board and the committee considered the depth and quality of CRMC’s investment management process, including its global research capabilities; the experience, capability and integrity of its senior management and other personnel; the low turnover rates of its key personnel; the overall financial strength and stability of CRMC and the Capital Group organization; and the ongoing evolution of CRMC’s organizational structure designed to maintain and strengthen these qualities. The board and the committee also considered the nature, extent and quality of administrative, compliance and shareholder services provided by CRMC to the funds under each fund’s agreement and other agreements, as well as the benefits to each fund’s shareholders from investing in a fund that is part of a large family of funds. The board and the committee concluded that the nature, extent and quality of the services provided by CRMC have benefited and should continue to benefit each fund and its shareholders.

 

2. Investment results

The board and the committee considered the investment results of each fund in light of its objective. They compared each fund’s investment results with those of other relevant funds (including funds that currently form the basis of the Lipper index for the category in which the fund is included), and data such as relevant market and fund indexes, over various periods through October 31, 2015. This report, including the letter to shareholders and related disclosures, contains certain information about each fund’s investment results.

 

American Funds Short-Term Tax-Exempt Bond Fund seeks to provide current income that is exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital. The board and the committee reviewed the fund’s investment results measured against the Lipper Short Municipal Debt Funds Average and the Bloomberg Barclays Municipal Short 1–5 Years Index. They noted that the investment results for the fund were above the results of the Lipper average for the year-to-date, one-year, three-year, five-year and lifetime periods, while below those of the Bloomberg Barclays index for those periods.

 

Limited Term Tax-Exempt Bond Fund of America seeks to provide current income that is exempt from regular federal income tax, consistent with the maturity and quality standards described in the prospectus, and to preserve capital. The board and the committee reviewed the fund’s investment results measured against the Lipper Short-Intermediate Municipal Debt Funds Average and the Bloomberg Barclays Municipal Short-Intermediate 1–10 Years Index. They noted that the investment results for the fund were above the results of the Lipper average for the year-to-date, one-year, three-year, five-year, 10-year and lifetime periods, and were below the results of the Bloomberg Barclays index for all periods shown.

 

American Funds Tax-Exempt Funds 81
 

Approval of Investment Advisory and Service Agreement (continued)

 

The Tax-Exempt Bond Fund of America seeks to provide a high level of current income exempt from federal income tax, consistent with the preservation of capital. The board and the committee reviewed the fund’s investment results measured against the Lipper General & Insured Municipal Debt Funds Average and the Bloomberg Barclays Municipal Bond Index. They noted that the investment results for the fund were above the results of the Lipper average for all periods considered, and above the results of the Bloomberg Barclays index for the three-year and five-year periods (while below the results of the index for the year-to-date, one-year and 10-year periods).

 

American High-Income Municipal Bond Fund seeks to provide a high level of current income exempt from regular federal income tax. The board and the committee reviewed the fund’s investment results measured against the Lipper High Yield Municipal Debt Funds Average, the Bloomberg Barclays Municipal Bond Index and the Bloomberg Barclays High Yield Municipal Bond Index. They noted that the investment results for the fund were above the results of the Lipper average for all periods shown; above the Bloomberg Barclays Municipal Bond Index for the year-to-date, one-year, three-year, five-year and lifetime periods and in line for the 10-year period; and above the Bloomberg Barclays High Yield Municipal Bond Index for all periods considered other than the 10-year period.

 

The Tax-Exempt Fund of California seeks to provide a high level of current income exempt from regular federal and California income taxes, with a secondary objective of preservation of capital. The board and the committee reviewed the fund’s investment results measured against the Lipper California Municipal Debt Funds Average and the Bloomberg Barclays California Municipal Bond Index. They noted that the investment results for the fund were above the results of the Lipper average for the year-to-date, three-year, five-year, 10-year and lifetime periods (although below the results of the average for the one-year period), and were above the results of the Bloomberg Barclays index for the five-year period and in line with the results for the three-year period (while below the index for the year-to-date, one-year and 10-year periods).

 

American Funds Tax-Exempt Fund of New York seeks to provide a high level of current income exempt from regular federal, New York state and New York City income taxes, with a secondary objective of preservation of capital. The board and the committee reviewed the fund’s investment results measured against the Lipper New York Municipal Debt Funds Average and the Bloomberg Barclays New York Municipal Bond Index. They noted that the investment results for the fund were above the results of the Lipper average for the lifetime period and in line with the three-year period (although below the results of the average for the year-to-date and one-year periods), while above those of the Bloomberg Barclays index for the lifetime period, though below the results of the index for all other periods considered.

 

The board and the committee concluded that each fund’s investment results have been satisfactory for renewal of the agreement, and that CRMC’s record in managing the funds indicated that its continued management should benefit the funds and their shareholders.

 

82 American Funds Tax-Exempt Funds
 

3. Advisory fees and total expenses

The board and the committee compared the advisory fees and total expense levels of each fund to those of other relevant funds. They observed that each fund’s advisory fees were below the median (with the exception of American Funds Short-Term Tax-Exempt Bond Fund’s fees, which were in line with the median), and expenses for each of the funds were below the median of their respective categories. The board and the committee also considered the breakpoint discounts in each fund’s advisory fee structure that reduce the level of fees charged by CRMC to the fund as fund assets increase. In addition, they reviewed information regarding the effective advisory fees charged to non-mutual fund clients by CRMC and its affiliates. They noted that, to the extent there were differences between the advisory fees paid by each fund and the advisory fees paid by those clients, the differences appropriately reflected the investment, operational, regulatory and market differences between advising the fund and the other clients. The board and the committee concluded that each fund’s cost structure was fair and reasonable in relation to the services provided, and that each fund’s shareholders receive reasonable value in return for the advisory fees and other amounts paid to CRMC by the funds.

 

4. Ancillary benefits

The board and the committee considered a variety of other benefits that CRMC and its affiliates receive as a result of CRMC’s relationship with each fund and the other American Funds, including fees for administrative services provided to certain share classes; fees paid to CRMC’s affiliated transfer agent; sales charges and distribution fees received and retained by the fund’s principal underwriter, an affiliate of CRMC; and possible ancillary benefits to CRMC and its institutional management affiliates in managing other investment vehicles. The board and the committee reviewed CRMC’s portfolio trading practices, noting the benefits CRMC receives from the research obtained with commissions from portfolio transactions made on behalf of the fund. The board and the committee took these ancillary benefits into account in evaluating the reasonableness of the advisory fees and other amounts paid to CRMC by each fund.

 

American Funds Tax-Exempt Funds 83
 

Approval of Investment Advisory and Service Agreement (continued)

 

5. Adviser financial information

The board and the committee reviewed information regarding CRMC’s costs of providing services to the American Funds, including personnel, systems and resources of investment, compliance, trading, accounting and other administrative operations. They considered CRMC’s costs and related cost allocation methodology, as well as its willingness to invest in technology, infrastructure and staff to maintain and expand services and capabilities, respond to industry and regulatory developments, and attract and retain qualified personnel. They noted information regarding the compensation structure for CRMC’s investment professionals. The board and the committee also compared CRMC’s profitability and compensation data to the reported results and data of several large, publicly held investment management companies. The board and the committee noted the competitiveness and cyclicality of both the mutual fund industry and the capital markets, and the importance in that environment of CRMC’s long-term profitability for maintaining its independence, company culture and management continuity. They further considered the breakpoint discounts in each fund’s advisory fee structure. The board and the committee concluded that each fund’s advisory fee structure reflected a reasonable sharing of benefits between CRMC and each fund’s shareholders.

 

84 American Funds Tax-Exempt Funds
 

Boards 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 in fund
complex overseen
by trustee
  Other directorships3
held by trustee
William H. Baribault, 1945   STEX 2010   CEO and President, Richard Nixon Foundation; Chairman of the Board and CEO, Oakwood Enterprises (private investment and consulting)   81   General Finance Corporation
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA   2010  
  TEFNY 2010  
James G. Ellis, 1947   STEX 2009   Dean and Professor of Marketing, Marshall School of Business, University of Southern California   81   Mercury General Corporation
  LTEX 2006  
  TEBF 2006  
  AHIM 2006  
  TEFCA 2006  
  TEFNY 2010  
Leonard R. Fuller, 1946   STEX 1995   Private investor; former President and CEO, Fuller Consulting (financial management consulting)   81   None
  LTEX 1994  
  TEBF 1994  
  AHIM 1994  
  TEFCA 1994  
  TEFNY 2010  
R. Clark Hooper, 1946
Chairman of the Boards (Independent and Non-Executive)
  STEX 2005   Private investor   81   None
  LTEX 2005  
  TEBF 2005  
  AHIM 2005  
  TEFCA 2005  
  TEFNY 2010  
Merit E. Janow, 1958   STEX 2010   Dean and Professor, Columbia University, School of International and Public Affairs   80   MasterCard Incorporated;
Trimble Navigation Limited
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA 2010  
  TEFNY 2010  
Laurel B. Mitchell, PhD, 1955   STEX 2009   Distinguished Professor of Accounting, University of Redlands; former Director, Accounting Program, University of Redlands   77   None
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA 2009  
  TEFNY 2010  
Frank M. Sanchez, 1943   STEX 1999   Principal, The Sanchez Family Corporation dba McDonald’s Restaurants (McDonald’s licensee)   77   None
  LTEX 1999  
  TEBF 1999  
  AHIM 1999  
  TEFCA 1999  
  TEFNY 2010  
Margaret Spellings, 1957   STEX 2009   President, The University of North Carolina; former President, George W. Bush Foundation; former President and CEO, Margaret Spellings & Company (public policy and strategic consulting); former President, U.S. Chamber Foundation and Senior Advisor to the President and CEO, U.S. Chamber of Commerce   82   ClubCorp Holdings, Inc.
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA 2010  
  TEFNY 2010  

 

See page 87 for footnotes.

 

American Funds Tax-Exempt Funds 85
 

Independent trustees1 (continued)

 

Name and year of birth   Year first
elected
a trustee
of the fund2
  Principal occupation(s) during past five years   Number of
portfolios in fund
complex overseen
by trustee
  Other directorships3
held by trustee
Steadman Upham, PhD, 1949   STEX 2009   President and University Professor, The University of Tulsa   80   None
  LTEX 2007      
  TEBF 2007      
  AHIM 2007      
  TEFCA 2007      
  TEFNY 2010      
       
                   
Interested trustees4,5        
                   
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 in fund
complex overseen
by trustee
  Other directorships3
held by trustee
Karl J. Zeile, 1966
Vice Chairman of the Board: STEX
Vice Chairman of the Board and President: AHIM, TEFNY Vice Chairman of the Board and Senior Vice President: LTEX, TEBF, TEFCA
  STEX 2011   Partner — Capital Fixed Income Investors, Capital Research and Management Company; Director, The Capital Group Companies, Inc.6   6   None
  LTEX 2004      
  TEBF 2009      
  AHIM 2008      
  TEFCA 2009      
  TEFNY     2010      
   
   
Michael C. Gitlin, 1970   STEX 2015   Partner — Capital Fixed Income Investors, Capital Research and Management Company; Director, Capital Research and Management Company; served as Head of Fixed Income at a large investment management firm prior to joining Capital Research and Management Company in 2015   19   None
  LTEX 2015      
  TEBF 2015      
  AHIM 2015      
  TEFCA 2015      
  TEFNY 2015      

 

The funds’ statement of additional information includes further details about fund trustees and is available without charge upon request by calling American Funds Service Company at (800) 421-4225 or by visiting the American Funds website at americanfunds.com. The address for all trustees and officers of the funds is 333 South Hope Street, Los Angeles, CA 90071, Attention: Secretary.

 

STEX   American Funds Short-Term Tax-Exempt Bond Fund   AHIM   American High-Income Municipal Bond Fund
LTEX   Limited Term Tax-Exempt Bond Fund of America   TEFCA   The Tax-Exempt Fund of California
TEBF   The Tax-Exempt Bond Fund of America      TEFNY   American Funds Tax-Exempt Fund of New York

 

Other officers5

 

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
Brenda S. Ellerin, 1963 President: STEX, LTEX Senior Vice President: TEBF   STEX 2009   Partner — Capital Fixed Income Investors, Capital Research and Management Company
  LTEX 1997  
  TEBF 1999  
Neil L. Langberg, 1953 President: TEBF, TEFCA Senior Vice President: STEX, LTEX,AHIM   STEX 1989   Partner — Capital Fixed Income Investors, Capital Research and Management Company
  LTEX 1993  
  TEBF 1985  
  AHIM 1994    
  TEFCA  1986  
           
   
86 American Funds Tax-Exempt Funds
 

Other officers5 (continued)

 

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
Kristine M. Nishiyama, 1970
Senior Vice President
  STEX 2003   Senior Vice President and Senior Counsel — Fund Business Management Group, Capital Research and Management Company; Senior Vice President and General Counsel, Capital Bank and Trust Company6
  LTEX 2003  
  TEBF 2003  
  AHIM 2003  
  TEFCA 2003  
  TEFNY 2010  
Chad M. Rach, 1972 Senior Vice President   AHIM 2015   Partner — Capital Fixed Income Investors, Capital Research and Management Company
 
Jerome H. Solomon, 1963 Vice President   TEFNY  2011   Vice President — Capital Fixed Income Investors, Capital Research and Management Company
 
Steven I. Koszalka, 1964 Secretary   STEX 2010   Vice President — Fund Business Management Group, Capital Research and Management Company
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA 2010  
  TEFNY 2010  
Brian C. Janssen, 1972 Treasurer   STEX 2015   Vice President — Investment Operations, Capital Research and Management Company
  LTEX 2015  
  TEBF 2012  
  AHIM 2015  
  TEFCA 2012  
  TEFNY 2012  
Jane Y. Chung, 1974 Assistant Secretary   STEX 2014   Associate — Fund Business Management Group, Capital Research and Management Company
  LTEX 2014  
  TEBF 2014  
  AHIM 2014  
  TEFCA 2014  
  TEFNY 2014  
Dori Laskin, 1951 Assistant Treasurer   STEX 2010   Vice President — Investment Operations, Capital Research and Management Company
  LTEX 2010  
  TEBF 2010  
  AHIM 2010  
  TEFCA 2010  
  TEFNY 2010  
Gregory F. Niland, 1971 Assistant Treasurer   STEX 2015   Vice President — Investment Operations, Capital Research and Management Company
  LTEX 2015  
  TEBF 2015  
  AHIM 2015  
  TEFCA 2015  
    TEFNY 2015    
           
1 The term independent trustee refers to a trustee who is not an “interested person” of the funds within the meaning of the Investment Company Act of 1940.
2 Includes service as a director/trustee or officer of the fund’s predecessor, The Tax-Exempt Bond Fund of America, Inc. or American High-Income Municipal Bond Fund, Inc., each a Maryland corporation, or Limited Term Tax-Exempt Bond Fund of America or The Tax-Exempt Fund of California, each a Massachusetts business trust. Trustees and officers of the funds serve until their resignation, removal or retirement.
3 This includes all directorships/trusteeships (other than those in the American Funds or other funds managed by Capital Research and Management Company or its affiliates) that are held by each trustee as a trustee or director of a public company or a registered investment company.
4 The term interested trustee refers to a trustee who is an “interested person” within the meaning of the Investment Company Act of 1940,on the basis of their current or former affiliation with the funds’ investment adviser, Capital Research and Management Company, or affiliated entities (including the funds’ principal underwriter).
5 All of the directors/trustees and/or officers listed are officers and/or directors/trustees of one or more of the other funds for which Capital Research and Management Company serves as investment adviser.
6 Company affiliated with Capital Research and Management Company.
   
American Funds Tax-Exempt Funds 87
 

Offices of the funds and of the investment adviser
Capital Research and Management Company
333 South Hope Street
Los Angeles, CA 90071-1406

 

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

 

Counsel
Morgan, Lewis & Bockius LLP
300 South Grand Avenue, 22nd floor
Los Angeles, CA 90071-3132

 

Custodians of assets
Bank of New York Mellon
One Wall Street
New York, NY 10286

 

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

 

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

 

88 American Funds Tax-Exempt Funds
 

Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the funds’ prospectus and summary prospectuses, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the American Funds website at americanfunds.com.

 

“American Funds Proxy Voting Procedures and Principles” — which describes how we vote proxies relating to portfolio securities — is available on the American Funds website or upon request by calling AFS. Each fund files its proxy voting record with the U.S. Securities and Exchange Commission (SEC) for the 12 months ended June 30 by August 31. The proxy voting record is available free of charge on the SEC website at sec.gov and on the American Funds website.

 

Complete July 31, 2016, portfolios of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York’s investments are available free of charge by calling AFS or visiting the SEC website (where they are part of Form N-CSR).

 

Each fund files a complete list of its portfolio holdings with the 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. You may also review or, for a fee, copy this filing at the SEC’s Public Reference Room in Washington, D.C. Additional information regarding the operation of the Public Reference Room may be obtained by calling the SEC’s Office of Investor Education and Advocacy at (800) SEC-0330. Additionally, the list of portfolio holdings is available by calling AFS.

 

This report is for the information of shareholders of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York, but it also may be used as sales literature when preceded or accompanied by the current prospectus or summary prospectuses, which give details about charges, expenses, investment objectives and operating policies of the funds. If used as sales material after September 30, 2016, this report must be accompanied by an American Funds statistical update for the most recently completed calendar quarter.

 

The American Funds Advantage®

 

Since 1931, American Funds, part of Capital Group, has helped investors pursue long-term investment success. Our consistent approach — in combination with The Capital SystemSM — has resulted in a superior long-term track record.

 

  Aligned with investor success
  We base our decisions on a long-term perspective, which we believe aligns our goals with the interests of our clients. Our portfolio managers average 27 years of investment experience, including 22 years at our company, reflecting a career commitment to our long-term approach.1
   
  The Capital SystemSM
  The Capital System combines individual accountability with teamwork. Funds using The Capital System are divided into portions that are managed independently by investment professionals with diverse backgrounds, ages and investment approaches. An extensive global research effort is the backbone of our system.
   
  Superior long-term track record
  Our equity funds have beaten their Lipper peer indexes in 91% of 10-year periods and 95% of 20-year periods. Our fixed income funds have beaten their Lipper indexes in 58% of 10-year periods and 58% of 20-year periods.2 Our fund management fees have been among the lowest in the industry.3
   
  1 Portfolio manager experience as of December 31, 2015.
  2 Based on Class A share results for rolling periods through December 31, 2015. Periods covered are the shorter of the fund’s lifetime or since the comparable Lipper index inception date (except Capital Income Builder and SMALLCAP World Fund, for which the Lipper average was used).
  3 On average, our management fees were in the lowest quintile 68% of the time, based on the 20-year period ended December 31, 2015, versus comparable Lipper categories, excluding funds of funds.

 

 

 

 

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 to American Funds Service Company at 800/421-9225 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 Laurel B. Mitchell, 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 (TEFNY)

 

  Registrant:
    a)  Audit Fees:
      2015 $54,000
      2016 $56,000
       
    b)  Audit-Related Fees:
      2015 None
      2016 None
      The audit-related fees consist of assurance and related services relating to the examination of the Registrant’s 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:
      2015 None
      2016 $7,000
      The tax fees consist of professional services relating to the preparation of the Registrant’s tax returns including returns relating to the Registrant’s investments in non-U.S. jurisdictions.
       
    d)  All Other Fees:
      2015 None
      2016 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:
      2015 None
      2016 $17,000
      The audit-related fees consist of fees related to the review of the registration statement filed on Form N-14 for merger activities.
       
    c)  Tax Fees:
      2015 $29,000
      2016 $9,000
      The tax fees consist of consulting services relating to the Registrant’s investments.
       
    d)  All Other Fees:

      2015 $2,000
      2016 $2,000
      The other fees consist of subscription services related to an accounting research tool.
       

 

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 $50,000 for fiscal year 2015 and $37,000 for fiscal year 2016. 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

 

American Funds Tax-Exempt Fund of New York®
Investment portfolio
July 31, 2016
Bonds, notes & other debt instruments 96.91%
New York 93.41%
State issuers 50.30%
Principal amount
(000)
Value
(000)
Build NYC Resource Corp., Rev. Bonds (Bronx Charter School for Excellence Project),
Series 2013-A, 5.50% 2043
$1,000 $1,094
Build NYC Resource Corp., Rev. Bonds (YMCA of Greater New York Project), 5.00% 2040 500 588
Build NYC Resource Corp., Solid Waste Disposal Rev. Bonds (Pratt Paper (NY), Inc. Project),
Series 2014, AMT, 4.50% 20251
450 502
Build NYC Resource Corp., Solid Waste Disposal Rev. Bonds (Pratt Paper (NY), Inc. Project),
Series 2014, AMT, 5.00% 20351
250 285
Build NYC Resource Corp., Rev. Ref. Bonds (New York Law School), 5.00% 2041 750 885
Convention Center Dev. Corp., Rev. Ref. Bonds (Hotel Unit Fee Secured), 5.00% 2030 300 377
Convention Center Dev. Corp., Rev. Ref. Bonds (Hotel Unit Fee Secured), 5.00% 2035 840 1,029
Dobbs Ferry Local Dev. Corp., Rev. Bonds, Series 2014, 5.00% 2039 1,625 1,918
Dobbs Ferry Local Dev. Corp., Rev. Bonds, Series 2014, 5.00% 2044 500 587
Dormitory Auth. of the State of New York, School Districts Rev. Bond Fncg. Program Rev. Bonds,
Series 2013-E, Assured Guaranty Municipal insured, 5.00% 2022
1,000 1,229
Dormitory Auth., Columbia University Rev. Green Bonds, Series 2016-A-1, 5.00% 2026 500 670
Dormitory Auth., Consolidated Service Contract Rev. Ref. Bonds, Series 2010, 5.00% 2020 500 580
Dormitory Auth., Cornell University, Rev. Bonds, Series 2016-A, 5.00% 2033 1,000 1,276
Dormitory Auth., Culinary Institute of America Rev. Bonds, Series 2013, 5.50% 2033 500 598
Dormitory Auth., Fordham University, Rev. Bonds, Series 2011-A, 5.50% 2036 1,000 1,206
Dormitory Auth., Fordham University, Rev. Bonds, Series 2016-A, 5.00% 2036 1,000 1,237
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2031 500 613
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2035 1,000 1,211
Dormitory Auth., Icahn School of Medicine at Mount Sinai, Rev. Bonds, Series 2015-A, 5.00% 2040 250 302
Dormitory Auth., Lease Rev. Bonds (State University Dormitory Facs. Issue), Series 2010-A, 5.00% 2035 1,000 1,153
Dormitory Auth., Miriam Osborn Memorial Home Association Rev. Ref. Bonds, Series 2012, 5.00% 2042 970 1,038
Dormitory Auth., Mount Sinai School of Medicine of New York University, Rev. Ref. Bonds, Series 2010-A, 5.00% 2021 1,000 1,149
Dormitory Auth., New School Rev. Bonds, Series 2010, 5.25% 2021 500 580
Dormitory Auth., New School Rev. Bonds, Series 2010, 5.50% 2040 500 581
Dormitory Auth., New School Rev. Bonds, Series 2015-A, 5.00% 2032 1,000 1,216
Dormitory Auth., New York University Rev. Bonds, Series 2016-A, 5.00% 2034 500 628
Dormitory Auth., New York University Rev. Bonds, Series 2016-A, 5.00% 2039 1,000 1,242
Dormitory Auth., North Shore-Long Island Jewish Obligated Group, Rev. Ref. Bonds, Series 2011-A,
5.00% 2032
1,500 1,746
Dormitory Auth., NYU Hospitals Center Rev. Bonds, 5.00% 2022 200 243
Dormitory Auth., NYU Hospitals Center Rev. Bonds, 5.00% 2034 1,000 1,207
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2011-A, 6.00% 2040 (preref. 2020) 1,000 1,204
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 4.00% 2040 505 563
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 5.00% 2027 200 256
Dormitory Auth., NYU Hospitals Center Rev. Bonds, Series 2016-A, 5.00% 2033 400 499
Dormitory Auth., Orange Regional Medical Center Obligated Group Rev. Bonds, Series 2008, 6.25% 2037 1,000 1,093
Dormitory Auth., Orange Regional Medical Center Obligated Group Rev. Bonds, Series 2015, 5.00% 20321 600 685
Dormitory Auth., Pratt Institute, Rev. Bonds, Series 2016, 5.00% 2039 650 797
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-A, 5.00% 2022 1,000 1,222
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-A, 5.00% 2033 1,000 1,249
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Bonds, Series 2016-E, 5.00% 2026 500 649
American Funds Tax-Exempt Fund of New York — Page 1 of 7

Bonds, notes & other debt instruments
New York (continued)
State issuers (continued)
Principal amount
(000)
Value
(000)
Dormitory Auth., School Districts Rev. Bond Fncg. Program Rev. Ref. Bonds, Series 2011-A, 5.00% 2024 $500 $594
Dormitory Auth., Skidmore College Rev. Bonds, Series 2011-A, 5.50% 2041 1,420 1,683
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2008-A, 5.00% 2016 1,425 1,450
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2014-E, 5.00% 2017 845 866
Dormitory Auth., State Personal Income Tax Rev. Bonds (Education), Series 2014-E, 5.00% 2032 750 927
Dormitory Auth., Touro College and University System Obligated Group Rev. Bonds, Series 2014-A,
5.50% 2039
500 573
Environmental Facs. Corp., Solid Waste Disposal Rev. Ref. Bonds (Waste Management, Inc. Project),
Series 2012, AMT, 0.85% 2030 (put 2016)2
3,250 3,250
Environmental Facs. Corp., Solid Waste Disposal Rev. Ref. Bonds (Waste Management, Inc. Project),
Series 2013-A, 2.75% 2017
1,000 1,019
Housing Dev. Corp., Multi-Family Housing Rev. Bonds (Sustainable Neighborhood), Series 2015-H,
2.95% 2045 (put 2026)
750 795
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2007 Series A, 5.00% 2047 825 844
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2012 Series A, 5.25% 2047 1,000 1,152
Hudson Yards Infrastructure Corp., Rev. Bonds, Fiscal 2012 Series A, 5.75% 2047 1,000 1,183
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 2, 5.15% 20341 1,250 1,411
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 2, 5.375% 20401 350 409
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (3 World Trade Center Project), Series 2014, Class 3, 7.25% 20441 375 495
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (4 World Trade Center Project), Series 2011, 5.00% 2031 1,500 1,767
Liberty Dev. Corp., Liberty Rev. Ref. Bonds (Bank of America Tower at One Bryant Park Project), Series 2010, 6.375% 2049 1,500 1,708
Liberty Dev. Corp., Rev. Bonds (Goldman Sachs Headquarters Issue), Series 2005, 5.25% 2035 1,000 1,349
Metropolitan Transportation Auth., Dedicated Tax Fund Bonds, Series 2004-C, AMBAC insured, 5.50% 2017 1,000 1,064
Metropolitan Transportation Auth., Dedicated Tax Fund Rev. Ref. Bonds, Series 2002-B-3D, 1.44% 20202 2,000 2,018
Metropolitan Transportation Auth., Dedicated Tax Fund Rev. Ref. Bonds, Series 2008-A-2A, 0.82% 2026
(put 2017)2
490 489
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-E, 5.00% 2031 1,000 1,212
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2012-F, 5.00% 2016 1,000 1,014
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-B, 5.00% 2044 500 601
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2014-D-1, 5.00% 2039 250 305
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-A-2, 1.02% 2039 (put 2020)2 500 497
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-C-1, 5.00% 2035 1,750 2,142
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2015-C-1, 5.25% 2030 280 360
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2016-C-1, 4.00% 2041 1,000 1,116
Metropolitan Transportation Auth., Transportation Rev. Bonds, Series 2016-C-1, 5.00% 2036 500 616
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2002-G-1H, 1.163% 2026
(put 2016)2
715 715
Metropolitan Transportation Auth., Transportation Rev. Ref. Bonds, Series 2016-B, 4.00% 2036 1,000 1,121
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 178, 3.50% 2043 440 454
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 191, 3.50% 2034 660 692
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 194, AMT, 3.50% 2035 750 795
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 195, 4.00% 2046 1,475 1,622
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 197, 3.50% 2044 900 979
Mortgage Agcy., Homeowner Mortgage Rev. Bonds, Series 52, AMT, 3.50% 2030 1,100 1,176
Mortgage Agcy., Mortgage Rev. Bonds, Series 46, 5.00% 2029 135 140
Mortgage Agcy., Mortgage Rev. Ref. Bonds, Series 45, 4.50% 2029 335 348
Mortgage Agcy., Mortgage Rev. Ref. Bonds, Series 48, 2.625% 2041 625 642
Port Auth., Consolidated Bonds, Series 147, AMT, FGIC-National insured, 5.00% 2021 500 515
Port Auth., Consolidated Bonds, Series 166, 5.00% 2031 1,000 1,171
Port Auth., Consolidated Rev. Ref. Bonds, Series 167, AMT, 5.00% 2025 1,000 1,150
Port Auth., Consolidated Rev. Ref. Bonds, Series 172, AMT, 5.00% 2034 500 576
Port Auth., Consolidated Rev. Ref. Bonds, Series 186, AMT, 5.00% 2044 500 594
Port Auth., Special Project Bonds (JFK International Air Terminal LLC Project), Series 8, 5.00% 2020 1,000 1,145
American Funds Tax-Exempt Fund of New York — Page 2 of 7

Bonds, notes & other debt instruments
New York (continued)
State issuers (continued)
Principal amount
(000)
Value
(000)
Power Auth. of the State of New York, Rev. Ref. Bonds, Series 2011-A, 5.00% 2038 $1,500 $1,779
State Energy Research and Dev. Auth., Pollution Control Rev. Ref. Bonds (New York State Electric & Gas Corp. Project), Series 2005-B, AMT, 2.375% 2026 (put 2020) 300 307
Thruway Auth., General Rev. Bonds, Series 2014-J, 5.00% 2027 1,000 1,241
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2013-A, 5.00% 2019 250 280
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2016-A, 5.00% 2051 650 781
Thruway Auth., General Rev. Junior Indebtedness Obligations, Series 2016-A, 5.25% 2056 250 309
Thruway Auth., Local Highway and Bridge Service Contract Rev. Ref. Bonds, Series 2009, 5.00% 2020 1,000 1,144
Tobacco Settlement Fncg. Corp., Rev. Ref. Bonds (State Contingency Contract Secured),
Series 2011-B, 5.00% 2018
1,000 1,080
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2016, AMT, 5.00% 2031 2,250 2,470
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (Terminal One Group Association, L.P. Project),
5.00% 2022
1,000 1,187
Transportation Dev. Corp., Special Fac. Rev. Ref. Bonds (Terminal One Group Association, L.P. Project),
5.00% 2023
500 605
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2034 500 583
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2041 500 575
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.00% 2046 300 345
Transportation Dev. Corp., Special Facs. Bonds (LaGuardia Airport Terminal B Redev. Project), Series 2016-A, AMT, 5.25% 2050 1,200 1,395
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Bonds,
Series 2010-A-1, 5.00% 2019
1,000 1,143
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Ref. Bonds,
Series 2015-B-4A, 0.613% 2028 (put 2016)2
1,040 1,039
Triborough Bridge and Tunnel Auth. (MTA Bridges and Tunnels), General Rev. Ref. Bonds,
Series 2000-ABCD-5, Assured Guaranty Municipal insured, 0.88% 20192
500 498
Urban Dev. Corp., Rev. Bonds (General Purpose), Series 2014-A, 5.00% 2027 1,500 1,892
Urban Dev. Corp., Rev. Bonds (General Purpose), Series 2014-A, 5.00% 2034 500 608
Urban Dev. Corp., Service Contract Rev. Ref. Bonds, Series 2010-A-2, 5.00% 2020 1,000 1,143
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (General Purpose), Series 2016-A, 5.00% 2032 1,000 1,255
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (General Purpose), Series 2016-A, 5.00% 2035 300 371
Urban Dev. Corp., State Personal Income Tax Rev. Bonds (State Facs. and Equipment), Series 2009-B-1,
5.25% 2038
1,000 1,108
    105,069
City & county issuers 43.11%    
City of Albany, Capital Resource Corp., Rev. Bonds (St. Peter’s Hospital of the City of Albany Project),
Series 2011, 6.25% 2038
1,000 1,229
City of Albany, Industrial Dev. Agcy., Civic Fac. Rev. Ref. Bonds (St. Peter’s Hospital of the City of Albany Project), Series 2008-A, 5.25% 2027 500 531
Buffalo and Erie County, Industrial Land Dev. Corp., Rev. Bonds (Buffalo State College Foundation Housing Corp. Project), Series 2011-A, 5.375% 2041 1,400 1,623
Buffalo and Erie County, Industrial Land Dev. Corp., Obligated Group Rev. Bonds (Catholic Health System, Inc. Project), Series 2015, 5.00% 2040 1,050 1,239
Buffalo and Erie County, Industrial Land Dev. Corp., Obligated Group Rev. Bonds (Catholic Health System, Inc. Project), Series 2015, 5.25% 2035 500 604
Dutchess County Local Dev. Corp., Rev. Bonds (Health Quest Systems, Inc. Project), Series 2016-B,
4.00% 2041
850 928
Dutchess County Local Dev. Corp., Rev. Bonds (Health Quest Systems, Inc. Project), Series 2016-B,
5.00% 2046
500 604
American Funds Tax-Exempt Fund of New York — Page 3 of 7

Bonds, notes & other debt instruments
New York (continued)
City & county issuers (continued)
Principal amount
(000)
Value
(000)
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2010,
5.75% 2030
$500 $579
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2010,
5.75% 2040
1,000 1,155
Dutchess County Local Dev. Corp., Rev. Ref. Bonds (Health Quest Systems, Inc. Project), Series 2014-A,
5.00% 2028
430 522
Erie County, Industrial Dev. Agcy., School Fac. Rev. Bonds (City School Dist. of the City of Buffalo Project), Series 2011-A, 5.25% 2025 500 598
Erie County, Industrial Dev. Agcy., School Fac. Rev. Ref. Bonds (City School Dist. of the City of Buffalo Project), Series 2012-A, 5.00% 2021 500 593
Erie County, Industrial Dev. Agcy., School Fac. Rev. Ref. Bonds (City School Dist. of the City of Buffalo Project), Series 2013-A, 5.00% 2027 790 972
Various Purpose G.O. Bonds, Series 2014-A, 5.00% 2028 1,250 1,527
Various Purpose G.O. Bonds, Series 2016-A, 5.00% 2027 850 1,074
Various Purpose G.O. Bonds, Series 2016-B, 5.00% 2025 1,000 1,270
Town of Hempstead Local Dev. Corp., Rev. Bonds (Hofstra University Project), Series 2011, 5.00% 2027 1,300 1,505
Town of Hempstead Local Dev. Corp., Rev. Bonds (Hofstra University Project), Series 2011, 5.00% 2041 800 924
Town of Hempstead, Local Dev. Corporation Rev. Ref. Bonds (Adelphi University Project), Series 2014,
5.00% 2027
400 492
Long Island Power Auth., Electric System General Rev. Bonds, Series 2011-A, 5.00% 2038 500 566
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-A, 5.00% 2044 1,240 1,478
Long Island Power Auth., Electric System General Rev. Bonds, Series 2014-C, 0.977% 2033 (put 2018)2 1,000 1,000
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-B, 5.00% 2035 1,215 1,474
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-B, 5.00% 2038 750 906
Long Island Power Auth., Electric System General Rev. Bonds, Series 2015-C, 1.207% 2033 (put 2018)2 300 301
County of Monroe, Industrial Dev. Agcy., School Fac. Rev. Bonds (Rochester Schools Modernization Project), Series 2012-A, 5.00% 2021 1,000 1,184
Monroe County, Industrial Dev. Corp., Rev. Bonds (Highland Hospital of Rochester Project), Series 2015, 5.00% 2033 430 515
Monroe County, Industrial Dev. Corp., Rev. Bonds (Highland Hospital of Rochester Project), Series 2015, 5.00% 2034 380 452
Nassau County, Local Econ. Assistance Corp., Rev. Ref. Bonds (Winthrop-University Hospital Association Project), Series 2012, 5.00% 2037 500 559
Nassau County, Tobacco Settlement Corp., Tobacco Settlement Asset-Backed Current Interest Bonds,
Series 2006-A-3, 5.125% 2046
2,000 1,987
Nassau County, G.O. General Improvement Bonds, 2016 Ref. Series A, 5.00% 2030 1,795 2,222
Nassau County, G.O. General Improvement Bonds, Series 2016-B, 5.00% 2023 750 924
City of New Rochelle, Corp. for Local Dev. Rev Bonds (Iona College Project), Series 2015-A, 5.00% 2022 270 320
City of New Rochelle, Corp. for Local Dev. Rev Bonds (Iona College Project), Series 2015-A, 5.00% 2045 750 878
City of New York, G.O. Bonds, Fiscal 2014, Series 2013-G, 5.00% 2016 1,000 1,000
City of New York, G.O. Bonds, Series 2008-J-4, 0.99% 20252 1,500 1,500
City of New York, G.O. Bonds, Series 2008-L-1, 5.00% 2023 1,000 1,074
City of New York, G.O. Bonds, Series 2011-I-1, 5.00% 2016 750 750
City of New York, G.O. Bonds, Series 2013-J, 5.00% 2016 2,500 2,501
City of New York, G.O. Bonds, Series 2015-A, 5.00% 2026 1,000 1,294
City of New York, G.O. Bonds, Series 2015-C, 5.00% 2028 500 630
City of New York, G.O. Bonds, Series 2015-C, 5.00% 2033 1,000 1,229
City of New York, G.O. Bonds, Series 2016-C, 5.00% 2031 1,500 1,888
New York City Industrial Dev. Agcy., Airport Facs. Rev. Ref. Bonds (Transportation Infrastructure Properties, LLC Obligated Group), Series 2012-A, AMT, 5.00% 2022 15 17
New York City Industrial Dev. Agcy., Airport Facs. Rev. Ref. Bonds (Transportation Infrastructure Properties, LLC Obligated Group), Series 2012-A, AMT, 5.00% 2028 250 280
New York City Transitional Fin. Auth., Building Aid Rev. Bonds, Fiscal 2007 Series S-2, Assured Guaranty Municipal insured, 5.00% 2017 570 582
American Funds Tax-Exempt Fund of New York — Page 4 of 7

Bonds, notes & other debt instruments
New York (continued)
City & county issuers (continued)
Principal amount
(000)
Value
(000)
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2011 Series C, 5.25% 2025 $1,000 $1,184
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Fiscal 2017 Series 2016-A-1, 5.00% 2035 2,000 2,485
New York City Transitional Fin. Auth., Future Tax Secured Bonds, Series 2015-C, 5.00% 2027 750 959
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Fiscal 2010 Series D, 5.00% 2023 1,000 1,157
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-A-1, 5.00% 2037 500 613
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-C, 5.00% 2026 1,000 1,304
New York City, Health and Hospitals Corp., Health System Rev. Ref. Bonds, Series 2010-A, 5.00% 2021 540 620
New York City, Health and Hospitals Corp., Health System Rev. Ref. Bonds, Series 2010-A, 5.00% 2025 500 568
New York City, Housing Dev. Corp. Multi-Family Rev. Bonds (8 Spruce Street), Series 2014-E, 3.50% 2048 1,670 1,734
New York City, Housing Dev. Corp. Multi-Family Rev. Bonds (8 Spruce Street), Series 2014-F, 4.50% 2048 500 538
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), AMT, 2.00% 2028 200 200
New York City, Industrial Dev. Agcy., Special Fac. Rev. Bonds (American Airlines, Inc. John F. Kennedy International Airport Project), Series 2005, AMT, 7.625% 2025 1,500 1,515
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2011-EE, 5.375% 2043 1,000 1,184
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2014-EE, 5.00% 2045 500 602
New York City, Municipal Water Fin. Auth., Water and Sewer System Second General Resolution Rev. Bonds, Series 2015-HH, 5.00% 2039 500 611
Trust for Cultural Resources of the City of New York, Rev. Bonds (Juilliard School), Series 2009-B, 1.35% 2036 (put 2017) 1,500 1,510
Trust for Cultural Resources of the City of New York, Rev. Bonds (The Museum of Modern Art),
Series 2016-1-E, 4.00% 2028
1,500 1,804
Niagara Area Dev. Corp. (New York), Solid Waste Disposal Fac. Rev. Ref. Bonds (Covanta Energy Project), Series 2012-A, AMT, 5.25% 20421 375 384
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport),
Series 2014-A, AMT, 5.00% 2027
600 710
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport),
Series 2014-A, AMT, 5.00% 2028
500 587
Niagara Frontier Transportation Auth., Airport Rev. Ref. Bonds (Buffalo Niagara International Airport),
Series 2014-A, AMT, 5.00% 2029
700 820
Onondaga Civic Dev. Corp., Rev. Bonds (St. Joseph’s Hospital Health Center Project), Series 2014-A,
5.125% 2031 (preref. 2019)
750 847
Onondaga County, Resource Recovery Agcy., Rev. Ref. Bonds, Series 2015-A, AMT, Assured Guaranty Municipal insured, 5.00% 2030 1,750 2,065
County of Rockland G.O. Bonds, Series 2014-A, Assured Guaranty Municipal insured, 5.00% 2024 1,000 1,224
Southold Local Dev. Corporation, Rev. Bonds (Peconic Landing at Southold, Inc. Project), Series 2015,
5.00% 2045
1,500 1,699
Suffolk County, Econ. Dev. Corp., Rev. Ref. Bonds (Catholic Health Services of Long Island Obligated Group Project), 5.00% 2028 850 969
Suffolk County, Econ. Dev. Corp., Rev. Ref. Bonds (Catholic Health Services of Long Island Obligated Group Project), 5.00% 2028 (preref. 2021) 150 180
Suffolk County, Econ. Dev. Corp., Rev. Ref. Bonds (Peconic Landing at Southold, Inc. Project), Series 2010, 5.875% 2030 1,000 1,147
Suffolk County, Industrial Dev. Agcy., Continuing Care Retirement Community Rev. Ref. Bonds (Jefferson’s Ferry Project), Series 2006, 5.00% 2028 1,000 1,007
Suffolk Tobacco Asset Securitization Corp., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2012-B, 5.00% 2032 750 846
Tompkins County, New York, Dev. Corp., Continuing Care Retirement Community Rev. Bonds (Kendal at Ithaca Inc.), Series 2014-A, 5.00% 2044 1,000 1,143
TSASC, Inc., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2006-1, 5.00% 2034 1,380 1,380
TSASC, Inc., Tobacco Settlement Asset-Backed Rev. Ref. Bonds, Series 2006-1, 5.125% 2042 4,845 4,828
Westchester County, Health Care Corp., Rev. Bonds, Series 2010-B, 6.00% 2030 130 151
American Funds Tax-Exempt Fund of New York — Page 5 of 7

Bonds, notes & other debt instruments
New York (continued)
City & county issuers (continued)
Principal amount
(000)
Value
(000)
Westchester County, Health Care Corp., Rev. Bonds, Series 2010-B, 6.00% 2030 (preref. 2020) $870 $1,059
Westchester County, Health Care Corp., Rev. Bonds, Series 2011-A, 5.00% 2021 100 118
Westchester County, Local Dev. Corp., Rev. Bonds (Westchester Medical Center Obligated Group Project), Series 2016, 5.00% 2034 1,150 1,385
Westchester County, Local Dev. Corp., Rev. Bonds (Westchester Medical Center Obligated Group Project), Series 2016, 5.00% 2046 1,000 1,176
Westchester County, Local Dev. Corp., Rev. Ref. Bonds (Pace University), Series 2014-A, 5.50% 2042 450 530
City of Yonkers, G.O. Bonds, Series 2011-A, 5.00% 2019 1,000 1,127
City of Yonkers, G.O. Bonds, Series 2015-B, Assured Guaranty Municipal insured, 5.00% 2024 490 607
    90,057
Guam 1.49%    
A.B. Won Pat International Airport Auth., General Rev. Bonds, Series 2013-C, AMT, 6.375% 2043 500 612
Government of Guam, Business Privilege Tax Bonds, Series 2011-A, 5.00% 2031 1,200 1,310
Government of Guam, Hotel Occupancy Tax Rev. Ref. Bonds, Series 2011-A, 6.125% 2031 500 609
Waterworks Auth., Water and Wastewater System Rev. Bonds, Series 2013, 5.00% 2028 250 291
Waterworks Auth., Water and Wastewater System Rev. Bonds, Series 2014-A, 5.00% 2029 250 292
    3,114
Puerto Rico 1.77%    
Highways and Transportation Auth., Transportation Rev. Ref. Bonds, Series 2007-N,
Assured Guaranty insured, 5.25% 2036
500 531
Highways and Transportation Auth., Highway Rev. Ref. Bonds, Series 2003-AA1,
Assured Guaranty Municipal insured, 4.95% 2026
265 270
Highways and Transportation Auth., Transportation Rev. Ref. Bonds, Series 2002-D,
Assured Guaranty Municipal insured, 5.00% 2032
660 662
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 200 207
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% 2031 750 734
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Higher Education Rev. and Rev. Ref. Bonds (University of the Sacred Heart Project), Series 2012, 5.00% 2020 250 210
Industrial, Tourist, Educational, Medical and Environmental Control Facs. Fncg. Auth., Higher Education Rev. and Rev. Ref. Bonds (University of the Sacred Heart Project), Series 2012, 5.00% 2042 500 363
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, 6.00% 2033 250 258
University of Puerto Rico, University System Rev. Ref. Bonds, Series 2006-P, 5.00% 2017 570 315
University of Puerto Rico, University System Rev. Ref. Bonds, Series 2006-Q, 5.00% 2020 350 147
    3,697
Virgin Islands 0.24%    
Public Fin. Auth., Rev. Bonds (Matching Fund Loan Note - Diageo Project), Series 2009-A, 6.625% 2029 500 515
Total bonds, notes & other debt instruments (cost: $188,886,000)   202,452
Short-term securities 4.07%    
Dormitory Auth., University of Rochester Rev. Bonds, Series 2003-A, JPMorgan Chase LOC, 0.39% 20312 5,095 5,094
New York City Industrial Dev. Agcy., Civic Fac. Ref. and Improvement Rev. Bonds (2005 American Civil Liberties Union Foundation, Inc. Project), Series 2005, JPMorgan Chase LOC, 0.39% 20352 1,000 1,000
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2015-E-3, 0.39% 20452 1,000 1,000
American Funds Tax-Exempt Fund of New York — Page 6 of 7

Short-term securities Principal amount
(000)
Value
(000)
New York City Transitional Fin. Auth., Future Tax Secured Rev. Ref. Bonds, Series 2016-E-4, 0.39% 20452 $400 $400
New York City Transitional Fin. Auth., Future Tax Secured Tax-Exempt Bonds, Fiscal 2016 Series D,
1.50% 11/1/2016
1,000 1,003
Total short-term securities (cost: $8,497,000)   8,497
Total investment securities 100.98% (cost: $197,383,000)   210,949
Other assets less liabilities (0.98%)   (2,050)
Net assets 100.00%   $208,899
    
1 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 $4,171,000, which represented 2.00% of the net assets of the fund.
2 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.
    
Key to abbreviations  
Agcy. = Agency Fin. = Finance
AMT = Alternative Minimum Tax Fncg. = Financing
Auth. = Authority G.O. = General Obligation
Certs. of Part. = Certificates of Participation LOC = Letter of Credit
Dept. = Department Preref. = Prerefunded
Dev. = Development Redev. = Redevelopment
Dist. = District Ref. = Refunding
Econ. = Economic Rev. = Revenue
Fac. = Facility TECP = Tax-Exempt Commercial Paper
Facs. = Facilities  
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary prospectus, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the American Funds website at americanfunds.com.
MFGEFPX-041-0916O-S56901 American Funds Tax-Exempt Fund of New York — Page 7 of 7

 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees and Shareholders of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York

 

In our opinion, the accompanying statements of assets and liabilities, including the summary investment portfolios, and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the investment portfolios (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of American Funds Short-Term Tax-Exempt Bond Fund, Limited Term Tax-Exempt Bond Fund of America, The Tax-Exempt Bond Fund of America, American High-Income Municipal Bond Fund, The Tax-Exempt Fund of California and American Funds Tax-Exempt Fund of New York (the “Funds”) at July 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets and the financial highlights for each of the periods presented (other than as noted below for The Tax-Exempt Fund of California), in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and investment portfolios (hereafter referred to as "financial statements") are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at July 31, 2016 by correspondence with the custodians and brokers, provide a reasonable basis for our opinion. The financial highlights of The Tax-Exempt Fund of California for each of the periods ended on or before July 31, 2013, were audited by another independent registered public accounting firm whose report dated September 9, 2013, expressed an unqualified opinion on those financial highlights.

 

PricewaterhouseCoopers LLP

Los Angeles, California

September 12, 2016

 

 

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 and governance 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 and governance 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 and governance 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) There were no changes in the Registrant’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) 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.

 

 

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.

 

  AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK
   
  By /s/ Karl J. Zeile
 

Karl J. Zeile, Vice Chariman, President and

Principal Executive Officer

   
  Date: September 30, 2016

 

 

 

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/ Karl J. Zeile

Karl J. Zeile, Vice Chairman, President and

Principal Executive Officer

 
Date: September 30, 2016

 

 

 

By /s/ Brian C. Janssen

Brian C. Janssen, Treasurer and

Principal Financial Officer

 
Date: September 30, 2016

EX-99.CODE ETH 2 tefny_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 tefny_cert302.htm CERT302

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Tax-Exempt Fund of New York

6455 Irvine Center Drive

Irvine, California 92618

(213) 486-9200

CERTIFICATION

I, Karl J. Zeile, certify that:

 

1. I have reviewed this report on Form N-CSR of American Funds Tax-Exempt Fund of New York;
   
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: September 30, 2016

 

/s/ Karl J. Zeile

Karl J. Zeile, Vice Chairman, President and

Principal Executive Officer

American Funds Tax-Exempt Fund of New York

 

 
 

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Tax-Exempt Fund of New York

6455 Irvine Center Drive

Irvine, California 92618

(213) 486-9200

CERTIFICATION

I, Brian C. Janssen, certify that:

 

1. I have reviewed this report on Form N-CSR of American Funds Tax-Exempt Fund of New York;
   
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: September 30, 2016

 

/s/ Brian C. Janssen

Brian C. Janssen, Treasurer and

Principal Financial Officer

American Funds Tax-Exempt Fund of New York

EX-99.906 CERT 4 tefny_cert906.htm CERT906

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Tax-Exempt Fund of New York

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

 

 

KARL J. ZEILE, President and Principal Executive Officer, and BRIAN C. JANSSEN, Treasurer and Principal Financial Officer of American Funds Tax-Exempt Fund of New York (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 July 31, 2016 (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
   
AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK
   
   
/s/ Karl J. Zeile /s/ Brian C. Janssen
Karl J. Zeile, Vice Chairman, President Brian C. Janssen, Treasurer
   
Date: September 30, 2016 Date: September 30, 2016

 

 

A signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK and will be retained by AMERICAN FUNDS TAX-EXEMPT FUND OF NEW YORK 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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