0000051931-14-001429.txt : 20141231 0000051931-14-001429.hdr.sgml : 20141231 20141231123838 ACCESSION NUMBER: 0000051931-14-001429 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 30 CONFORMED PERIOD OF REPORT: 20141031 FILED AS OF DATE: 20141231 DATE AS OF CHANGE: 20141231 EFFECTIVENESS DATE: 20141231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN FUNDS PORTFOLIO SERIES CENTRAL INDEX KEY: 0001537151 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-22656 FILM NUMBER: 141317982 BUSINESS ADDRESS: STREET 1: 333 S HOPE STREET STREET 2: 55TH FLOOR CITY: LOS ANGELES STATE: CA ZIP: 90071 BUSINESS PHONE: 213-486-9200 MAIL ADDRESS: STREET 1: 333 S HOPE STREET STREET 2: 55TH FLOOR CITY: LOS ANGELES STATE: CA ZIP: 90071 FORMER COMPANY: FORMER CONFORMED NAME: AMERICAN FUNDS PORTFOLIO RESOURCES DATE OF NAME CHANGE: 20111214 0001537151 S000036462 American Funds Tax-Exempt Preservation Portfolio C000111631 Class A TEPAX C000111632 Class B TEPBX C000111633 Class C TEPCX C000111634 Class F-1 TEPFX C000111635 Class F-2 TXEFX 0001537151 S000036463 American Funds Preservation Portfolio C000111636 Class F-2 PPEFX C000111637 Class 529-A CPPAX C000111638 Class 529-B CPPBX C000111639 Class 529-C CPPCX C000111640 Class 529-E CPPEX C000111641 Class 529-F-1 CPPFX C000111642 Class R-1 RPPVX C000111643 Class R-2 RPPBX C000111644 Class R-3 RPPCX C000111645 Class R-4 RPPEX C000111646 Class R-5 RPPFX C000111647 Class R-6 RPPGX C000111648 Class A PPVAX C000111649 Class B PPVBX C000111650 Class C PPVCX C000111651 Class F-1 PPVFX C000148386 Class R-2E RPBEX 0001537151 S000036464 American Funds Tax-Advantaged Income Portfolio C000111652 Class A TAIAX C000111653 Class B TXABX C000111654 Class C TAICX C000111655 Class F-1 TAIFX C000111656 Class F-2 TXIFX 0001537151 S000036465 American Funds Income Portfolio C000111668 Class A INPAX C000111669 Class B INPBX C000111670 Class C INPCX C000111671 Class F-1 INPFX C000111672 Class F-2 INPEX C000111673 Class 529-A CIPAX C000111674 Class 529-B CIPBX C000111675 Class 529-C CIPCX C000111676 Class 529-E CIPEX C000111677 Class 529-F-1 CIPFX C000111678 Class R-1 RNCAX C000111679 Class R-2 RINBX C000111680 Class R-3 RNCCX C000111681 Class R-4 RINEX C000111682 Class R-5 RINFX C000111683 Class R-6 RINGX C000148387 Class R-2E RNBEX 0001537151 S000036466 American Funds Balanced Portfolio C000111684 Class A BLPAX C000111685 Class B BLPBX C000111686 Class C BLPCX C000111687 Class F-1 BLPFX C000111688 Class F-2 BLPEX C000111689 Class 529-A CBAAX C000111690 Class 529-B CBBBX C000111691 Class 529-C CBPCX C000111692 Class 529-E CBAEX C000111693 Class 529-F-1 CBAFX C000111694 Class R-1 RBAAX C000111695 Class R-2 RBABX C000111696 Class R-3 RBACX C000111697 Class R-4 RBAEX C000111698 Class R-5 RBAFX C000111699 Class R-6 RBAGX C000148388 Class R-2E RBBEX 0001537151 S000036467 American Funds Growth and Income Portfolio C000111700 Class A GAIOX C000111701 Class B GAIBX C000111702 Class C GAITX C000111703 Class F-1 GAIFX C000111704 Class F-2 GAIEX C000111705 Class 529-A CGNAX C000111706 Class 529-B CGNBX C000111707 Class 529-C CGNCX C000111708 Class 529-E CGNEX C000111709 Class 529-F-1 CGNFX C000111710 Class R-1 RGNAX C000111711 Class R-2 RGNBX C000111712 Class R-3 RAICX C000111713 Class R-4 RGNEX C000111714 Class R-5 RGNFX C000111715 Class R-6 RGNGX C000148389 Class R-2E RBEGX 0001537151 S000036468 American Funds Growth Portfolio C000111716 Class R-5 RGWFX C000111717 Class R-6 RGWGX C000111718 Class A GWPAX C000111719 Class B GWPBX C000111720 Class C GWPCX C000111721 Class F-1 GWPFX C000111722 Class F-2 GWPEX C000111723 Class 529-A CGPAX C000111724 Class 529-B CGPBX C000111725 Class 529-C CGPCX C000111726 Class 529-E CGPEX C000111727 Class 529-F-1 CGPFX C000111728 Class R-1 RGWAX C000111729 Class R-2 RGWBX C000111730 Class R-3 RGPCX C000111731 Class R-4 RGWEX C000148390 Class R-2E RBGEX 0001537151 S000036469 American Funds Global Growth Portfolio C000111732 Class A PGGAX C000111733 Class B PGGBX C000111734 Class C GGPCX C000111735 Class F-1 PGGFX C000111736 Class F-2 PGWFX C000111737 Class 529-A CPGAX C000111738 Class 529-B CGGBX C000111739 Class 529-C CPGCX C000111740 Class 529-E CGGEX C000111741 Class 529-F-1 CGGFX C000111742 Class R-1 RGGAX C000111743 Class R-2 RGGBX C000111744 Class R-3 RGLCX C000111745 Class R-4 RGGEX C000111746 Class R-5 RGGFX C000111747 Class R-6 RGGGX C000148391 Class R-2E REBGX N-CSR 1 afps_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: 811-22656

 

 

 

American Funds Portfolio Series

(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: (949) 975-5000

 

Date of fiscal year end: October 31

 

Date of reporting period: October 31, 2014

 

 

 

 

 

Steven I. Koszalka

American Funds Portfolio Series

6455 Irvine Center Drive

Irvine, California 92618

(Name and Address of Agent for Service)

 

 

Copies to:

Michael Glazer

Morgan, Lewis & Bockius LLP

355 South Grand Avenue, Suite 4400

Los Angeles, California 90071

(Counsel for the Registrant)

 

 
 

 

ITEM 1 – Reports to Stockholders

 

 

Invest in portfolios designed to pursue
real-life objectives.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

  American Funds
Portfolio SeriesSM
 
Annual report
for the year ended
October 31, 2014
 
 

American Funds Portfolio Series seeks to help investors meet a wide range of investment goals, including preservation of capital, income, balance and growth. Each fund in the series is an objective-based portfolio of actively managed American Funds.

 

American Funds, from Capital Group, is one of the nation’s largest mutual fund families. For more than 80 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, 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 September 30, 2014 (the most recent calendar quarter-end). Also shown are the gross and net expense ratios as of the series prospectus dated January 1, 2015 (unaudited):

 

    Cumulative
total returns
  Average annual
total returns
           
          Lifetime   Gross   Net
Class A shares   1 year   (since 5/18/12)   expense ratio   expense ratio
                         
Reflecting 5.75% maximum initial sales charge:                                
American Funds Global Growth PortfolioSM     3.94 %     15.62 %     0.93 %     0.83 %
American Funds Growth PortfolioSM     6.29       17.09       0.85       0.75  
American Funds Growth and Income PortfolioSM     6.42       13.53       0.79       0.69  
American Funds Balanced PortfolioSM     4.44       11.39       0.82       0.72  
American Funds Income PortfolioSM     3.00       8.00       0.76       0.66  
                                 
Reflecting 3.75% maximum initial sales charge:                                
American Funds Tax-Advantaged Income PortfolioSM     8.50       10.54       0.91       0.81  
                                 
Reflecting 2.50% maximum initial sales charge:                                
American Funds Preservation PortfolioSM     –1.12       –0.40       0.80       0.70  
American Funds Tax-Exempt Preservation PortfolioSM     2.23       1.28       0.87       0.75  

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses.

 

The portfolio series’ funds invest in Class R-6 shares of the underlying funds. The series’ investment adviser is currently waiving its management fee of 0.10%, and reimbursing a portion of other expenses in all share classes for Tax-Exempt Preservation Portfolio. In addition, the investment adviser has in the past reimbursed certain expenses for Preservation Portfolio. Investment results and net expense ratios shown reflect the waiver and/or reimbursements, without which the results would have been lower and the expenses would have been higher. Expense ratios are as of each fund’s prospectus available at the time of publication and include the weighted average expenses of the underlying funds. The waiver and reimbursements will remain in effect at least through December 31, 2015. After that time, the adviser may elect at its discretion to extend, modify or terminate the reimbursements. The waiver may only be modified or terminated with the approval of the fund board.

 

For other share class results, visit americanfunds.com and americanfundsretirement.com.

 

Investment allocations may not achieve fund objectives. There are expenses associated with the underlying funds in addition to fund of funds expenses. The funds’ risks are directly related to the risks of the underlying funds. Refer to the series prospectus and the Risk Factors section of this report for more information on these and other risks associated with investing in the series.

 

 

 

Special feature

 

6 Invest in portfolios designed to pursue real-life objectives
   
Contents
1 Letter to investors
4 The value of a $10,000 investment
8 Investment portfolios
16 Financial statements
69 Board of trustees and other officers

 

Fellow investors:

 

It’s our pleasure to present the annual report for American Funds Portfolio Series for the period ended October 31, 2014.

 

All of the funds completed the fiscal year in positive territory, with returns ranging from 1.44% to 11.25%. While we’re encouraged by these results, we remain mindful that the funds are intended to be held over the long term. As such, it’s important to put short-term results in proper perspective.

 

The series, which offers eight distinct portfolios composed of combinations of individual American Funds, is designed to help investors pursue a number of investment objectives, including preservation, balance and appreciation. To learn more about the funds, please see page 6.

 

The economy

The domestic economy continued its recovery, despite a slowdown in early 2014 brought on by harsh winter weather. The second quarter saw gross domestic product (GDP) climb at its fastest pace since 2011, spurred by solid corporate profits and an uptick in mergers and acquisitions. The momentum rolled into the third quarter, with GDP increasing at an estimated 3.9% on an annualized basis. The positive economic news buoyed the employment market, which recorded gains on average of 220,000 positions per month for the 12 months ended October 31, dropping the unemployment rate to 5.8%.

 

Outside the U.S., nations saw mixed economic results. European countries labored to emerge from recession, China saw a drop in home prices and Japan’s government launched significant stimulus measures to support growth. Ongoing tensions in hotspots such as Syria, Iraq and Ukraine weighed on economic activity.

 

The stock market

The U.S. stock market achieved healthy results over the year ended October 31, 2014, with broad market indexes hitting new heights. Standard & Poor’s 500 Composite Index (a proxy for the domestic stock market) gained 17.24%. The rally was fueled by the accelerating economy and optimistic earnings reports.

 

Many international markets finished the period in positive territory, but results were more subdued than those in the U.S. The MSCI World ex USA Index (a leading benchmark for developed markets outside the U.S.) was off 0.15%. All of the market indexes shown in this report are unmanaged and, therefore, have no expenses. Investors cannot invest directly in an index.

 

The bond market

Most segments of the bond market were solid for the reporting period, with the Barclays U.S. Aggregate Index (a measure of the broad, domestic, investment-grade fixed-income market) climbing 4.14%. The municipal market surged, sending the Barclays Municipal Bond Index up 7.82%. High-yield bonds also were impressive, with the U.S. Corporate High Yield 2% Issuer Capped Index rising 5.82%. The Federal Reserve concluded its monthly bond buying program, making its final purchases in October. The Fed kept the target short-term federal funds rate near 0% — where it has remained since late 2008 — in an ongoing effort to help sustain the economic recovery.

 

American Funds Portfolio Series 1
 

 

 

The series

Given the upbeat performance in the financial markets, all of the funds in the series ended the fiscal year with solid results. Three advanced by double-digits — Tax-Advantaged Income Portfolio, Growth Portfolio, and Growth and Income Portfolio — thanks largely to their domestic equity focus. Each of the underlying funds made contributions; among these, The Investment Company of America,® AMCAP Fund® and Washington Mutual Investors Fund,SM were particularly helpful. Results for Preservation Portfolio and Tax-Exempt Preservation Portfolio were more subdued in light of their focus on capital conservation.

 

Looking beyond the past 12 months

The series was launched on May 18, 2012, to help investors pursue their investment goals. Each fund is a blend of individual American Funds, all with a proven track record and investment management process. They are managed by the Portfolio Oversight Committee, a team of experienced investment professionals, which meets regularly to monitor results and keep the funds aligned with their stated objectives.

 

As the funds are designed as long-term investment vehicles, it’s constructive to view their lifetime results as shown on page 3. You’ll note that all have had positive returns, with six recording double-digit gains. Please keep in mind that since the funds have been in existence about two-and-a-half years, their track record remains rather limited.

 

Moving forward

We are cautiously optimistic about the future and remain encouraged by the promising trends in the U.S. economy. While some international markets continue to face challenges, officials in several countries are taking aggressive measures to revitalize their economies. In general, it appears that the global economy is likely to keep moving forward with more tailwinds than headwinds along the way.

 

The investment professionals at American Funds will continue to identify new investment opportunities, while maintaining their careful analysis of the underlying funds’ current holdings. We are confident that our active management process, which focuses on fundamental research with a global perspective, will continue to serve the series well.

 

We thank you for placing your trust in American Funds and look forward to reporting to you again in six months’ time.

 

Cordially,

 

Bradley J. Vogt
Vice Chairman of the Board

 

 

Walter R. Burkley
President

 

December 12, 2014

 

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

 

2 American Funds Portfolio Series
 

Results at a glance

 

For periods ended October 31, 2014, with all distributions reinvested for Class A shares

 

    Cumulative
total returns
  Average annual
total returns
    1 year   Lifetime
(since 5/18/12)
         
American Funds Global Growth Portfolio     7.71 %     18.53 %
MSCI All Country World Index (ACWI)*     7.77       17.34  
Lipper Global Funds Index     7.51       18.09  
                 
American Funds Growth Portfolio     10.46       19.97  
Standard & Poor’s 500 Composite Index*     17.24       22.44  
Lipper Growth Funds Index     14.46       22.36  
                 
American Funds Growth and Income Portfolio     10.77       16.59  
Standard & Poor’s 500 Composite Index*     17.24       22.44  
Lipper Growth and Income Funds Index     11.75       18.74  
                 
American Funds Balanced Portfolio     8.94       14.29  
Standard & Poor’s 500 Composite Index*     17.24       22.44  
Lipper Balanced Funds Index     9.12       13.03  
                 
American Funds Income Portfolio     7.94       11.06  
Standard & Poor’s 500 Composite Index*     17.24       22.44  
Lipper Income Funds Index     6.52       9.14  
                 
American Funds Tax-Advantaged Income Portfolio     11.25       12.44  
Barclays Municipal Bond Index*     7.82       3.45  
Lipper Income Funds Index     6.52       9.14  
                 
American Funds Preservation Portfolio     1.44       0.86  
Barclays U.S. Government/Credit 1–7 Years ex BBB Index*     1.38       1.18  
Lipper Short-Intermediate Investment-Grade Debt Funds Index     2.01       1.99  
                 
American Funds Tax-Exempt Preservation Portfolio     4.50       2.47  
Barclays Municipal Short-Intermediate 1–10 Years Index*     3.54       2.13  
Lipper Intermediate Municipal Debt Funds Index     5.51       2.64  

 

* The market indexes are unmanaged and, therefore, have no expenses. Investors cannot invest directly in an index.
Results reflect dividends net of withholding taxes.

 

The MSCI ACWI is a free float-adjusted market capitalization-weighted index that is designed to measure results of more than 40 developed and emerging equity markets. The S&P 500 is a market capitalization-weighted index based on the average weighted results of 500 widely held common stocks.

 

Lipper Global Funds Index is an equally weighted index of funds that invest at least 25% of their portfolios in securities traded outside of the U.S. and may own U.S. securities as well. Lipper Growth Funds Index is an equally weighted index of growth funds. Lipper Growth and Income Funds Index is an equally weighted index of funds that combine a growth-of-earnings orientation and an income requirement for level and/or rising dividends. Lipper Balanced Funds Index is an equally weighted index of funds that seek to conserve principal by maintaining a balanced portfolio of both stocks and bonds. Lipper Income Funds Index is an equally weighted index of funds that normally seek a high level of current income through investing in income-producing stocks, bonds and money market instruments. Lipper Short-Intermediate Investment-Grade Debt Funds Index is an equally weighted index of funds that invest primarily in investment-grade debt issues (rated BBB/Baa and above) with dollar-weighted average maturities of one to five years. Lipper Intermediate Municipal Debt Funds Index is an equally weighted index of funds that invest in municipal debt issues with dollar-weighted average maturities of five to 10 years. Lipper indexes track the largest mutual funds (no more than 30), represented by one share class per fund, in the corresponding Lipper category.

 

Barclays Municipal Bond Index is a market-value-weighted index designed to represent the long-term investment-grade tax-exempt bond market. Barclays U.S. Government/Credit 1–7 Years ex BBB Index is a market-value-weighted index that tracks the total return results of fixed-rate, publicly placed, dollar-denominated obligations issued by the U.S. Treasury, U.S. government agencies, quasi-federal corporations, corporate or foreign debt guaranteed by the U.S. government, and U.S. corporate and foreign debentures and secured notes that meet specified maturity, liquidity and quality requirements, with maturities of one to seven years, excluding BBB-rated securities. 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.

 

American Funds Portfolio Series 3
 

The value of a $10,000 investment

(for periods ended October 31, 2014, with all distributions reinvested)

 

Fund results shown are for Class A shares and reflect deduction of the maximum sales charge on the $10,000 investment: 5.75% (for Global Growth Portfolio, Growth Portfolio, Growth and Income Portfolio, Balanced Portfolio and Income Portfolio)1; 3.75% (for Tax-Advantaged Income Portfolio)2; and 2.50% (for Preservation Portfolio and Tax-Exempt Preservation Portfolio).3

 

Global Growth Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   1.51%   15.71%

 

* Assumes reinvestment of all distributions and payment of the maximum 5.75% sales charge.

 

Growth Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   4.07%   17.11%

 

* Assumes reinvestment of all distributions and payment of the maximum 5.75% sales charge.

 

Growth and Income Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   4.38%   13.81%

 

* Assumes reinvestment of all distributions and payment of the maximum 5.75% sales charge.

 

Balanced Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   2.66%   11.56%

 

* Assumes reinvestment of all distributions and payment of the maximum 5.75% sales charge.

 

1 As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $25,000 or more and is eliminated for purchases of $1 million or more.
2 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.
3 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.
4 The index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index.
5 Results reflect dividends net of withholding taxes.

 

4 American Funds Portfolio Series
 

Thus, the net amount invested was $9,425, $9,625 and $9,750, respectively. 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.

 

Income Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   1.73%   8.41%

 

* Assumes reinvestment of all distributions and payment of the maximum 5.75% sales charge.

 

Tax-Advantaged Income Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   7.07%   10.70%

 

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

 

Preservation Portfolio

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   –1.06%   –0.19%

 

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

 

Tax-Exempt Preservation Portfolio

 

 

 

Average annual total returns6 based on a $1,000 investment

(for periods ended October 31, 2014)*

 

    1 year   Lifetime
(since 5/18/12)
         
Class A shares   1.90%   1.41%

 

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

 

6 Investment results assume all distributions are reinvested and reflect applicable fees and expenses. The portfolio series’ funds invest in Class R-6 shares of the underlying funds. The series’ investment adviser is currently waiving its management fee of 0.10%, and is reimbursing a portion of other expenses in all share classes for Tax-Exempt Preservation Portfolio. In addition, the investment adviser has in the past reimbursed certain expenses for Preservation Portfolio. Investment results shown reflect the waiver and/or reimbursements, without which the results would have been lower. The waiver and reimbursements will remain in effect at least through December 31, 2015. After that time, the adviser may elect at its discretion to extend, modify or terminate the reimbursements. The waiver may only be modified or terminated with the approval of the fund board.
   
There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares. The results shown are before taxes on fund distributions and sale of fund shares.

 

American Funds Portfolio Series 5
 

Invest in portfolios designed to pursue real-life objectives.

 

Providing choices for investors

American Funds Portfolio Series was launched in May 2012 to help investors pursue preservation, income, balance and appreciation. Each of the eight funds in the series represents a blend of individual American Funds designed to help investors meet particular investment goals.

 

Experienced management

The members of the Portfolio Oversight Committee actively monitor the series to keep the portfolios aligned with their objectives and to determine whether any changes to the underlying fund allocations are needed.

 

“With the portfolio series, what we’re really doing is answering a question we regularly receive from advisors, their clients, our friends and even our own family members: ‘Could you suggest a handful of your funds that would work well together for my needs?’ We created a spectrum of portfolios with complementary fund combinations designed to achieve specific investment objectives.”

 

 

 

Brad Vogt

27 years of investment experience*

 

* As of the series prospectus dated January 1, 2015.

 

American Funds Global Growth Portfolio

Seeks to provide long-term growth of capital by investing in funds with exposure to companies located around the world.

 

Underlying funds:

30% Capital World Growth and Income Fund®

30% New Perspective Fund®

20% New World Fund®

20% The New Economy Fund®

 

American Funds Growth Portfolio

Seeks to provide long-term growth of capital through exposure to a diverse mix of stocks of companies with strong growth potential.

 

Underlying funds:

30% AMCAP Fund®

30% Fundamental Investors®

25% EuroPacific Growth Fund®

15% SMALLCAP World Fund®

 

6 American Funds Portfolio Series
 

American Funds Growth and Income Portfolio

Seeks to help investors build assets over time through exposure to a wide range of stock investments, as well as income from dividend-paying companies and fixed-income securities.

 

Underlying funds:

25% Capital Income Builder®

20% Capital World Growth and Income Fund®

20% The Growth Fund of America®

20% The Investment Company of America®

15% Capital World Bond Fund®

 

American Funds Balanced Portfolio

Seeks to provide income and long-term growth of capital and income through a mix of global stocks and bonds that can temper the impact of volatility on an overall portfolio.

 

Underlying funds:

25% American Balanced Fund®

25% The Bond Fund of America®

20% New Perspective Fund®

15% Capital World Growth and Income Fund®

15% Washington Mutual Investors FundSM

 

American Funds Income Portfolio

With exposure to a diverse mix of stocks from dividend-paying companies and fixed-income securities, this fund seeks to provide income and long-term growth of capital.

 

Underlying funds:

20% American Mutual Fund®

20% Capital Income Builder®

20% The Income Fund of America®

20% American High-Income Trust®

20% U.S. Government Securities Fund®

 

American Funds Tax-Advantaged Income Portfolio

Through exposure to a diverse mix of municipal bonds and dividend-paying companies, this fund seeks to help investors grow their assets while also providing some tax-exempt income.

 

Underlying funds:

25% Capital World Growth and Income Fund®

25% Washington Mutual Investors FundSM

25% American High-Income Municipal Bond Fund®

25% The Tax-Exempt Bond Fund of America®

 

American Funds Preservation Portfolio

As part of a diversified investment strategy, this fund seeks to provide investors with income consistent with preservation of capital.

 

Underlying funds:

40% Intermediate Bond Fund of America®

40% Short-Term Bond Fund of America®

20% The Bond Fund of America®

 

American Funds Tax-Exempt Preservation Portfolio

As part of a diversified investment strategy, this fund seeks to provide investors with tax-exempt income consistent with preservation of capital.

 

Underlying funds:

70% Limited Term Tax-Exempt Bond Fund of America®

30% The Tax-Exempt Bond Fund of America®

 

The underlying fund allocations are as of 10/31/14. Portfolio Series funds are actively monitored, so allocations will vary over time.

 

American Funds Portfolio Series 7
 

American Funds Global Growth Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth funds 70.0%                
The New Economy Fund, Class R-6     5,770,551     $ 231,803  
New Perspective Fund, Class R-6     8,978,187       346,468  
New World Fund, Inc., Class R-6     3,883,148       230,892  
              809,163  
                 
Growth-and-income funds 30.0%                
Capital World Growth and Income Fund, Class R-6     7,340,121       346,454  
                 
Total investment securities 100.0% (cost: $1,048,486,000)             1,155,617  
Other assets less liabilities 0.0%             (412 )
                 
Net assets 100.0%           $ 1,155,205  

 

See Notes to Financial Statements

 

8 American Funds Portfolio Series
 

American Funds Growth Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth funds 70.0%            
AMCAP Fund, Class R-6     21,201,733     $ 624,815  
EuroPacific Growth Fund, Class R-6     10,654,374       520,679  
SMALLCAP World Fund, Inc., Class R-6     6,277,025       312,408  
              1,457,902  
                 
Growth-and-income funds 30.0%                
Fundamental Investors, Class R-6     11,410,064       624,815  
                 
Total investment securities 100.0% (cost: $1,870,075,000)             2,082,717  
Other assets less liabilities 0.0%             (788 )
                 
Net assets 100.0%           $ 2,081,929  

 

See Notes to Financial Statements

 

American Funds Portfolio Series 9
 

American Funds Growth and Income Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth funds 20.1%            
The Growth Fund of America, Class R-6     15,721,814     $ 735,309  
                 
Growth-and-income funds 40.1%                
Capital World Growth and Income Fund, Class R-6     15,549,353       733,930  
The Investment Company of America, Class R-6     18,065,487       735,265  
              1,469,195  
                 
Equity-income and Balanced funds 24.9%                
Capital Income Builder, Class R-6     15,005,345       911,875  
                 
Fixed income funds 14.9%                
Capital World Bond Fund, Class R-6     26,617,004       544,318  
                 
Total investment securities 100.0% (cost: $3,292,361,000)             3,660,697  
Other assets less liabilities 0.0%             (1,403 )
                 
Net assets 100.0%           $ 3,659,294  

 

See Notes to Financial Statements

 

10 American Funds Portfolio Series
 

American Funds Balanced Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth funds 20.1%            
New Perspective Fund, Class R-6     14,324,486     $ 552,782  
                 
Growth-and-income funds 30.1%                
Capital World Growth and Income Fund, Class R-6     8,800,995       415,407  
Washington Mutual Investors Fund, Class R-6     9,751,477       415,413  
              830,820  
                 
Equity-income and Balanced funds 24.9%                
American Balanced Fund, Class R-6     26,587,024       686,742  
                 
Fixed income funds 24.9%                
The Bond Fund of America, Class R-6     53,664,622       685,834  
                 
Total investment securities 100.0% (cost: $2,494,546,000)             2,756,178  
Other assets less liabilities 0.0%             (933 )
                 
Net assets 100.0%           $ 2,755,245  

 

See Notes to Financial Statements

 

American Funds Portfolio Series 11
 

American Funds Income Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth-and-income funds 20.4%            
American Mutual Fund, Class R-6     13,127,045     $ 496,990  
                 
Equity-income and Balanced funds 39.9%                
Capital Income Builder, Class R-6     8,006,389       486,548  
The Income Fund of America, Class R-6     22,368,346       487,183  
              973,731  
                 
Fixed income funds 39.7%                
American High-Income Trust, Class R-6     43,684,181       484,457  
U.S. Government Securities Fund, Class R-6     34,598,326       484,377  
              968,834  
                 
Total investment securities 100.0% (cost: $2,279,989,000)             2,439,555  
Other assets less liabilities 0.0%             (1,075 )
                 
Net assets 100.0%           $ 2,438,480  

 

Investments in affiliates

 

This holding is an affiliate of the fund under the Investment Company Act of 1940 since the fund holds 5% or more of its outstanding voting shares. Further details on this holding and related transactions during the year ended October 31, 2014, appear below.

 

    Beginning
shares
    Additions     Reductions     Ending
shares
    Dividend
income
(000)
    Value of
affiliates at
10/31/2014
(000)
 
U.S. Government Securities Fund, Class R-6     21,236,828       13,368,892       7,394       34,598,326     $ 5,597     $ 484,377  

 

See Notes to Financial Statements

 

12 American Funds Portfolio Series
 

American Funds Tax-Advantaged Income Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Growth-and-income funds 50.4%                
Capital World Growth and Income Fund, Class R-6     2,709,581     $ 127,892  
Washington Mutual Investors Fund, Class R-6     3,002,208       127,894  
              255,786  
                 
Tax-exempt fixed income funds 49.6%                
American High-Income Municipal Bond Fund, Class R-6     8,118,250       125,671  
The Tax-Exempt Bond Fund of America, Class R-6     9,606,566       125,654  
              251,325  
                 
Total investment securities 100.0% (cost: $464,835,000)             507,111  
Other assets less liabilities 0.0%             (157 )
                 
Net assets 100.0%           $ 506,954  

 

See Notes to Financial Statements

 

American Funds Portfolio Series 13
 

American Funds Preservation Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Fixed income funds 100.0%                
The Bond Fund of America, Class R-6     10,239,323     $ 130,859  
Intermediate Bond Fund of America, Class R-6     19,314,914       261,717  
Short-Term Bond Fund of America, Class R-6     26,145,563       261,717  
              654,293  
                 
Total investment securities 100.0% (cost: $657,483,000)             654,293  
Other assets less liabilities 0.0%             (319 )
                 
Net assets 100.0%           $ 653,974  

 

Investments in affiliates

 

This holding is an affiliate of the fund under the Investment Company Act of 1940 since the fund holds 5% or more of its outstanding voting shares. Further details on this holding and related transactions during the year ended October 31, 2014, appear below.

 

    Beginning
shares
    Additions     Reductions     Ending
shares
    Dividend
income
(000)
    Value of
affiliates at
10/31/2014
(000)
 
Short-Term Bond Fund of America, Class R-6     19,589,349       7,643,166       1,086,952       26,145,563     $ 1,348     $ 261,717  

 

See Notes to Financial Statements

 

14 American Funds Portfolio Series
 

American Funds Tax-Exempt Preservation Portfolio

Investment portfolio, October 31, 2014

 

 

Fund investments   Shares     Value
(000)
 
Tax-exempt fixed income funds 100.0%                
Limited Term Tax-Exempt Bond Fund of America, Class R-6     9,396,458     $ 151,565  
The Tax-Exempt Bond Fund of America, Class R-6     4,966,084       64,956  
              216,521  
                 
Total investment securities 100.0% (cost: $216,969,000)             216,521  
Other assets less liabilities 0.0%             (38 )
                 
Net assets 100.0%           $ 216,483  

 

See Notes to Financial Statements

 

American Funds Portfolio Series 15
 

Financial statements

 

Statements of assets and liabilities
at October 31, 2014

 

    Global Growth
Portfolio
    Growth
Portfolio
    Growth and Income
Portfolio
 
Assets:                        
Investment securities, at value:                        
Unaffiliated issuers   $ 1,155,617     $ 2,082,717     $ 3,660,697  
Affiliated issuers                  
Receivables for:                        
Sales of fund’s shares     1,891       4,343       6,041  
Dividends                  
Total assets     1,157,508       2,087,060       3,666,738  
                         
Liabilities:                        
Payables for:                        
Purchases of investments     1,585       3,715       4,715  
Repurchases of fund’s shares     268       619       1,310  
Services provided by related parties     439       776       1,391  
Trustees’ deferred compensation     1       2       3  
Other     10       19       25  
Total liabilities     2,303       5,131       7,444  
Net assets at October 31, 2014   $ 1,155,205     $ 2,081,929     $ 3,659,294  
                         
Net assets consist of:                        
Capital paid in on shares of beneficial interest   $ 1,029,758     $ 1,818,103     $ 3,239,472  
Undistributed (distributions in excess of) net investment income     175       (2 )     (3 )
Undistributed (accumulated) net realized gain (loss)     18,141       51,186       51,489  
Net unrealized appreciation (depreciation)     107,131       212,642       368,336  
Net assets at October 31, 2014   $ 1,155,205     $ 2,081,929     $ 3,659,294  
                         
Investment securities, at cost:                        
Unaffiliated issuers   $ 1,048,486     $ 1,870,075     $ 3,292,361  
Affiliated issuers                  

 

* Amount less than one thousand.

 

See Notes to Financial Statements

 

16 American Funds Portfolio Series
 

(dollars in thousands)

 

Balanced
Portfolio
    Income
Portfolio
    Tax-Advantaged Income
Portfolio
    Preservation
Portfolio
    Tax-Exempt Preservation
Portfolio
 
                           
$ 2,756,178     $ 1,955,178     $ 507,111     $ 392,576     $ 216,521  
        484,377             261,717        
                                     
  5,845       4,679       459       1,653       390  
  1,373       3,105       785       692       509  
  2,763,396       2,447,339       508,355       656,638       217,420  
                                     
  5,152       6,786       1,218       1,931       633  
  1,812       998       27       414       228  
  1,168       1,065       156       312       75  
  2       2       *     1       1  
  17       8             6        
  8,151       8,859       1,401       2,664       937  
$ 2,755,245     $ 2,438,480     $ 506,954     $ 653,974     $ 216,483  
                                     
$ 2,474,307     $ 2,268,485     $ 463,156     $ 658,434     $ 219,465  
  672       2,478       675       73       57  
  18,634       7,951       847       (1,343 )     (2,591 )
  261,632       159,566       42,276       (3,190 )     (448 )
$ 2,755,245     $ 2,438,480     $ 506,954     $ 653,974     $ 216,483  
                                     
$ 2,494,546     $ 1,793,730     $ 464,835     $ 394,807     $ 216,969  
        486,259             262,676        

 

American Funds Portfolio Series 17
 

Statements of assets and liabilities
at October 31, 2014

 

        Global Growth
Portfolio
    Growth
Portfolio
    Growth and Income
Portfolio
 
Shares of beneficial interest issued and outstanding
(no stated par value) — unlimited shares authorized
         
                             
Class A:   Net assets   $ 721,879     $ 1,344,999     $ 2,563,722  
    Shares outstanding     48,697       87,551       185,750  
    Net asset value per share   $ 14.82     $ 15.36     $ 13.80  
Class B:   Net assets   $ 2,337     $ 5,479     $ 9,982  
    Shares outstanding     159       361       725  
    Net asset value per share   $ 14.66     $ 15.18     $ 13.77  
Class C:   Net assets   $ 133,829     $ 259,140     $ 491,441  
    Shares outstanding     9,149       17,095       35,766  
    Net asset value per share   $ 14.63     $ 15.16     $ 13.74  
Class F-1:   Net assets   $ 38,825     $ 39,622     $ 62,628  
    Shares outstanding     2,620       2,581       4,537  
    Net asset value per share   $ 14.82     $ 15.35     $ 13.80  
Class F-2:   Net assets   $ 41,562     $ 57,453     $ 72,767  
    Shares outstanding     2,795       3,728       5,266  
    Net asset value per share   $ 14.87     $ 15.41     $ 13.82  
Class 529-A:   Net assets   $ 93,874     $ 183,691     $ 221,037  
    Shares outstanding     6,340       11,967       16,020  
    Net asset value per share   $ 14.81     $ 15.35     $ 13.80  
Class 529-B:   Net assets   $ 551     $ 1,253     $ 1,519  
    Shares outstanding     38       83       110  
    Net asset value per share   $ 14.65     $ 15.17     $ 13.77  
Class 529-C:   Net assets   $ 41,846     $ 64,951     $ 93,017  
    Shares outstanding     2,864       4,286       6,767  
    Net asset value per share   $ 14.61     $ 15.15     $ 13.74  
Class 529-E:   Net assets   $ 3,710     $ 11,223     $ 10,464  
    Shares outstanding     251       735       760  
    Net asset value per share   $ 14.75     $ 15.27     $ 13.78  
Class 529-F-1:   Net assets   $ 4,240     $ 9,678     $ 16,340  
    Shares outstanding     285       629       1,183  
    Net asset value per share   $ 14.85     $ 15.39     $ 13.81  
Class R-1:   Net assets   $ 1,524     $ 4,632     $ 6,597  
    Shares outstanding     104       305       480  
    Net asset value per share   $ 14.65     $ 15.19     $ 13.75  
Class R-2:   Net assets   $ 19,517     $ 33,879     $ 38,563  
    Shares outstanding     1,335       2,234       2,807  
    Net asset value per share   $ 14.62     $ 15.16     $ 13.74  
Class R-2E:   Net assets   $ 10     $ 10     $ 10  
    Shares outstanding     1       1       1  
    Net asset value per share   $ 14.82     $ 15.36     $ 13.80  
Class R-3:   Net assets   $ 12,759     $ 21,619     $ 27,530  
    Shares outstanding     866       1,414       1,999  
    Net asset value per share   $ 14.74     $ 15.29     $ 13.77  
Class R-4:   Net assets   $ 4,521     $ 6,831     $ 10,390  
    Shares outstanding     305       445       753  
    Net asset value per share   $ 14.82     $ 15.36     $ 13.80  
Class R-5:   Net assets   $ 1,224     $ 1,427     $ 1,390  
    Shares outstanding     82       92       100  
    Net asset value per share   $ 14.88     $ 15.42     $ 13.84  
Class R-6:   Net assets   $ 32,997     $ 36,042     $ 31,897  
    Shares outstanding     2,207       2,335       2,308  
    Net asset value per share   $ 14.95     $ 15.43     $ 13.82  

 

See Notes to Financial Statements

 

18 American Funds Portfolio Series
 

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

 

Balanced
Portfolio
    Income
Portfolio
    Tax-Advantaged Income
Portfolio
    Preservation
Portfolio
    Tax-Exempt Preservation
Portfolio
 
                           
$ 1,803,361     $ 1,766,308     $ 413,108     $ 436,348     $ 158,892  
  135,409       147,427       33,089       43,835       15,905  
$ 13.32     $ 11.98     $ 12.48     $ 9.95     $ 9.99  
$ 7,308     $ 6,157     $ 295     $ 1,704     $ 67  
  550       515       24       171       7  
$ 13.29     $ 11.96     $ 12.47     $ 9.95     $ 10.00  
$ 415,782     $ 381,221     $ 60,159     $ 93,475     $ 41,994  
  31,357       31,948       4,840       9,401       4,209  
$ 13.26     $ 11.93     $ 12.43     $ 9.94     $ 9.98  
$ 61,816     $ 61,766     $ 15,478     $ 8,858     $ 4,385  
  4,642       5,153       1,240       890       439  
$ 13.32     $ 11.99     $ 12.48     $ 9.96     $ 9.99  
$ 63,838     $ 59,292     $ 17,914     $ 12,087     $ 11,145  
  4,787       4,943       1,433       1,214       1,116  
$ 13.33     $ 12.00     $ 12.50     $ 9.95     $ 9.99  
$ 143,954     $ 61,951             $ 43,571          
  10,811       5,172               4,378          
$ 13.32     $ 11.98             $ 9.95          
$ 908     $ 693             $ 384          
  68       58               39          
$ 13.29     $ 11.96             $ 9.96          
$ 74,801     $ 40,277             $ 22,323          
  5,638       3,375               2,244          
$ 13.27     $ 11.93             $ 9.95          
$ 5,229     $ 4,837             $ 2,341          
  393       404               235          
$ 13.30     $ 11.97             $ 9.95          
$ 12,340     $ 4,461             $ 7,740          
  926       372               778          
$ 13.33     $ 11.99             $ 9.95          
$ 7,200     $ 1,593             $ 720          
  542       133               72          
$ 13.27     $ 11.94             $ 9.95          
$ 35,500     $ 14,843             $ 7,544          
  2,676       1,243               759          
$ 13.27     $ 11.94             $ 9.94          
$ 10     $ 10             $ 10          
  1       1               1          
$ 13.31     $ 11.98             $ 9.96          
$ 35,338     $ 11,240             $ 7,397          
  2,657       939               743          
$ 13.30     $ 11.97             $ 9.95          
$ 40,158     $ 9,837             $ 2,905          
  3,015       821               292          
$ 13.32     $ 11.99             $ 9.96          
$ 8,788     $ 2,074             $ 518          
  659       173               52          
$ 13.34     $ 12.00             $ 9.96          
$ 38,914     $ 11,920             $ 6,049          
  2,918       994               608          
$ 13.34     $ 12.00             $ 9.96          

 

American Funds Portfolio Series 19
 

Statements of operations
for the year ended October 31, 2014

 

    Global Growth     Growth     Growth and Income  
    Portfolio     Portfolio     Portfolio  
Investment income:                        
Income:                        
Dividends:                        
Unaffiliated issuers   $ 11,610     $ 12,335     $ 67,852  
Affiliated issuers                  
      11,610       12,335       67,852  
                         
Fees and expenses*:                        
Investment advisory services     897       1,560       2,831  
Distribution services     2,879       5,053       9,449  
Transfer agent services     891       1,554       2,783  
Reports to shareholders     44       77       139  
Registration statement and prospectus     289       364       486  
Trustees’ compensation     5       8       15  
Auditing and legal     8       13       23  
Custodian     13       13       13  
Other     104       199       269  
Total fees and expenses before reimbursements/waivers     5,130       8,841       16,008  
Less reimbursements/waivers of fees and expenses:                        
Investment advisory services     897       1,560       2,831  
Other                  
Total fees and expenses after reimbursements/waivers     4,233       7,281       13,177  
Net investment income     7,377       5,054       54,675  
                         
Net realized gain (loss) and unrealized appreciation on investments:                        
Net realized loss on sale of investments:                        
Unaffiliated issuers     (39 )     (1 )      
Affiliated issuers                  
Capital gain distributions received     18,725       54,687       54,900  
Net realized gain (loss) on investments     18,686       54,686       54,900  
Net unrealized appreciation on investments     32,399       79,139       170,545  
Net realized gain (loss) and unrealized appreciation on investments     51,085       133,825       225,445  
                         
Net increase in net assets resulting from operations   $ 58,462     $ 138,879     $ 280,120  

 

* Additional information related to class-specific fees and expenses is included in the Notes to Financial Statements.

 

See Notes to Financial Statements

 

20 American Funds Portfolio Series
 

(dollars in thousands)

 

Balanced     Income     Tax-Advantaged Income     Preservation     Tax-Exempt Preservation  
Portfolio     Portfolio     Portfolio     Portfolio     Portfolio  
                           
$ 42,633     $ 62,963     $ 12,123     $ 6,263     $ 5,515  
        5,597             1,348        
  42,633       68,560       12,123       7,611       5,515  
                                     
  2,137       1,940       369       541       182  
  7,555       7,068       1,367       2,090       780  
  2,111       1,887       349       528       170  
  105       95       18       28       9  
  413       390       124       242       97  
  12       11       2       3       1  
  18       16       3       4       1  
  13       13       13       13       13  
  187       95       2       65       1  
                                     
  12,551       11,515       2,247       3,514       1,254  
                                     
  2,137       1,940       369       541       182  
                    39       35  
                                     
  10,414       9,575       1,878       2,934       1,037  
  32,219       58,985       10,245       4,677       4,478  
                                     
  (29 )           (243 )     (322 )     (825 )
        (5 )           (97 )      
  20,567       9,256       1,381              
  20,538       9,251       1,138       (419 )     (825 )
  120,541       77,104       26,975       2,556       4,001  
                                     
  141,079       86,355       28,113       2,137       3,176  
$ 173,298     $ 145,340     $ 38,358     $ 6,814     $ 7,654  

 

American Funds Portfolio Series 21
 

Statements of changes in net assets

 

    Global Growth
Portfolio
    Growth
Portfolio
    Growth and Income
Portfolio
 
    Year ended October 31     Year ended October 31     Year ended October 31  
    2014     2013     2014     2013     2014     2013  
Operations:                                                
Net investment income   $ 7,377     $ 2,323     $ 5,054     $ 2,879     $ 54,675     $ 23,458  
Net realized gain (loss) on investments     18,686       786       54,686       3,333       54,900       2,674  
Net unrealized appreciation (depreciation) on investments     32,399       69,290       79,139       126,286       170,545       187,635  
Net increase (decrease) in net assets resulting from operations     58,462       72,399       138,879       132,498       280,120       213,767  
                                                 
Dividends and distributions paid to shareholders:                                                
Dividends from net investment income     (6,949 )     (1,568 )     (5,546 )     (2,296 )     (55,311 )     (22,744 )
Distributions from net realized gain on investments     (676 )     (57 )     (3,125 )           (2,049 )      
Total dividends and distributions paid to shareholders     (7,625 )     (1,625 )     (8,671 )     (2,296 )     (57,360 )     (22,744 )
                                                 
Net capital share transactions     516,928       428,990       958,321       691,573       1,468,849       1,353,734  
                                                 
Total increase in net assets     567,765       499,764       1,088,529       821,775       1,691,609       1,544,757  
                                                 
Net assets:                                                
Beginning of year     587,440       87,676       993,400       171,625       1,967,685       422,928  
End of year   $ 1,155,205     $ 587,440     $ 2,081,929     $ 993,400     $ 3,659,294     $ 1,967,685  
                                                 
Undistributed (distributions in excess of) net investment income   $ 175     $ 891     $ (2 )   $ 665     $ (3 )   $ 1,508  

 

See Notes to Financial Statements

 

22 American Funds Portfolio Series
 

(dollars in thousands)

 

Balanced     Income     Tax-Advantaged Income     Preservation     Tax-Exempt Preservation  
Portfolio     Portfolio     Portfolio     Portfolio     Portfolio  
Year ended October 31     Year ended October 31     Year ended October 31     Year ended October 31     Year ended October 31  
2014     2013     2014     2013     2014     2013     2014     2013     2014     2013  
                                                         
$ 32,219     $ 15,046     $ 58,985     $ 30,429     $ 10,245     $ 5,210     $ 4,677     $ 4,210     $ 4,478     $ 4,347  
  20,538       (6 )     9,251       2,784       1,138       (52 )     (419 )     (922 )     (825 )     (1,759 )
                                                                             
  120,541       132,399       77,104       76,562       26,975       12,560       2,556       (6,315 )     4,001       (5,164 )
                                                                             
  173,298       147,439       145,340       109,775       38,358       17,718       6,814       (3,027 )     7,654       (2,576 )
                                                                             
  (32,444 )     (14,398 )     (58,769 )     (30,515 )     (10,112 )     (4,843 )     (4,684 )     (4,213 )     (4,476 )     (4,352 )
              (832 )                 (51 )                        
                                                                             
  (32,444 )     (14,398 )     (59,601 )     (30,515 )     (10,112 )     (4,894 )     (4,684 )     (4,213 )     (4,476 )     (4,352 )
  1,098,483       1,024,039       880,476       965,081       214,424       173,334       162,427       255,789       38,796       66,660  
  1,239,337       1,157,080       966,215       1,044,341       242,670       186,158       164,557       248,549       41,974       59,732  
                                                                             
  1,515,908       358,828       1,472,265       427,924       264,284       78,126       489,417       240,868       174,509       114,777  
$ 2,755,245     $ 1,515,908     $ 2,438,480     $ 1,472,265     $ 506,954     $ 264,284     $ 653,974     $ 489,417     $ 216,483     $ 174,509  
                                                                             
$ 672     $ 927     $ 2,478     $ 2,262     $ 675     $ 543     $ 73     $ 80     $ 57     $ 55  

 

American Funds Portfolio Series 23
 

Notes to financial statements

 

1. Organization

 

American Funds Portfolio Series (the “series”) is registered under the Investment Company Act of 1940 as an open-end, diversified management investment company. The series consists of eight funds (the “funds”). The assets of each fund are segregated, with each fund accounted for separately. The funds’ investment objectives are as follows:

 

American Funds Global Growth Portfolio   Seeks long-term growth of capital.
American Funds Growth Portfolio   Seeks long-term growth of capital.
American Funds Growth and Income Portfolio   Seeks long-term growth of capital while providing current income.
American Funds Balanced Portfolio   Seeks current income and long-term growth of capital and income.
American Funds Income Portfolio   Seeks current income and, secondarily, long-term growth of capital.
American Funds Tax-Advantaged Income Portfolio   Seeks current income, a portion of which is exempt from regular federal income tax, while secondarily striving for long-term growth of capital.
American Funds Preservation Portfolio   Seeks current income, consistent with the preservation of capital.
American Funds Tax-Exempt Preservation Portfolio   Seeks current income that is exempt from regular federal income tax, consistent with preservation of capital.

 

Each fund will attempt to achieve its investment objectives by investing in a mix of American Funds (the “underlying funds”) in different combinations and weightings. Capital Research and Management Company (“CRMC”), the series’ investment adviser, is also the investment adviser to the underlying funds.

 

The Global Growth Portfolio, Growth Portfolio, Growth and Income Portfolio, Balanced Portfolio, Income Portfolio and Preservation Portfolio each have 17 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), five 529 college savings plan share classes (Classes 529-A, 529-B, 529-C, 529-E and 529-F-1) and seven retirement plan share classes (Classes R-1, R-2, R-2E, R-3, R-4, R-5 and R-6). The 529 college savings plan share classes can be used to save for college education. The retirement plan share classes are generally offered only through eligible employer-sponsored retirement plans. The Tax-Advantaged Income Portfolio and Tax-Exempt Preservation Portfolio each have five retail share classes (Classes A, B and C, as well as two F share classes, F-1 and F-2). The funds’ share classes are further described below:

 

Share class   Initial sales charge   Contingent deferred sales charge
upon redemption
  Conversion feature
Classes A and 529-A   Up to 2.50% for Preservation Portfolio and Tax-Exempt Preservation Portfolio; up to 3.75% for Tax-Advantaged Income Portfolio; up to 5.75% for all other funds   None (except 1% for certain redemptions within one year of purchase without an initial sales charge)   None
Classes B and 529-B*   None   Declines from 5% to 0% for redemptions within six years of purchase   Classes B and 529-B convert to Classes A and 529-A, respectively, after eight years
Class C   None   1% for redemptions within one year of purchase   Class C converts to Class F-1 after 10 years
Class 529-C   None   1% for redemptions within one year of purchase   None
Class 529-E   None   None   None
Classes F-1, F-2 and 529-F-1   None   None   None
Classes R-1, R-2, R-2E, R-3, R-4, R-5 and R-6   None   None   None
* Class B and 529-B shares of the funds are not available for purchase.

 

On August 29, 2014, Global Growth Portfolio, Growth Portfolio, Growth and Income Portfolio, Balanced Portfolio, Income Portfolio and Preservation Portfolio each made an additional retirement plan share class (Class R-2E) available for sale pursuant to an amendment to the series’ registration statement filed with the U.S. Securities and Exchange Commission. Refer to the series prospectus for more details.

 

24 American Funds Portfolio Series
 

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, administrative and shareholder 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.

 

2. Significant accounting policies

 

Each fund in the series 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 accounting principles generally accepted in the United States of America. These principles require the series’ investment adviser to make estimates and assumptions that affect reported amounts and disclosures. Actual results could differ from those estimates. The funds follow the significant accounting policies described below, 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. Realized gains and losses from security transactions are determined based on the specific identified cost of the securities. Dividend income is recognized on the ex-dividend date and interest income is recognized on an accrual basis.

 

Fees and expenses — The fees and expenses of the underlying funds are not included in the fees and expenses reported for each of the funds; however, they are indirectly reflected in the valuation of each of the underlying funds. These fees are included in the net effective expense ratios that are provided as supplementary information in the Financial Highlights tables on pages 44 to 57.

 

Class allocations — Income, fees and expenses (other than class-specific fees and expenses) and 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, administrative and shareholder services, are charged directly to the respective share class of each fund.

 

Dividends and distributions to shareholders — Dividends and distributions to shareholders are recorded on each fund’s ex-dividend date.

 

3. Valuation

 

Security valuation — The net asset value of each share class of each fund is calculated based on the reported net asset values of the underlying funds in which each fund invests. The net asset value of each underlying fund is calculated based on the policies and procedures of the underlying fund contained in each underlying fund’s statement of additional information. Generally, the funds and the underlying funds determine the net asset value of each share class as of approximately 4:00 p.m. New York time each day the New York Stock Exchange is open.

 

Processes and structure — The series’ board of trustees has delegated authority to the series’ 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 board of trustees with supplemental information to support the changes. The series’ board and audit committee also regularly review reports that describe fair value determinations and methods. 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 series’ investment adviser classifies each fund’s assets and liabilities into three levels based on the method 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. 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. At October 31, 2014, all of the investment securities held by each fund were classified as Level 1.

 

American Funds Portfolio Series 25
 

4. Risk factors

 

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

 

Allocation risk — Investments in the fund are subject to risks related to the investment adviser’s allocation choices. The selection of the underlying funds and the allocation of the fund’s assets could cause the fund to lose value or its results to lag relevant benchmarks or other funds with similar objectives.

 

Fund structure — The fund invests in underlying funds and incurs expenses related to the underlying funds. In addition, investors in the fund will incur fees to pay for certain expenses related to the operations of the fund. An investor holding the underlying funds directly and in the same proportions as the fund would incur lower overall expenses but would not receive the benefit of the portfolio management and other services provided by the fund.

 

Underlying fund risks — Because the fund’s investments consist of underlying funds, the fund’s risks are directly related to the risks of the underlying funds. For this reason, it is important to understand the risks associated with investing in the underlying funds.

 

Market conditions — The prices of, and the income generated by, the common stocks, bonds and other securities held by the underlying 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, interest rate and commodity price fluctuations.

 

Issuer risks — The prices of, and the income generated by, securities held by the underlying funds may also 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 stocks — Investing in stocks may involve larger price swings and greater potential for loss than other types of investments. As a result, the value of the underlying funds may be subject to sharp, short-term declines in value. Income provided by an underlying fund may be reduced by changes in the dividend policies of, and the capital resources available at, the companies in which the underlying fund invests.

 

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

 

Rising interest rates will generally cause the prices of bonds and other debt securities to fall. Falling interest rates may cause an issuer to redeem, call or refinance a debt security before its stated maturity, which may result in the fund having to reinvest the proceeds in lower yielding securities. Longer maturity debt securities generally have greater sensitivity to changes in interest rates and may be subject to greater price fluctuations than shorter maturity debt securities.

 

Bonds and other debt securities are also subject to credit risk, which is the possibility that the credit strength of an issuer 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. Credit risk is gauged, in part, by the credit ratings of the debt securities in which the underlying fund invests. However, ratings are only the opinions of the rating agencies issuing them and are not guarantees as to credit quality or an evaluation of market risk. The fund’s investment adviser relies on its own credit analysts to research issuers and issues in seeking to mitigate various credit and default risks.

 

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 lower quality, higher yielding debt securities rated Ba1 or below and BB+ or below by Nationally Recognized Statistical Rating Organizations designated by the fund’s investment adviser or unrated but determined by the investment adviser to be of equivalent quality, which securities are sometimes referred to as “junk bonds.”

 

26 American Funds Portfolio Series
 

Investing in small companies — Investing in smaller companies may pose additional risks. For example, it is often more difficult to value or dispose of small company stocks and more difficult to obtain information about smaller companies than about larger companies. Furthermore, smaller companies often have limited product lines, operating histories, markets and/or financial resources, may be dependent on one or a few key persons for management, and can be more susceptible to losses. Moreover, the prices of their stocks may be more volatile than stocks of larger, more established companies.

 

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

 

Investing in emerging markets — Investing in emerging markets may involve risks in addition to and greater than those generally associated with investing in the securities markets of developed countries. For instance, developing countries may have less developed legal and accounting systems than those in developed countries. The governments of these countries may be less stable and more likely to impose capital controls, nationalize a company or industry, place restrictions on foreign ownership and on withdrawing sale proceeds of securities from the country, and/or impose punitive taxes that could adversely affect the prices of securities. In addition, the economies of these countries may be dependent on relatively few industries that are more susceptible to local and global changes. Securities markets in these countries can also be relatively small and have substantially lower trading volumes. As a result, securities issued in these countries may be more volatile and less liquid, and may be more difficult to value, than securities issued in countries with more developed economies and/or markets. Less certainty with respect to security valuations may lead to additional challenges and risks in calculating the fund’s net asset value. Additionally, there may be increased settlement risks for transactions in local securities.

 

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

 

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

 

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 underlying fund could cause the values of these securities to decline.

 

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 an underlying fund more susceptible to certain economic, political or regulatory occurrences. As a result, the potential for fluctuations in the underlying fund’s share price may increase.

 

Management — The investment adviser to the fund and to the underlying funds actively manages each underlying fund’s investments. Consequently, the underlying 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 an underlying fund to lose value or its investment results to lag relevant benchmarks or other funds with similar objectives.

 

American Funds Portfolio Series 27
 

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 each intends to distribute substantially all of its net income and net capital gains each year. The funds are not subject to income taxes to the extent taxable income and net capital gains are distributed.

 

As of and during the period ended October 31, 2014, none of the funds had a liability for any unrecognized tax benefits. Each fund recognizes interest and penalties, if any, related to unrecognized tax benefits as income tax expense in the statements of operations. During the period, none of the funds incurred any significant interest or penalties.

 

The series is not subject to examination by U.S. federal and state tax authorities for tax years before 2012, the year the series commenced operations.

 

Distributions — Distributions paid to shareholders are based on 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 within 30 days of purchase; deferred expenses; cost of investments sold; and net capital losses. The fiscal year in which amounts are distributed may differ from the year in which the net investment income and net realized gains are recorded by the funds for financial reporting purposes. The funds may also designate a portion of the amount paid to redeeming shareholders as a distributions for tax purposes.

 

As of October 31, 2014, the tax basis components of distributable earnings, unrealized appreciation (depreciation) and cost of investment securities for each fund were as follows (dollars in thousands):

 

    Global
Growth
Portfolio
    Growth
Portfolio
    Growth and
Income
Portfolio
    Balanced
 Portfolio
 
Undistributed ordinary income   $ 176     $     $     $ 675  
Undistributed long-term capital gain     18,285       51,378       51,582       18,765  
Gross unrealized appreciation on investment securities     106,987       212,450       375,033       261,501  
Gross unrealized depreciation on investment securities                 (6,789 )      
Net unrealized appreciation (depreciation) on investment securities     106,987       212,450       368,244       261,501  
Cost of investment securities     1,048,630       1,870,267       3,292,453       2,494,677  
Reclassification to undistributed (distributions in excess) of net investment income from undistributed (accumulated) net realized gain (loss)     450       52       10        
Reclassification to capital paid in on shares of beneficial interest from undistributed (distributions in excess) of net investment income     1,594       227       885       30  
Reclassification to capital paid in on shares of beneficial interest from undistributed (accumulated) net realized gain (loss)           3,309       3,319       1,802  
                         
    Income
Portfolio
    Tax-Advantaged
Income
Portfolio
    Preservation
Portfolio
    Tax-Exempt
Preservation
Portfolio
 
Undistributed ordinary income   $ 2,479     $ 269     $ 75     $  
Undistributed tax-exempt income           406             57  
Undistributed long-term capital gain     8,055       1,250              
Capital loss carryforward                 (14 )     (1,563 )
Gross unrealized appreciation on investment securities     171,720       41,873              
Gross unrealized depreciation on investment securities     (12,258 )           (4,518 )     (1,478 )
Net unrealized appreciation (depreciation) on investment securities     159,462       41,873       (4,518 )     (1,478 )
Cost of investment securities     2,280,093       465,238       658,811       217,999  
Reclassification to undistributed (distributions in excess) of net investment income from undistributed (accumulated) net realized gain (loss)     9                    
Reclassification to capital paid in on shares of beneficial interest from undistributed (distributions in excess) of net investment income     9       1              
Reclassification to capital paid in on shares of beneficial interest from undistributed (accumulated) net realized gain (loss)     1,201       149              

 

28 American Funds Portfolio Series
 

The tax character of distributions paid to shareholders was as follows (dollars in thousands):

 

Global Growth Portfolio

 

    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 4,658     $ 429     $ 5,087   $ 1,014     $     $ 1,014  
Class B     10       2       12     5             5  
Class C     509       74       583     127             127  
Class F-1     285       26       311     31             31  
Class F-2     276       22       298     43             43  
Class 529-A     576       54       630     174             174  
Class 529-B     3       1       4     2             2  
Class 529-C     114       19       133     34             34  
Class 529-E     16       2       18     3             3  
Class 529-F-1     17       1       18     7             7  
Class R-1     6       1       7     2             2  
Class R-2     68       9       77     10             10  
Class R-2E1                                        
Class R-3     69       8       77     9             9  
Class R-4     20       2       22     9             9  
Class R-5     264       21       285     155             155  
Class R-6     58       5       63     2           2
Total   $ 6,949     $ 676     $ 7,625   $ 1,625     $     $ 1,625  
                                   
Growth Portfolio                                  
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 4,140     $ 2,016     $ 6,156   $ 1,500     $     $ 1,500  
Class B           14       14     13             13  
Class C     191       358       549     168             168  
Class F-1     122       62       184     49             49  
Class F-2     230       94       324     38             38  
Class 529-A     551       285       836     278             278  
Class 529-B           3       3     3             3  
Class 529-C     2       107       109     79             79  
Class 529-E     20       15       35     13             13  
Class 529-F-1     34       15       49     14             14  
Class R-1           7       7     10             10  
Class R-2     30       45       75     19             19  
Class R-2E1                                        
Class R-3     31       28       59     6             6  
Class R-4     15       7       22     6             6  
Class R-5     147       57       204     99             99  
Class R-6     33       12       45     1             1  
Total   $ 5,546     $ 3,125     $ 8,671   $ 2,296     $     $ 2,296  

 

See page 32 for footnotes.

 

American Funds Portfolio Series 29
 
Growth and Income Portfolio                        
                         
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 41,550     $ 1,445     $ 42,995   $ 17,103     $     $ 17,103  
Class B     136       9       145     103             103  
Class C     4,938       254       5,192     1,753             1,753  
Class F-1     983       34       1,017     348             348  
Class F-2     1,140       34       1,174     342             342  
Class 529-A     3,587       134       3,721     1,725             1,725  
Class 529-B     18       1       19     15             15  
Class 529-C     947       57       1,004     478             478  
Class 529-E     159       7       166     68             68  
Class 529-F-1     293       10       303     115             115  
Class R-1     73       4       77     41             41  
Class R-2     376       20       396     116             116  
Class R-2E1     2           2                      
Class R-3     351       14       365     131             131  
Class R-4     146       5       151     20             20  
Class R-5     289       19       308     376             376  
Class R-6     325       2       327     10             10  
Total   $ 55,311     $ 2,049     $ 57,360   $ 22,744     $     $ 22,744  
                                               
Balanced Portfolio                                  
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 23,394     $     $ 23,394   $ 10,395     $     $ 10,395  
Class B     66             66     51             51  
Class C     2,850             2,850     1,123             1,123  
Class F-1     876             876     335             335  
Class F-2     814             814     321             321  
Class 529-A     1,831             1,831     1,071             1,071  
Class 529-B     8             8     7             7  
Class 529-C     507             507     265             265  
Class 529-E     55             55     33             33  
Class 529-F-1     200             200     95             95  
Class R-1     52             52     31             31  
Class R-2     223             223     85             85  
Class R-2E1     2           2                      
Class R-3     343             343     156             156  
Class R-4     530             530     133             133  
Class R-5     240             240     188             188  
Class R-6     455             455     109             109  
Total   $ 32,444     $     $ 32,444   $ 14,398     $     $ 14,398  

 

30 American Funds Portfolio Series
 
Income Portfolio                                  
                                   
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 44,418     $ 603     $ 45,021   $ 22,756     $     $ 22,756  
Class B     148       3       151     119             119  
Class C     7,219       123       7,342     3,636             3,636  
Class F-1     1,627       24       1,651     1,015             1,015  
Class F-2     1,490       19       1,509     767             767  
Class 529-A     1,559       22       1,581     886             886  
Class 529-B     17       2     17     13             13  
Class 529-C     818       16       834     511             511  
Class 529-E     105       1       106     65             65  
Class 529-F-1     114       1       115     59             59  
Class R-1     28       1       29     14             14  
Class R-2     297       5       302     149             149  
Class R-2E1     2           2                      
Class R-3     269       4       273     133             133  
Class R-4     234       4       238     137             137  
Class R-5     198       5       203     234             234  
Class R-6     228       1       229     21             21  
Total   $ 58,769     $ 832     $ 59,601   $ 30,515     $     $ 30,515  
                                               
Tax-Advantaged Income Portfolio                                  
                                   
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income3     gains     paid   income     gains     paid  
Class A   $ 8,495     $     $ 8,495   $ 4,230     $     $ 4,230  
Class B     7             7     4             4  
Class C     924             924     367             367  
Class F-1     379             379     182             182  
Class F-2     307             307     111             111  
Total   $ 10,112     $     $ 10,112   $ 4,894     $     $ 4,894  

 

See page 32 for footnotes.

 

American Funds Portfolio Series 31
 
Preservation Portfolio                        
                         
    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income     gains     paid   income     gains     paid  
Class A   $ 3,681     $     $ 3,681   $ 3,296     $     $ 3,296  
Class B     5             5     9             9  
Class C     202             202     224             224  
Class F-1     66             66     75             75  
Class F-2     98             98     80             80  
Class 529-A     360             360     303             303  
Class 529-B     1             1     1             1  
Class 529-C     36             36     43             43  
Class 529-E     16             16     17             17  
Class 529-F-1     75             75     39             39  
Class R-1     1             1     3             3  
Class R-2     14             14     16             16  
Class R-2E1     2           2                      
Class R-3     37             37     30             30  
Class R-4     24             24     17             17  
Class R-5     35             35     56             56  
Class R-6     33             33     4             4  
Total   $ 4,684     $     $ 4,684   $ 4,213     $     $ 4,213  
                                               
Tax-Exempt Preservation Portfolio                                  

 

    Year ended October 31, 2014   Year ended October 31, 2013  
                Total               Total  
          Long-term     dividends and         Long-term     dividends and  
    Ordinary     capital     distributions   Ordinary     capital     distributions  
Share class   income3     gains     paid   income     gains     paid  
Class A   $ 3,417     $     $ 3,417   $ 3,108     $     $ 3,108  
Class B     1             1     2             2  
Class C     711             711     699             699  
Class F-1     108             108     211             211  
Class F-2     239             239     332             332  
Total   $ 4,476     $     $ 4,476   $ 4,352     $     $ 4,352  

 

1 Class R-2E shares were offered beginning August 29, 2014.
2 Amount less than one thousand.
3 Ordinary income may include both taxable and tax-exempt income.

 

6. Fees and transactions with related parties

 

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

 

Investment advisory services — The series has an investment advisory and service agreement with CRMC that provides for monthly fees, accrued daily. These fees are based on an annual rate of 0.10% of daily net assets. CRMC is currently waiving these fees. This waiver can only be modified or terminated with the approval of the series’ board of trustees. Investment advisory services fees are presented in the statements of operations gross of the waiver from CRMC. CRMC receives fees from the underlying funds for investment advisory services. These fees are included in the net effective expense ratios that are provided as supplementary information in the Financial Highlights tables on pages 44 to 57.

 

Other reimbursements — CRMC has agreed to reimburse a portion of the fees and expenses of Preservation Portfolio and Tax-Exempt Preservation Portfolio during their startup period. At its discretion, the adviser may elect to extend, modify or terminate the reimbursements. Fees and expenses in the statements of operations are presented gross of the reimbursement from CRMC. The amounts reimbursed by CRMC are reflected as other reimbursements.

 

32 American Funds Portfolio Series
 

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

 

Distribution services — The series has plans of distribution for all share classes, except Class F-2, R-5 and R-6 shares. Under the plans, the 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, ranging from 0.30% to 1.00% as noted in this section. In some cases, the board of trustees has limited the amounts that may be paid to less than the maximum allowed by the plans. All share classes with a plan may use up to 0.25% 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.

 

Share class   Currently approved limits   Plan limits
Class A     0.30 %     0.30 %
Class 529-A     0.30       0.50  
Classes B and 529-B     1.00       1.00  
Classes C, 529-C and R-1     1.00       1.00  
Class R-2     0.75       1.00  
Class R-2E     0.60       0.85  
Classes 529-E and R-3     0.50       0.75  
Classes F-1, 529-F-1 and R-4     0.25       0.50  

 

For Class A and 529-A shares, distribution-related expenses include the reimbursement of dealer and wholesaler commissions paid by AFD for certain shares sold without a sales charge. These share classes reimburse AFD for amounts billed within the prior 15 months but only to the extent that the overall annual expense limit of 0.30% is not exceeded. As of October 31, 2014, unreimbursed expenses subject to reimbursement for the funds’ Class A and 529-A shares were as follows (dollars in thousands):

 

    Class A     Class 529-A  
Global Growth Portfolio     $—       $—  
Growth Portfolio            
Growth and Income Portfolio            
Balanced Portfolio            
Income Portfolio            
Tax-Advantaged Income Portfolio     31       Not applicable  
Preservation Portfolio            
Tax-Exempt Preservation Portfolio     287       Not applicable  

 

Transfer agent services — The series has a shareholder services agreement with AFS under which the funds compensate AFS for providing transfer agent services to all of the funds’ share classes. These services include recordkeeping, shareholder communications and transaction processing. In addition, the funds reimburse AFS for amounts paid to third parties for performing transfer agent services on behalf of fund shareholders.
   
  Administrative services — The series has an administrative services agreement with CRMC for providing administrative services to all of the funds’ share classes. These services include, but are not limited to, coordinating, monitoring, assisting and overseeing third parties that provide services to fund shareholders. CRMC receives administrative services fees of 0.05% of average daily net assets from the Class R-6 shares of the underlying funds for administrative services provided to the series.
   
  529 plan services — For funds with 529 share classes, each 529 share class is subject to service fees to compensate the Virginia College Savings Plan (“Virginia529”) for its oversight and administration of the 529 college savings plan. During the period November 1, 2013, to March 31, 2014, the quarterly fee was based on a series of decreasing annual rates beginning with 0.10% on the first $30 billion of the net assets invested in Class 529 shares of the American Funds and decreasing to 0.06% on such assets between $120 billion and $150 billion. Effective April 1, 2014, the quarterly fee was amended to provide for reduced annual rates of 0.07%, 0.06% and 0.05% over $30 billion, $50 billion and $70 billion, respectively, of the net assets invested in Class 529 shares of the American Funds. The fee for any given calendar quarter is accrued and calculated on the basis of the average net assets of Class 529 shares of the American Funds for the last month of the prior calendar quarter. The fee is included in other expenses on the accompanying financial statements. Virginia529 is not considered a related party to the series.

 

American Funds Portfolio Series 33
 
Class-specific expenses under the agreements described in this section for the year ended October 31, 2014, were as follows (dollars in thousands):

 

Global Growth Portfolio

 

Share class   Distribution
services
    Transfer agent
services
    529 plan
services
Class A   $1,141     $537     Not applicable
Class B   23     2     Not applicable
Class C   1,016     97     Not applicable
Class F-1   84     39     Not applicable
Class F-2   Not applicable     32     Not applicable
Class 529-A   134     68     $67
Class 529-B   6     1     1
Class 529-C   292     27     27
Class 529-E   13     1     2
Class 529-F-1       2     2
Class R-1   12     1     Not applicable
Class R-2   103     56     Not applicable
Class R-2E*         Not applicable
Class R-3   48     17     Not applicable
Class R-4   7     3     Not applicable
Class R-5   Not applicable     7     Not applicable
Class R-6   Not applicable     1     Not applicable
Total class-specific expenses   $2,879     $891     $99

 

Growth Portfolio

 

Share class   Distribution
services
  Transfer agent
services
  529 plan
services
Class A   $1,922     $956     Not applicable
Class B   54     5     Not applicable
Class C   1,887     179     Not applicable
Class F-1   73     33     Not applicable
Class F-2   Not applicable     48     Not applicable
Class 529-A   244     130     $129
Class 529-B   11     1     1
Class 529-C   511     47     47
Class 529-E   40     5     8
Class 529-F-1       6     6
Class R-1   37     4     Not applicable
Class R-2   186     101     Not applicable
Class R-2E*         Not applicable
Class R-3   77     27     Not applicable
Class R-4   11     4     Not applicable
Class R-5   Not applicable     7     Not applicable
Class R-6   Not applicable     1     Not applicable
Total class-specific expenses   $5,053     $1,554     $191

 

Growth and Income Portfolio

 

Share class   Distribution
services
  Transfer agent
services
  529 plan
services
Class A   $3,999     $1,889     Not applicable
Class B   102     11     Not applicable
Class C   3,667     349     Not applicable
Class F-1   122     56     Not applicable
Class F-2   Not applicable     53     Not applicable
Class 529-A   356     166     $165
Class 529-B   15     1     1
Class 529-C   754     69     70
Class 529-E   44     5     8
Class 529-F-1       11     12
Class R-1   55     6     Not applicable
Class R-2   214     117     Not applicable
Class R-2E*         Not applicable
Class R-3   103     37     Not applicable
Class R-4   18     7     Not applicable
Class R-5   Not applicable     6     Not applicable
Class R-6   Not applicable       Not applicable
Total class-specific expenses   $9,449     $2,783     $256

 

Balanced Portfolio

 

Share class   Distribution
services
  Transfer agent
services
  529 plan
services
Class A   $2,922     $1,327     Not applicable
Class B   73     8     Not applicable
Class C   3,083     292     Not applicable
Class F-1   136     63     Not applicable
Class F-2   Not applicable     46     Not applicable
Class 529-A   239     107     $107
Class 529-B   9     1     1
Class 529-C   605     55     56
Class 529-E   21     2     4
Class 529-F-1       9     10
Class R-1   55     6     Not applicable
Class R-2   196     106     Not applicable
Class R-2E*         Not applicable
Class R-3   133     48     Not applicable
Class R-4   83     33     Not applicable
Class R-5   Not applicable     6     Not applicable
Class R-6   Not applicable     2     Not applicable
Total class-specific expenses   $7,555     $2,111     $178

 

34 American Funds Portfolio Series
 

Income Portfolio

 

Share class   Distribution
services
  Transfer agent
services
  529 plan
services
Class A   $3,258     $1,329     Not applicable
Class B   63     7     Not applicable
Class C   2,953     280     Not applicable
Class F-1   131     60     Not applicable
Class F-2   Not applicable     46     Not applicable
Class 529-A   112     47     $47
Class 529-B   7     1     1
Class 529-C   354     32     33
Class 529-E   19     2     3
Class 529-F-1       3     3
Class R-1   11     1     Not applicable
Class R-2   94     52     Not applicable
Class R-2E*         Not applicable
Class R-3   47     17     Not applicable
Class R-4   19     7     Not applicable
Class R-5   Not applicable     3     Not applicable
Class R-6   Not applicable       Not applicable
Total class-specific expenses   $7,068     $1,887     $87


Tax-Advantaged Income Portfolio

 

Share class   Distribution
services
    Transfer agent
services
     
Class A   $905     $284      
Class B   3        
Class C   426     40      
Class F-1   33     15      
Class F-2   Not applicable     10      
Total class-specific expenses   $1,367     $349      

 

Preservation Portfolio

 

Share class   Distribution
services
  Transfer agent
services
  529 plan
services
Class A   $919     $340     Not applicable
Class B   19     2     Not applicable
Class C   752     70     Not applicable
Class F-1   17     7     Not applicable
Class F-2   Not applicable     8     Not applicable
Class 529-A   83     35     $35
Class 529-B   5     1     1
Class 529-C   197     18     18
Class 529-E   11     1     2
Class 529-F-1       5     6
Class R-1   6     1     Not applicable
Class R-2   48     27     Not applicable
Class R-2E*         Not applicable
Class R-3   27     10     Not applicable
Class R-4   6     2     Not applicable
Class R-5   Not applicable     1     Not applicable
Class R-6   Not applicable       Not applicable
Total class-specific expenses   $2,090     $528     $62

 

Tax-Exempt Preservation Portfolio

 

Share class   Distribution
services
  Transfer agent
services
     
Class A   $395     $122      
Class B   1        
Class C   374     35      
Class F-1   10     5      
Class F-2   Not applicable     8      
Total class-specific expenses   $780     $170      

 

* Class R-2E shares were offered beginning August 29, 2014.
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 the funds, are treated as if invested in shares of the American Funds. These amounts represent general, unsecured liabilities of the funds and vary according to the total returns of the selected American Funds. Trustees’ compensation, shown on the accompanying financial statements, includes current fees (either paid in cash or deferred) and a net increase in the value of the deferred amounts as follows:

 

    Current fees   Increase in value of
deferred amounts
  Total trustees’ compensation  
                     
Global Growth Portfolio   $ 4,783     $ 42     $ 4,825  
Growth Portfolio     8,305       72       8,377  
Growth and Income Portfolio     15,179       154       15,333  
Balanced Portfolio     11,472       124       11,596  
Income Portfolio     10,474       130       10,604  
Tax-Advantaged Income Portfolio     1,976       24       2,000  
Preservation Portfolio     2,982       59       3,041  
Tax-Exempt Preservation Portfolio     1,007       25       1,032  

 

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

 

American Funds Portfolio Series 35
 

7. Investment transactions

 

The funds made purchases and sales of investment securities during the year ended October 31, 2014, as follows (dollars in thousands):

 

    Purchases     Sales  
             
Global Growth Portfolio   $ 537,049     $ 1,412  
Growth Portfolio     1,010,198       328  
Growth and Income Portfolio     1,521,826        
Balanced Portfolio     1,120,978       1,696  
Income Portfolio     889,785       103  
Tax-Advantaged Income Portfolio     221,420       5,383  
Preservation Portfolio     187,111       24,689  
Tax-Exempt Preservation Portfolio     64,701       25,929  

 

8. Capital share transactions

 

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

 

Global Growth Portfolio

 

    Sales1     Reinvestments of
dividends and distributions
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                
                                                 
Class A   $ 381,874       26,443     $ 5,057       355     $ (74,717 )     (5,177 )   $ 312,214       21,621  
Class B     1,322       93       12       1       (925 )     (65 )     409       29  
Class C     80,666       5,640       582       41       (14,433 )     (1,006 )     66,815       4,675  
Class F-1     20,065       1,390       312       22       (6,343 )     (437 )     14,034       975  
Class F-2     25,394       1,752       292       21       (6,491 )     (451 )     19,195       1,322  
Class 529-A     48,050       3,338       630       44       (3,876 )     (267 )     44,804       3,115  
Class 529-B     151       11       3       2     (204 )     (14 )     (50 )     (3 )
Class 529-C     27,005       1,869       133       10       (2,656 )     (183 )     24,482       1,696  
Class 529-E     2,056       141       18       1       (164 )     (12 )     1,910       130  
Class 529-F-1     3,463       236       19       1       (513 )     (35 )     2,969       202  
Class R-1     1,044       73       6       2     (335 )     (23 )     715       50  
Class R-2     13,762       962       77       6       (1,802 )     (126 )     12,037       842  
Class R-2E3     10       1                               10       1  
Class R-3     6,662       463       76       5       (975 )     (68 )     5,763       400  
Class R-4     3,210       220       22       1       (407 )     (28 )     2,825       193  
Class R-5     3,436       241       285       20       (23,979 )     (1,653 )     (20,258 )     (1,392 )
Class R-6     33,071       2,263       62       4       (4,079 )     (274 )     29,054       1,993  
Total net increase (decrease)   $ 651,241       45,136     $ 7,586       532     $ (141,899 )     (9,819 )   $ 516,928       35,849  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 304,908       24,347     $ 1,006       88     $ (26,966 )     (2,138 )   $ 278,948       22,297  
Class B     1,508       122       5       1       (449 )     (36 )     1,064       87  
Class C     51,036       4,097       126       11       (4,063 )     (319 )     47,099       3,789  
Class F-1     21,325       1,711       28       2       (2,782 )     (216 )     18,571       1,497  
Class F-2     19,675       1,578       33       3       (2,727 )     (215 )     16,981       1,366  
Class 529-A     30,887       2,497       174       15       (1,095 )     (88 )     29,966       2,424  
Class 529-B     396       31       2       2     (56 )     (4 )     342       27  
Class 529-C     12,768       1,031       34       3       (578 )     (46 )     12,224       988  
Class 529-E     1,358       108       3       2     (52 )     (4 )     1,309       104  
Class 529-F-1     889       73       7       1       (166 )     (14 )     730       60  
Class R-1     631       51       2       2     (113 )     (9 )     520       42  
Class R-2     7,466       606       10       1       (1,899 )     (154 )     5,577       453  
Class R-3     6,067       494       9       1       (635 )     (49 )     5,441       446  
Class R-4     1,330       109       9       1       (317 )     (26 )     1,022       84  
Class R-5     9,429       747       155       13       (3,089 )     (241 )     6,495       519  
Class R-6     2,755       216       2     2     (54 )     (4 )     2,701       212  
Total net increase (decrease)   $ 472,428       37,818     $ 1,603       140     $ (45,041 )     (3,563 )   $ 428,990       34,395  

 

36 American Funds Portfolio Series
 

Growth Portfolio

 

    Sales1     Reinvestments of
dividends and distributions
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 730,131       49,288     $ 6,127       422     $ (122,579 )     (8,273 )   $ 613,679       41,437  
Class B     2,717       187       14       1       (2,383 )     (163 )     348       25  
Class C     163,107       11,133       547       38       (27,389 )     (1,865 )     136,265       9,306  
Class F-1     25,414       1,712       184       12       (7,513 )     (504 )     18,085       1,220  
Class F-2     31,862       2,144       322       22       (9,839 )     (665 )     22,345       1,501  
Class 529-A     89,179       6,040       836       58       (8,180 )     (549 )     81,835       5,549  
Class 529-B     570       39       2       2     (305 )     (21 )     267       18  
Class 529-C     33,172       2,275       110       8       (5,287 )     (359 )     27,995       1,924  
Class 529-E     6,183       418       36       2       (457 )     (31 )     5,762       389  
Class 529-F-1     5,680       383       48       3       (952 )     (64 )     4,776       322  
Class R-1     2,459       168       7       1       (589 )     (40 )     1,877       129  
Class R-2     22,936       1,563       75       5       (4,454 )     (300 )     18,557       1,268  
Class R-2E3     10       1                               10       1  
Class R-3     13,539       913       59       4       (2,104 )     (142 )     11,494       775  
Class R-4     5,492       372       22       2       (1,447 )     (99 )     4,067       275  
Class R-5     2,700       185       205       14       (23,018 )     (1,557 )     (20,113 )     (1,358 )
Class R-6     35,498       2,382       45       3       (4,471 )     (296 )     31,072       2,089  
Total net increase (decrease)   $ 1,170,649       79,203     $ 8,639       595     $ (220,967 )     (14,928 )   $ 958,321       64,870  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 499,761       39,881     $ 1,486       132     $ (46,759 )     (3,705 )   $ 454,488       36,308  
Class B     3,536       286       13       1       (1,018 )     (81 )     2,531       206  
Class C     87,876       7,046       166       15       (7,265 )     (573 )     80,777       6,488  
Class F-1     15,254       1,223       49       4       (1,876 )     (153 )     13,427       1,074  
Class F-2     29,964       2,436       35       3       (4,741 )     (380 )     25,258       2,059  
Class 529-A     59,326       4,780       278       25       (3,551 )     (285 )     56,053       4,520  
Class 529-B     444       36       3       2     (213 )     (17 )     234       19  
Class 529-C     21,624       1,759       79       7       (1,669 )     (137 )     20,034       1,629  
Class 529-E     3,556       287       13       1       (25 )     (2 )     3,544       286  
Class 529-F-1     3,021       237       14       1       (242 )     (19 )     2,793       219  
Class R-1     1,663       137       10       1       (358 )     (30 )     1,315       108  
Class R-2     11,240       892       19       2       (810 )     (65 )     10,449       829  
Class R-3     8,493       692       6       2     (1,266 )     (99 )     7,233       593  
Class R-4     1,962       158       6       2     (119 )     (9 )     1,849       149  
Class R-5     10,082       789       99       9       (1,770 )     (140 )     8,411       658  
Class R-6     3,999       299       1       2     (823 )     (59 )     3,177       240  
Total net increase (decrease)   $ 761,801       60,938     $ 2,277       201     $ (72,505 )     (5,754 )   $ 691,573       55,385  

 

See page 43 for footnotes.

 

American Funds Portfolio Series 37
 

Growth and Income Portfolio

 

    Sales1     Reinvestments of
dividends and distributions
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 1,188,510       89,492     $ 42,641       3,207     $ (218,172 )     (16,375 )   $ 1,012,979       76,324  
Class B     3,623       275       144       11       (4,466 )     (337 )     (699 )     (51 )
Class C     267,942       20,266       5,161       390       (47,769 )     (3,600 )     225,334       17,056  
Class F-1     38,045       2,860       941       71       (12,746 )     (951 )     26,240       1,980  
Class F-2     45,930       3,447       1,147       86       (11,205 )     (843 )     35,872       2,690  
Class 529-A     85,353       6,450       3,721       280       (11,071 )     (832 )     78,003       5,898  
Class 529-B     507       38       19       1       (520 )     (39 )     6       2
Class 529-C     37,784       2,867       1,003       76       (7,374 )     (557 )     31,413       2,386  
Class 529-E     4,209       320       166       13       (817 )     (61 )     3,558       272  
Class 529-F-1     7,010       525       303       23       (2,017 )     (149 )     5,296       399  
Class R-1     2,783       212       76       6       (636 )     (48 )     2,223       170  
Class R-2     23,036       1,742       395       29       (4,626 )     (349 )     18,805       1,422  
Class R-2E3     10       1                               10       1  
Class R-3     14,475       1,094       365       28       (2,426 )     (184 )     12,414       938  
Class R-4     9,296       701       150       12       (1,864 )     (141 )     7,582       572  
Class R-5     2,751       209       308       23       (22,576 )     (1,695 )     (19,517 )     (1,463 )
Class R-6     32,149       2,403       327       24       (3,146 )     (233 )     29,330       2,194  
Total net increase (decrease)   $ 1,763,413       132,902     $ 56,867       4,280     $ (351,431 )     (26,394 )   $ 1,468,849       110,788  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 1,049,902       89,576     $ 16,966       1,470     $ (108,692 )     (9,186 )   $ 958,176       81,860  
Class B     7,409       639       103       9       (2,558 )     (218 )     4,954       430  
Class C     191,382       16,304       1,744       152       (16,446 )     (1,389 )     176,680       15,067  
Class F-1     27,432       2,323       320       28       (4,854 )     (414 )     22,898       1,937  
Class F-2     28,985       2,446       333       28       (3,283 )     (276 )     26,035       2,198  
Class 529-A     82,784       7,111       1,725       150       (5,059 )     (430 )     79,450       6,831  
Class 529-B     954       82       15       1       (346 )     (29 )     623       54  
Class 529-C     37,895       3,262       477       42       (3,252 )     (275 )     35,120       3,029  
Class 529-E     4,539       392       68       6       (146 )     (13 )     4,461       385  
Class 529-F-1     7,940       674       114       10       (266 )     (22 )     7,788       662  
Class R-1     3,557       307       41       4       (885 )     (76 )     2,713       235  
Class R-2     17,196       1,473       116       10       (2,762 )     (234 )     14,550       1,249  
Class R-3     12,302       1,055       131       11       (1,467 )     (124 )     10,966       942  
Class R-4     2,343       197       20       2       (325 )     (27 )     2,038       172  
Class R-5     8,367       708       376       33       (2,793 )     (236 )     5,950       505  
Class R-6     1,398       115       9       1       (75 )     (6 )     1,332       110  
Total net increase (decrease)   $ 1,484,385       126,664     $ 22,558       1,957     $ (153,209 )     (12,955 )   $ 1,353,734       115,666  

 

38 American Funds Portfolio Series
 

Balanced Portfolio

 

    Sales1     Reinvestments
of dividends
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 839,652       64,923     $ 23,258       1,798     $ (162,331 )     (12,548 )   $ 700,579       54,173  
Class B     3,654       285       66       5       (3,542 )     (275 )     178       15  
Class C     236,462       18,382       2,831       220       (40,487 )     (3,139 )     198,806       15,463  
Class F-1     31,808       2,473       875       68       (14,047 )     (1,083 )     18,636       1,458  
Class F-2     41,624       3,218       809       62       (10,788 )     (832 )     31,645       2,448  
Class 529-A     57,964       4,477       1,829       142       (13,234 )     (1,023 )     46,559       3,596  
Class 529-B     416       32       8       1       (560 )     (44 )     (136 )     (11 )
Class 529-C     34,417       2,678       507       39       (7,571 )     (585 )     27,353       2,132  
Class 529-E     2,491       193       54       4       (894 )     (69 )     1,651       128  
Class 529-F-1     5,326       409       200       16       (3,249 )     (248 )     2,277       177  
Class R-1     3,904       303       52       4       (1,435 )     (113 )     2,521       194  
Class R-2     22,822       1,778       223       17       (4,346 )     (337 )     18,699       1,458  
Class R-2E3     10       1                               10       1  
Class R-3     24,012       1,856       343       26       (8,800 )     (680 )     15,555       1,202  
Class R-4     17,242       1,335       530       41       (4,090 )     (315 )     13,682       1,061  
Class R-5     5,494       427       240       19       (12,505 )     (967 )     (6,771 )     (521 )
Class R-6     35,684       2,758       455       35       (8,900 )     (688 )     27,239       2,105  
Total net increase (decrease)   $ 1,362,982       105,528     $ 32,280       2,497     $ (296,779 )     (22,946 )   $ 1,098,483       85,079  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 771,451       66,757     $ 10,336       898     $ (99,271 )     (8,512 )   $ 682,516       59,143  
Class B     4,959       433       50       4       (2,286 )     (198 )     2,723       239  
Class C     155,059       13,390       1,115       98       (15,480 )     (1,325 )     140,694       12,163  
Class F-1     39,454       3,404       334       29       (7,528 )     (647 )     32,260       2,786  
Class F-2     23,091       1,991       320       28       (2,912 )     (247 )     20,499       1,772  
Class 529-A     52,180       4,543       1,071       94       (6,801 )     (585 )     46,450       4,052  
Class 529-B     755       66       7       1       (389 )     (34 )     373       33  
Class 529-C     27,828       2,419       265       23       (2,862 )     (247 )     25,231       2,195  
Class 529-E     2,328       204       33       3       (275 )     (23 )     2,086       184  
Class 529-F-1     7,980       685       95       8       (796 )     (69 )     7,279       624  
Class R-1     4,444       390       31       3       (1,411 )     (120 )     3,064       273  
Class R-2     14,330       1,246       84       7       (3,121 )     (272 )     11,293       981  
Class R-3     16,761       1,470       156       14       (5,238 )     (463 )     11,679       1,021  
Class R-4     24,326       2,074       133       11       (2,216 )     (186 )     22,243       1,899  
Class R-5     8,416       718       188       16       (2,081 )     (178 )     6,523       556  
Class R-6     11,890       1,043       109       9       (2,873 )     (244 )     9,126       808  
Total net increase (decrease)   $ 1,165,252       100,833     $ 14,327       1,246     $ (155,540 )     (13,350 )   $ 1,024,039       88,729  

 

See page 43 for footnotes.

 

American Funds Portfolio Series 39
 

Income Portfolio

 

    Sales1     Reinvestments of
dividends and distributions
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 791,213       67,433     $ 44,191       3,773     $ (198,083 )     (16,905 )   $ 637,321       54,301  
Class B     2,782       239       151       13       (3,308 )     (283 )     (375 )     (31 )
Class C     193,782       16,577       7,239       620       (47,081 )     (4,029 )     153,940       13,168  
Class F-1     29,974       2,556       1,614       138       (13,950 )     (1,189 )     17,638       1,505  
Class F-2     31,522       2,671       1,486       127       (11,189 )     (954 )     21,819       1,844  
Class 529-A     28,091       2,398       1,577       135       (8,811 )     (753 )     20,857       1,780  
Class 529-B     383       33       17       2       (407 )     (35 )     (7 )     2
Class 529-C     16,091       1,380       834       71       (7,701 )     (658 )     9,224       793  
Class 529-E     2,636       225       106       9       (724 )     (61 )     2,018       173  
Class 529-F-1     2,603       223       116       10       (706 )     (61 )     2,013       172  
Class R-1     961       81       29       2       (226 )     (19 )     764       64  
Class R-2     7,046       604       300       26       (2,811 )     (241 )     4,535       389  
Class R-2E3     10       1                               10       1  
Class R-3     6,334       542       273       23       (2,148 )     (181 )     4,459       384  
Class R-4     5,338       448       237       20       (2,416 )     (207 )     3,159       261  
Class R-5     3,710       317       203       17       (10,662 )     (906 )     (6,749 )     (572 )
Class R-6     13,130       1,113       229       20       (3,509 )     (296 )     9,850       837  
Total net increase (decrease)   $ 1,135,606       96,841     $ 58,602       5,006     $ (313,732 )     (26,778 )   $ 880,476       75,069  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 809,037       73,704     $ 22,180       2,035     $ (128,313 )     (11,623 )   $ 702,904       64,116  
Class B     5,294       485       118       11       (2,030 )     (184 )     3,382       312  
Class C     170,549       15,571       3,586       330       (28,087 )     (2,550 )     146,048       13,351  
Class F-1     37,498       3,427       1,005       92       (17,261 )     (1,577 )     24,242       1,942  
Class F-2     28,396       2,578       759       69       (5,268 )     (479 )     23,887       2,168  
Class 529-A     28,137       2,579       886       81       (5,514 )     (502 )     23,509       2,158  
Class 529-B     505       46       13       1       (231 )     (21 )     287       26  
Class 529-C     21,254       1,947       511       47       (2,827 )     (256 )     18,938       1,738  
Class 529-E     2,020       187       65       6       (468 )     (43 )     1,617       150  
Class 529-F-1     1,784       165       59       6       (151 )     (14 )     1,692       157  
Class R-1     797       72       14       2       (215 )     (19 )     596       55  
Class R-2     7,943       723       149       14       (835 )     (75 )     7,257       662  
Class R-3     7,715       706       133       12       (3,754 )     (338 )     4,094       380  
Class R-4     5,304       484       137       12       (207 )     (19 )     5,234       477  
Class R-5     7,688       697       234       22       (5,257 )     (478 )     2,665       241  
Class R-6     1,788       158       21       2       (80 )     (7 )     1,729       153  
Total net increase (decrease)   $ 1,135,709       103,529     $ 29,870       2,742     $ (200,498 )     (18,185 )   $ 965,081       88,086  

 

40 American Funds Portfolio Series
 

Tax-Advantaged Income Portfolio

 

    Sales1     Reinvestments of
dividends and distributions
    Repurchases1     Net increase  
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 195,792       16,196     $ 8,405       697     $ (34,806 )     (2,911 )   $ 169,391       13,982  
Class B     203       17       7       1       (164 )     (14 )     46       4  
Class C     34,554       2,873       913       76       (5,702 )     (474 )     29,765       2,475  
Class F-1     9,455       787       380       32       (6,177 )     (518 )     3,658       301  
Class F-2     13,008       1,070       304       25       (1,748 )     (143 )     11,564       952  
Total net increase (decrease)   $ 253,012       20,943     $ 10,009       831     $ (48,597 )     (4,060 )   $ 214,424       17,714  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 162,396       14,592     $ 4,173       377     $ (23,156 )     (2,067 )   $ 143,413       12,902  
Class B     183       17       4       2     (49 )     (4 )     138       13  
Class C     21,721       1,951       363       33       (3,670 )     (329 )     18,414       1,655  
Class F-1     9,528       850       180       16       (2,214 )     (198 )     7,494       668  
Class F-2     4,925       439       103       9       (1,153 )     (102 )     3,875       346  
Total net increase (decrease)   $ 198,753       17,849     $ 4,823       435     $ (30,242 )     (2,700 )   $ 173,334       15,584  

 

See page 43 for footnotes.

 

American Funds Portfolio Series 41
 

Preservation Portfolio

 

    Sales1     Reinvestments
of dividends
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 250,926       25,263     $ 3,639       367     $ (152,578 )     (15,376 )   $ 101,987       10,254  
Class B     656       66       5       2     (1,320 )     (133 )     (659 )     (67 )
Class C     55,990       5,644       200       20       (30,244 )     (3,052 )     25,946       2,612  
Class F-1     7,148       720       63       6       (4,074 )     (411 )     3,137       315  
Class F-2     11,867       1,192       92       9       (5,950 )     (600 )     6,009       601  
Class 529-A     21,342       2,152       360       36       (10,852 )     (1,094 )     10,850       1,094  
Class 529-B     304       31       1       2     (423 )     (43 )     (118 )     (12 )
Class 529-C     11,855       1,195       36       4       (7,054 )     (712 )     4,837       487  
Class 529-E     857       86       16       2       (617 )     (62 )     256       26  
Class 529-F-1     3,285       330       75       8       (1,353 )     (136 )     2,007       202  
Class R-1     480       48       1       2     (397 )     (40 )     84       8  
Class R-2     4,912       496       14       1       (3,113 )     (314 )     1,813       183  
Class R-2E3     10       1                               10       1  
Class R-3     3,855       388       37       4       (1,236 )     (125 )     2,656       267  
Class R-4     2,607       262       24       3       (1,205 )     (121 )     1,426       144  
Class R-5     2,552       257       35       4       (6,330 )     (637 )     (3,743 )     (376 )
Class R-6     7,020       706       33       3       (1,124 )     (112 )     5,929       597  
Total net increase (decrease)   $ 385,666       38,837     $ 4,631       467     $ (227,870 )     (22,968 )   $ 162,427       16,336  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 363,415       36,357     $ 3,241       325     $ (192,138 )     (19,305 )   $ 174,518       17,377  
Class B     2,671       267       9       1       (1,881 )     (189 )     799       79  
Class C     61,809       6,190       222       22       (26,523 )     (2,668 )     35,508       3,544  
Class F-1     7,456       746       71       7       (8,488 )     (852 )     (961 )     (99 )
Class F-2     8,520       852       79       8       (5,465 )     (549 )     3,134       311  
Class 529-A     25,165       2,516       303       31       (9,231 )     (930 )     16,237       1,617  
Class 529-B     442       44       1       2     (465 )     (46 )     (22 )     (2 )
Class 529-C     13,466       1,348       43       4       (4,311 )     (434 )     9,198       918  
Class 529-E     1,924       192       17       2       (1,170 )     (119 )     771       75  
Class 529-F-1     5,529       554       39       4       (497 )     (50 )     5,071       508  
Class R-1     1,475       147       3       2     (1,103 )     (110 )     375       37  
Class R-2     7,316       730       16       2       (2,944 )     (295 )     4,388       437  
Class R-3     10,963       1,095       30       3       (6,478 )     (646 )     4,515       452  
Class R-4     2,698       270       17       1       (1,496 )     (150 )     1,219       121  
Class R-5     4,066       407       56       6       (3,176 )     (320 )     946       93  
Class R-6     474       47       4       1       (385 )     (39 )     93       9  
Total net increase (decrease)   $ 517,389       51,762     $ 4,151       417     $ (265,751 )     (26,702 )   $ 255,789       25,477  

 

42 American Funds Portfolio Series
 

Tax-Exempt Preservation Portfolio

 

    Sales1     Reinvestments
of dividends
    Repurchases1     Net increase
(decrease)
 
Share class   Amount     Shares     Amount     Shares     Amount     Shares     Amount     Shares  
                                                 
Year ended October 31, 2014                                                                
                                                                 
Class A   $ 73,478       7,409     $ 3,341       337     $ (42,692 )     (4,326 )   $ 34,127       3,420  
Class B     34       4       1       2     (80 )     (8 )     (45 )     (4 )
Class C     18,488       1,865       699       71       (16,187 )     (1,641 )     3,000       295  
Class F-1     1,959       197       106       11       (3,075 )     (312 )     (1,010 )     (104 )
Class F-2     6,165       620       237       24       (3,678 )     (373 )     2,724       271  
Total net increase (decrease)   $ 100,124       10,095     $ 4,384       443     $ (65,712 )     (6,660 )   $ 38,796       3,878  
                                                                 
Year ended October 31, 2013                                                                
                                                                 
Class A   $ 123,762       12,285     $ 3,061       308     $ (70,980 )     (7,161 )   $ 55,843       5,432  
Class B     103       10       2       2     (91 )     (9 )     14       1  
Class C     31,805       3,156       695       70       (14,848 )     (1,505 )     17,652       1,721  
Class F-1     5,734       567       208       21       (9,484 )     (949 )     (3,542 )     (361 )
Class F-2     9,858       975       330       33       (13,495 )     (1,353 )     (3,307 )     (345 )
Total net increase (decrease)   $ 171,262       16,993     $ 4,296       432     $ (108,898 )     (10,977 )   $ 66,660       6,448  

 

1 Includes exchanges between share classes of the fund.
2 Amount less than one thousand.
3 Class R-2E shares were offered beginning August 29, 2014.

 

American Funds Portfolio Series 43
 

Financial highlights

 

Global Growth Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                                
10/31/14   $ 13.92     $ .14     $ .92     $ 1.06     $ (.15 )   $ (.01 )   $ (.16 )   $ 14.82       7.71 %   $ 722       .44 %     .34 %     .83 %     .96 %
10/31/13     11.17       .11       2.79       2.90       (.14 )     (.01 )     (.15 )     13.92       26.18       377       .50       .40       .90       .85  
10/31/126,7     10.00       .03       1.14       1.17                         11.17       11.70       53       .25       .20       .71       .29  
Class B:                                                                                                                
10/31/14     13.81       .03       .90       .93       (.07 )     (.01 )     (.08 )     14.66       6.82       2       1.25       1.15       1.64       .23  
10/31/13     11.13       .02       2.78       2.80       (.11 )     (.01 )     (.12 )     13.81       25.32       2       1.28       1.18       1.68       .13  
10/31/126,7     10.00       (.01 )     1.14       1.13                         11.13       11.30       1       .56       .51       1.02       (.08 )
Class C:                                                                                                                
10/31/14     13.79       .02       .93       .95       (.10 )     (.01 )     (.11 )     14.63       6.92       134       1.24       1.14       1.63       .14  
10/31/13     11.13       .01       2.78       2.79       (.12 )     (.01 )     (.13 )     13.79       25.27       62       1.26       1.16       1.66       .04  
10/31/126,7     10.00       (.02 )     1.15       1.13                         11.13       11.30       8       .56       .51       1.02       (.17 )
Class F-1:                                                                                                                
10/31/14     13.92       .13       .93       1.06       (.15 )     (.01 )     (.16 )     14.82       7.69       39       .51       .41       .90       .92  
10/31/13     11.17       .08       2.82       2.90       (.14 )     (.01 )     (.15 )     13.92       26.23       23       .53       .43       .93       .59  
10/31/126,7     10.00       .03       1.14       1.17                         11.17       11.70       2       .19       .14       .65       .28  
Class F-2:                                                                                                                
10/31/14     13.96       .17       .92       1.09       (.17 )     (.01 )     (.18 )     14.87       7.90       41       .24       .14       .63       1.15  
10/31/13     11.18       .12       2.82       2.94       (.15 )     (.01 )     (.16 )     13.96       26.57       20       .27       .17       .67       .96  
10/31/126,7     10.00       .04       1.14       1.18                         11.18       11.80       1       .11       .06       .57       .37  
Class 529-A:                                                                                                                
10/31/14     13.91       .13       .93       1.06       (.15 )     (.01 )     (.16 )     14.81       7.70       94       .51       .41       .90       .87  
10/31/13     11.16       .12       2.78       2.90       (.14 )     (.01 )     (.15 )     13.91       26.27       45       .50       .40       .90       .96  
10/31/126,7     10.00       .02       1.14       1.16                         11.16       11.60       9       .23       .18       .69       .21  
Class 529-B:                                                                                                                
10/31/14     13.80       .03       .90       .93       (.07 )     (.01 )     (.08 )     14.65       6.79       1       1.33       1.23       1.72       .21  
10/31/13     11.14       .03       2.75       2.78       (.11 )     (.01 )     (.12 )     13.80       25.11       1       1.38       1.28       1.78       .21  
10/31/126,7     10.00       (.03 )     1.17       1.14                         11.14       11.40       8     .59       .54       1.05       (.26 )
Class 529-C:                                                                                                                
10/31/14     13.78       9     .92       .92       (.08 )     (.01 )     (.09 )     14.61       6.76       42       1.32       1.22       1.71       (.03 )
10/31/13     11.12       (.01 )     2.80       2.79       (.12 )     (.01 )     (.13 )     13.78       25.23       16       1.36       1.26       1.76       (.06 )
10/31/126,7     10.00       (.02 )     1.14       1.12                         11.12       11.20       2       .60       .56       1.07       (.18 )
Class 529-E:                                                                                                                
10/31/14     13.88       .08       .93       1.01       (.13 )     (.01 )     (.14 )     14.75       7.33       4       .79       .69       1.18       .55  
10/31/13     11.16       .06       2.80       2.86       (.13 )     (.01 )     (.14 )     13.88       25.89       2       .82       .72       1.22       .49  
10/31/126,7     10.00       .01       1.15       1.16                         11.16       11.60       8     .33       .29       .80       .08  
Class 529-F-1:                                                                                                                
10/31/14     13.94       .14       .94       1.08       (.16 )     (.01 )     (.17 )     14.85       7.85       4       .31       .21       .70       .96  
10/31/13     11.18       .16       2.76       2.92       (.15 )     (.01 )     (.16 )     13.94       26.37       1       .37       .27       .77       1.26  
10/31/126,7     10.00       .03       1.15       1.18                         11.18       11.80       8     .16       .11       .62       .23  

 

44 American Funds Portfolio Series
 

Global Growth Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                                
10/31/14   $ 13.81     $ .02     $ .92     $ .94     $ (.09 )   $ (.01 )   $ (.10 )   $ 14.65       6.86 %   $ 2       1.25 %     1.15 %     1.64 %     .13 %
10/31/13     11.14       .02       2.78       2.80       (.12 )     (.01 )     (.13 )     13.81       25.28       1       1.25       1.15       1.65       .13  
10/31/126,7     10.00       9     1.14       1.14                         11.14       11.40       8     .51       .47       .98       (.04 )
Class R-2:                                                                                                                
10/31/14     13.80       9     .93       .93       (.10 )     (.01 )     (.11 )     14.62       6.82       19       1.30       1.20       1.69       .03  
10/31/13     11.15       (.02 )     2.81       2.79       (.13 )     (.01 )     (.14 )     13.80       25.24       7       1.27       1.17       1.67       (.18 )
10/31/126,7     10.00       (.02 )     1.17       1.15                         11.15       11.50       1       .47       .42       .93       (.21 )
Class R-2E:                                                                                                                
10/31/146,10     15.02       .01       (.21 )     (.20 )                       14.82       (1.33 )     8     .06 11     .04 11     .53 11     .09 11
Class R-3:                                                                                                                
10/31/14     13.86       .09       .92       1.01       (.12 )     (.01 )     (.13 )     14.74       7.38       13       .82       .72       1.21       .60  
10/31/13     11.16       .05       2.80       2.85       (.14 )     (.01 )     (.15 )     13.86       25.77       6       .83       .73       1.23       .36  
10/31/126,7     10.00       .04       1.12       1.16                         11.16       11.60       8     .33       .29       .80       .39  
Class R-4:                                                                                                                
10/31/14     13.93       .12       .93       1.05       (.15 )     (.01 )     (.16 )     14.82       7.62       4       .48       .38       .87       .81  
10/31/13     11.18       .14       2.77       2.91       (.15 )     (.01 )     (.16 )     13.93       26.27       1       .49       .39       .89       1.11  
10/31/126,7     10.00       9     1.18       1.18                         11.18       11.80       8     .21       .16       .67       (.02 )
Class R-5:                                                                                                                
10/31/14     13.97       .27       .82       1.09       (.17 )     (.01 )     (.18 )     14.88       7.92       1       .21       .11       .60       1.84  
10/31/13     11.18       .18       2.77       2.95       (.15 )     (.01 )     (.16 )     13.97       26.66       20       .23       .13       .63       1.47  
10/31/126,7     10.00       .03       1.15       1.18                         11.18       11.80       11       .10       .05       .56       .30  
Class R-6:                                                                                                                
10/31/14     14.02       .14       .98       1.12       (.18 )     (.01 )     (.19 )     14.95       8.07       33       .14       .04       .53       .96  
10/31/13     11.17       .10       2.85       2.95       (.09 )     (.01 )     (.10 )     14.02       26.57       3       .18       .08       .58       .79  
10/31/126,7     10.00       .05       1.12       1.17                         11.17       11.70       8     .13       .08       .59       .52  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 45
 

Financial highlights (continued)

 

Growth Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                                
10/31/14   $ 14.02     $ .07     $ 1.39     $ 1.46     $ (.08 )   $ (.04 )   $ (.12 )   $ 15.36       10.46 %   $ 1,345       .42 %     .32 %     .75 %     .47 %
10/31/13     11.02       .09       3.02       3.11       (.11 )           (.11 )     14.02       28.45       646       .45       .35       .79       .67  
10/31/126,7     10.00       .02       1.00       1.02                         11.02       10.20       108       .24       .19       .64       .15  
Class B:                                                                                                                
10/31/14     13.89       (.04 )     1.37       1.33             (.04 )     (.04 )     15.18       9.58       5       1.24       1.14       1.57       (.28 )
10/31/13     10.98       9     3.00       3.00       (.09 )           (.09 )     13.89       27.47       5       1.26       1.16       1.60       (.04 )
10/31/126,7     10.00       (.02 )     1.00       .98                         10.98       9.80       1       .55       .51       .96       (.23 )
Class C:                                                                                                                
10/31/14     13.89       (.05 )     1.38       1.33       (.02 )     (.04 )     (.06 )     15.16       9.60       259       1.23       1.13       1.56       (.35 )
10/31/13     10.98       (.02 )     3.02       3.00       (.09 )           (.09 )     13.89       27.52       108       1.24       1.14       1.58       (.17 )
10/31/126,7     10.00       (.03 )     1.01       .98                         10.98       9.80       14       .55       .50       .95       (.27 )
Class F-1:                                                                                                                
10/31/14     14.01       .06       1.40       1.46       (.08 )     (.04 )     (.12 )     15.35       10.44       40       .50       .40       .83       .41  
10/31/13     11.02       .08       3.02       3.10       (.11 )           (.11 )     14.01       28.41       19       .51       .41       .85       .64  
10/31/126,7     10.00       .02       1.00       1.02                         11.02       10.20       3       .19       .15       .60       .19  
Class F-2:                                                                                                                
10/31/14     14.05       .10       1.40       1.50       (.10 )     (.04 )     (.14 )     15.41       10.69       57       .24       .14       .57       .66  
10/31/13     11.03       .08       3.06       3.14       (.12 )           (.12 )     14.05       28.75       31       .26       .16       .60       .64  
10/31/126,7     10.00       .03       1.00       1.03                         11.03       10.30       2       .09       .05       .50       .27  
Class 529-A:                                                                                                                
10/31/14     14.01       .06       1.40       1.46       (.08 )     (.04 )     (.12 )     15.35       10.43       184       .49       .39       .82       .40  
10/31/13     11.01       .09       3.02       3.11       (.11 )           (.11 )     14.01       28.49       90       .49       .39       .83       .71  
10/31/126,7     10.00       .01       1.00       1.01                         11.01       10.10       21       .23       .18       .63       .09  
Class 529-B:                                                                                                                
10/31/14     13.89       (.06 )     1.38       1.32             (.04 )     (.04 )     15.17       9.51       1       1.32       1.22       1.65       (.41 )
10/31/13     10.98       .01       2.97       2.98       (.07 )           (.07 )     13.89       27.33       1       1.36       1.26       1.70       .04  
10/31/126,7     10.00       (.02 )     1.00       .98                         10.98       9.80       1       .59       .55       1.00       (.23 )
Class 529-C:                                                                                                                
10/31/14     13.88       (.06 )     1.37       1.31       9     (.04 )     (.04 )     15.15       9.45       65       1.31       1.21       1.64       (.41 )
10/31/13     10.98       (.02 )     3.00       2.98       (.08 )           (.08 )     13.88       27.35       33       1.34       1.24       1.68       (.15 )
10/31/126,7     10.00       (.03 )     1.01       .98                         10.98       9.80       8       .60       .55       1.00       (.30 )
Class 529-E:                                                                                                                
10/31/14     13.96       .01       1.39       1.40       (.05 )     (.04 )     (.09 )     15.27       10.08       11       .78       .68       1.11       .09  
10/31/13     11.00       .05       3.02       3.07       (.11 )           (.11 )     13.96       28.14       5       .80       .70       1.14       .39  
10/31/126,7     10.00       (.01 )     1.01       1.00                         11.00       10.00       1       .35       .30       .75       (.05 )
Class 529-F-1:                                                                                                                
10/31/14     14.04       .09       1.39       1.48       (.09 )     (.04 )     (.13 )     15.39       10.60       10       .31       .21       .64       .59  
10/31/13     11.03       .11       3.02       3.13       (.12 )           (.12 )     14.04       28.73       4       .34       .24       .68       .90  
10/31/126,7     10.00       .02       1.01       1.03                         11.03       10.20       1       .14       .10       .55       .16  

 

46 American Funds Portfolio Series
 

Growth Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                                
10/31/14   $ 13.90     $ (.05 )   $ 1.38     $ 1.33     $     $ (.04 )   $ (.04 )   $ 15.19       9.57 %   $ 5       1.24 %     1.14 %     1.57 %     (.34 )%
10/31/13     10.99       .01       2.99       3.00       (.09 )           (.09 )     13.90       27.52       3       1.24       1.14       1.58       .11  
10/31/126,7     10.00       (.04 )     1.03       .99                         10.99       9.90       1       .56       .51       .96       (.34 )
Class R-2:                                                                                                                
10/31/14     13.90       (.06 )     1.39       1.33       (.03 )     (.04 )     (.07 )     15.16       9.55       34       1.29       1.19       1.62       (.42 )
10/31/13     11.00       (.03 )     3.03       3.00       (.10 )           (.10 )     13.90       27.44       13       1.24       1.14       1.58       (.22 )
10/31/126,7     10.00       (.03 )     1.03       1.00                         11.00       10.00       2       .48       .44       .89       (.27 )
Class R-2E:                                                                                                                
10/31/146,10     15.54       .01       (.19 )     (.18 )                       15.36       (1.16 )     8     .06 11     .04 11     .47 11     .06 11
Class R-3:                                                                                                                
10/31/14     13.97       .01       1.39       1.40       (.04 )     (.04 )     (.08 )     15.29       10.07       22       .81       .71       1.14       .06  
10/31/13     11.01       .01       3.05       3.06       (.10 )           (.10 )     13.97       28.02       9       .81       .71       1.15       .06  
10/31/126,7     10.00       .02       .99       1.01                         11.01       10.10       8     .32       .27       .72       .19  
Class R-4:                                                                                                                
10/31/14     14.02       .06       1.40       1.46       (.08 )     (.04 )     (.12 )     15.36       10.44       7       .47       .37       .80       .39  
10/31/13     11.03       .08       3.03       3.11       (.12 )           (.12 )     14.02       28.45       2       .46       .36       .80       .62  
10/31/126,7     10.00       9     1.03       1.03                         11.03       10.30       8     .18       .13       .58       .04  
Class R-5:                                                                                                                
10/31/14     14.06       .15       1.35       1.50       (.10 )     (.04 )     (.14 )     15.42       10.72       1       .20       .10       .53       1.03  
10/31/13     11.03       .14       3.01       3.15       (.12 )           (.12 )     14.06       28.84       20       .20       .10       .54       1.12  
10/31/126,7     10.00       .03       1.00       1.03                         11.03       10.30       9       .09       .04       .49       .24  
Class R-6:                                                                                                                
10/31/14     14.07       .09       1.41       1.50       (.10 )     (.04 )     (.14 )     15.43       10.75       36       .13       .03       .46       .59  
10/31/13     11.03       .07       3.08       3.15       (.11 )           (.11 )     14.07       28.84       4       .15       .05       .49       .52  
10/31/126,7     10.00       .05       .98       1.03                         11.03       10.30       8     .12       .07       .52       .46  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 47
 

Financial highlights (continued)

 

Growth and Income Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                                
10/31/14   $ 12.74     $ .28     $ 1.08     $ 1.36     $ (.29 )   $ (.01 )   $ (.30 )   $ 13.80       10.77 %   $ 2,564       .42 %     .32 %     .69 %     2.08 %
10/31/13     10.88       .26       1.88       2.14       (.28 )           (.28 )     12.74       20.01       1,394       .43       .33       .70       2.19  
10/31/126,7     10.00       .09       .87       .96       (.08 )           (.08 )     10.88       9.63       300       .23       .18       .56       .89  
Class B:                                                                                                                
10/31/14     12.71       .18       1.06       1.24       (.17 )     (.01 )     (.18 )     13.77       9.88       10       1.23       1.13       1.50       1.33  
10/31/13     10.86       .17       1.88       2.05       (.20 )           (.20 )     12.71       19.08       10       1.25       1.15       1.52       1.47  
10/31/126,7     10.00       .06       .87       .93       (.07 )           (.07 )     10.86       9.30       4       .55       .50       .88       .59  
Class C:                                                                                                                
10/31/14     12.69       .17       1.08       1.25       (.19 )     (.01 )     (.20 )     13.74       9.93       491       1.22       1.12       1.49       1.27  
10/31/13     10.86       .16       1.88       2.04       (.21 )           (.21 )     12.69       19.03       237       1.22       1.12       1.49       1.36  
10/31/126,7     10.00       .06       .87       .93       (.07 )           (.07 )     10.86       9.30       40       .54       .50       .88       .53  
Class F-1:                                                                                                                
10/31/14     12.74       .27       1.08       1.35       (.28 )     (.01 )     (.29 )     13.80       10.70       63       .49       .39       .76       2.00  
10/31/13     10.88       .26       1.88       2.14       (.28 )           (.28 )     12.74       19.98       33       .49       .39       .76       2.16  
10/31/126,7     10.00       .08       .88       .96       (.08 )           (.08 )     10.88       9.66       7       .20       .15       .53       .79  
Class F-2:                                                                                                                
10/31/14     12.75       .30       1.09       1.39       (.31 )     (.01 )     (.32 )     13.82       11.03       73       .23       .13       .50       2.27  
10/31/13     10.89       .28       1.88       2.16       (.30 )           (.30 )     12.75       20.22       33       .24       .14       .51       2.31  
10/31/126,7     10.00       .11       .87       .98       (.09 )           (.09 )     10.89       9.81       4       .09       .04       .42       1.06  
Class 529-A:                                                                                                                
10/31/14     12.74       .27       1.07       1.34       (.27 )     (.01 )     (.28 )     13.80       10.67       221       .51       .41       .78       2.00  
10/31/13     10.88       .26       1.88       2.14       (.28 )           (.28 )     12.74       19.95       129       .49       .39       .76       2.17  
10/31/126,7     10.00       .09       .87       .96       (.08 )           (.08 )     10.88       9.61       36       .26       .22       .60       .84  
Class 529-B:                                                                                                                
10/31/14     12.71       .16       1.07       1.23       (.16 )     (.01 )     (.17 )     13.77       9.79       2       1.32       1.22       1.59       1.21  
10/31/13     10.86       .17       1.87       2.04       (.19 )           (.19 )     12.71       18.99       1       1.34       1.24       1.61       1.45  
10/31/126,7     10.00       .06       .86       .92       (.06 )           (.06 )     10.86       9.25       1       .59       .54       .92       .53  
Class 529-C:                                                                                                                
10/31/14     12.69       .16       1.07       1.23       (.17 )     (.01 )     (.18 )     13.74       9.81       93       1.31       1.21       1.58       1.20  
10/31/13     10.86       .16       1.86       2.02       (.19 )           (.19 )     12.69       18.86       56       1.33       1.23       1.60       1.33  
10/31/126,7     10.00       .05       .88       .93       (.07 )           (.07 )     10.86       9.29       15       .59       .54       .92       .49  
Class 529-E:                                                                                                                
10/31/14     12.72       .23       1.08       1.31       (.24 )     (.01 )     (.25 )     13.78       10.42       10       .78       .68       1.05       1.74  
10/31/13     10.87       .21       1.89       2.10       (.25 )           (.25 )     12.72       19.61       6       .79       .69       1.06       1.80  
10/31/126,7     10.00       .07       .88       .95       (.08 )           (.08 )     10.87       9.52       1       .34       .30       .68       .63  
Class 529-F-1:                                                                                                                
10/31/14     12.75       .29       1.08       1.37       (.30 )     (.01 )     (.31 )     13.81       10.87       16       .30       .20       .57       2.19  
10/31/13     10.89       .29       1.87       2.16       (.30 )           (.30 )     12.75       20.14       10       .32       .22       .59       2.41  
10/31/126,7     10.00       .10       .87       .97       (.08 )           (.08 )     10.89       9.78       1       .14       .09       .47       .89  

 

48 American Funds Portfolio Series
 

Growth and Income Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                                
10/31/14   $ 12.70     $ .17     $ 1.07     $ 1.24     $ (.18 )   $ (.01 )   $ (.19 )   $ 13.75       9.88 %   $ 7       1.23 %     1.13 %     1.50 %     1.28 %
10/31/13     10.86       .16       1.89       2.05       (.21 )           (.21 )     12.70       19.12       4       1.23       1.13       1.50       1.38  
10/31/126,7     10.00       .08       .85       .93       (.07 )           (.07 )     10.86       9.28       1       .54       .50       .88       .79  
Class R-2:                                                                                                                
10/31/14     12.69       .16       1.08       1.24       (.18 )     (.01 )     (.19 )     13.74       9.89       38       1.28       1.18       1.55       1.23  
10/31/13     10.86       .14       1.90       2.04       (.21 )           (.21 )     12.69       19.09       18       1.24       1.14       1.51       1.21  
10/31/126,7     10.00       .06       .87       .93       (.07 )           (.07 )     10.86       9.38       1       .48       .43       .81       .52  
Class R-2E:                                                                                                                
10/31/146,10     13.91       .06       (.11 )     (.05 )     (.06 )           (.06 )     13.80       (.34 )     8     .06 11     .04 11     .41 11     .44 11
Class R-3:                                                                                                                
10/31/14     12.72       .22       1.08       1.30       (.24 )     (.01 )     (.25 )     13.77       10.31       28       .80       .70       1.07       1.68  
10/31/13     10.87       .21       1.89       2.10       (.25 )           (.25 )     12.72       19.67       13       .80       .70       1.07       1.79  
10/31/126,7     10.00       .12       .83       .95       (.08 )           (.08 )     10.87       9.52       1       .31       .27       .65       1.09  
Class R-4:                                                                                                                
10/31/14     12.74       .27       1.08       1.35       (.28 )     (.01 )     (.29 )     13.80       10.75       10       .47       .37       .74       2.00  
10/31/13     10.89       .24       1.90       2.14       (.29 )           (.29 )     12.74       19.95       2       .44       .34       .71       1.97  
10/31/126,7     10.00       .11       .86       .97       (.08 )           (.08 )     10.89       9.78       8     .16       .11       .49       1.02  
Class R-5:                                                                                                                
10/31/14     12.76       .35       1.03       1.38       (.29 )     (.01 )     (.30 )     13.84       10.99       1       .19       .09       .46       2.65  
10/31/13     10.89       .30       1.88       2.18       (.31 )           (.31 )     12.76       20.35       20       .18       .08       .45       2.58  
10/31/126,7     10.00       .10       .88       .98       (.09 )           (.09 )     10.89       9.81       11       .08       .03       .41       .96  
Class R-6:                                                                                                                
10/31/14     12.75       .29       1.11       1.40       (.32 )     (.01 )     (.33 )     13.82       11.13       32       .12       .02       .39       2.14  
10/31/13     10.89       .27       1.90       2.17       (.31 )           (.31 )     12.75       20.26       1       .14       .04       .41       2.27  
10/31/126,7     10.00       .11       .86       .97       (.08 )           (.08 )     10.89       9.78       8     .14       .10       .48       1.02  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 49
 

Financial highlights (continued)

 

Balanced Portfolio

 

          Income (loss) from investment operations1                                                  
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    Net gains
(losses) on
securities
(both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net assets
value, end
of period
    Total
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                
10/31/14   $ 12.44     $ .22     $ .88     $ 1.10     $ (.22 )   $ 13.32       8.94 %   $ 1,803       .43 %     .33 %     .67 %     1.67 %
10/31/13     10.80       .21       1.64       1.85       (.21 )     12.44       17.29       1,010       .45       .35       .69       1.76  
10/31/126,7     10.00       .08       .78       .86       (.06 )     10.80       8.62       239       .23       .18       .53       .73  
Class B:                                                                                                
10/31/14     12.41       .12       .88       1.00       (.12 )     13.29       8.08       7       1.23       1.13       1.47       .92  
10/31/13     10.78       .12       1.63       1.75       (.12 )     12.41       16.38       7       1.25       1.15       1.49       1.03  
10/31/126,7     10.00       .04       .79       .83       (.05 )     10.78       8.29       3       .55       .50       .85       .37  
Class C:                                                                                                
10/31/14     12.39       .11       .89       1.00       (.13 )     13.26       8.11       416       1.22       1.12       1.46       .86  
10/31/13     10.78       .11       1.64       1.75       (.14 )     12.39       16.32       197       1.23       1.13       1.47       .96  
10/31/126,7     10.00       .04       .79       .83       (.05 )     10.78       8.30       40       .54       .50       .85       .37  
Class F-1:                                                                                                
10/31/14     12.43       .21       .89       1.10       (.21 )     13.32       8.94       62       .49       .39       .73       1.63  
10/31/13     10.80       .19       1.65       1.84       (.21 )     12.43       17.20       40       .50       .40       .74       1.61  
10/31/126,7     10.00       .08       .78       .86       (.06 )     10.80       8.64       4       .19       .15       .50       .79  
Class F-2:                                                                                                
10/31/14     12.45       .24       .89       1.13       (.25 )     13.33       9.11       64       .23       .13       .47       1.84  
10/31/13     10.81       .23       1.64       1.87       (.23 )     12.45       17.51       29       .25       .15       .49       1.96  
10/31/126,7     10.00       .09       .79       .88       (.07 )     10.81       8.80       6       .09       .04       .39       .88  
Class 529-A:                                                                                                
10/31/14     12.43       .21       .89       1.10       (.21 )     13.32       8.92       144       .52       .42       .76       1.59  
10/31/13     10.79       .21       1.63       1.84       (.20 )     12.43       17.27       90       .49       .39       .73       1.77  
10/31/126,7     10.00       .07       .78       .85       (.06 )     10.79       8.51       34       .27       .23       .58       .66  
Class 529-B:                                                                                                
10/31/14     12.41       .11       .87       .98       (.10 )     13.29       7.96       1       1.32       1.22       1.56       .87  
10/31/13     10.78       .11       1.63       1.74       (.11 )     12.41       16.23       1       1.34       1.24       1.58       .91  
10/31/126,7     10.00       .04       .78       .82       (.04 )     10.78       8.25       8     .59       .54       .89       .38  
Class 529-C:                                                                                                
10/31/14     12.40       .10       .89       .99       (.12 )     13.27       7.98       75       1.31       1.21       1.55       .78  
10/31/13     10.78       .11       1.63       1.74       (.12 )     12.40       16.26       44       1.33       1.23       1.57       .91  
10/31/126,7     10.00       .04       .78       .82       (.04 )     10.78       8.25       14       .59       .55       .90       .33  
Class 529-E:                                                                                                
10/31/14     12.42       .17       .89       1.06       (.18 )     13.30       8.56       5       .78       .68       1.02       1.31  
10/31/13     10.79       .17       1.63       1.80       (.17 )     12.42       16.89       3       .80       .70       1.04       1.44  
10/31/126,7     10.00       .06       .79       .85       (.06 )     10.79       8.49       1       .35       .30       .65       .61  
Class 529-F-1:                                                                                                
10/31/14     12.44       .24       .89       1.13       (.24 )     13.33       9.12       12       .30       .20       .54       1.83  
10/31/13     10.80       .24       1.62       1.86       (.22 )     12.44       17.45       9       .32       .22       .56       2.03  
10/31/126,7     10.00       .09       .77       .86       (.06 )     10.80       8.67       1       .14       .09       .44       .85  

 

50 American Funds Portfolio Series
 

Balanced Portfolio

 

          Income (loss) from investment operations1                                                  
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    Net gains
(losses) on
securities
(both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net assets
value, end
of period
    Total
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                
10/31/14   $ 12.40     $ .12     $ .87     $ .99     $ (.12 )   $ 13.27       8.06 %   $ 7       1.23 %     1.13 %     1.47 %     .89 %
10/31/13     10.78       .11       1.64       1.75       (.13 )     12.40       16.40       4       1.24       1.14       1.48       .95  
10/31/126,7     10.00       .04       .79       .83       (.05 )     10.78       8.32       1       .55       .50       .85       .36  
Class R-2:                                                                                                
10/31/14     12.40       .10       .89       .99       (.12 )     13.27       8.04       36       1.28       1.18       1.52       .79  
10/31/13     10.79       .11       1.64       1.75       (.14 )     12.40       16.33       15       1.25       1.15       1.49       .90  
10/31/126,7     10.00       .04       .81       .85       (.06 )     10.79       8.50       3       .48       .44       .79       .40  
Class R-2E:                                                                                                
10/31/146,10     13.37       .04       (.05 )     (.01 )     (.05 )     13.31       (.10 )     8     .06 11     .04 11     .38 11     .31 11
Class R-3:                                                                                                
10/31/14     12.42       .16       .90       1.06       (.18 )     13.30       8.56       35       .81       .71       1.05       1.27  
10/31/13     10.79       .16       1.64       1.80       (.17 )     12.42       16.86       18       .80       .70       1.04       1.36  
10/31/126,7     10.00       .10       .75       .85       (.06 )     10.79       8.53       5       .31       .26       .61       .89  
Class R-4:                                                                                                
10/31/14     12.44       .21       .89       1.10       (.22 )     13.32       8.88       40       .47       .37       .71       1.61  
10/31/13     10.80       .20       1.65       1.85       (.21 )     12.44       17.33       24       .43       .33       .67       1.71  
10/31/126,7     10.00       .10       .76       .86       (.06 )     10.80       8.61       1       .20       .15       .50       .92  
Class R-5:                                                                                                
10/31/14     12.45       .27       .87       1.14       (.25 )     13.34       9.24       9       .19       .09       .43       2.06  
10/31/13     10.81       .24       1.63       1.87       (.23 )     12.45       17.56       15       .18       .08       .42       2.06  
10/31/126,7     10.00       .09       .79       .88       (.07 )     10.81       8.80       7       .08       .03       .38       .83  
Class R-6:                                                                                                
10/31/14     12.45       .25       .90       1.15       (.26 )     13.34       9.29       39       .13       .03       .37       1.89  
10/31/13     10.81       .24       1.64       1.88       (.24 )     12.45       17.57       10       .14       .04       .38       2.01  
10/31/126,7     10.00       .10       .77       .87       (.06 )     10.81       8.77       8     .13       .08       .43       .93  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 51
 

Financial highlights (continued)

 

Income Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                                
10/31/14   $ 11.46     $ .37     $ .53     $ .90     $ (.37 )   $ (.01 )   $ (.38 )   $ 11.98       7.94 %   $ 1,766       .45 %     .35 %     .66 %     3.18 %
10/31/13     10.57       .36       .90       1.26       (.37 )           (.37 )     11.46       12.19       1,067       .48       .38       .68       3.28  
10/31/126,7     10.00       .16       .52       .68       (.11 )           (.11 )     10.57       6.84       307       .23       .18       .49       1.54  
Class B:                                                                                                                
10/31/14     11.43       .28       .53       .81       (.27 )     (.01 )     (.28 )     11.96       7.17       6       1.23       1.13       1.44       2.40  
10/31/13     10.55       .28       .90       1.18       (.30 )           (.30 )     11.43       11.35       6       1.25       1.15       1.45       2.51  
10/31/126,7     10.00       .13       .51       .64       (.09 )           (.09 )     10.55       6.47       2       .55       .50       .81       1.26  
Class C:                                                                                                                
10/31/14     11.41       .28       .54       .82       (.29 )     (.01 )     (.30 )     11.93       7.19       381       1.22       1.12       1.43       2.41  
10/31/13     10.54       .28       .90       1.18       (.31 )           (.31 )     11.41       11.35       214       1.23       1.13       1.43       2.51  
10/31/126,7     10.00       .12       .52       .64       (.10 )           (.10 )     10.54       6.41       58       .54       .50       .81       1.20  
Class F-1:                                                                                                                
10/31/14     11.46       .37       .53       .90       (.36 )     (.01 )     (.37 )     11.99       7.97       62       .49       .39       .70       3.15  
10/31/13     10.57       .37       .89       1.26       (.37 )           (.37 )     11.46       12.17       42       .51       .41       .71       3.31  
10/31/126,7     10.00       .16       .52       .68       (.11 )           (.11 )     10.57       6.85       18       .20       .16       .47       1.50  
Class F-2:                                                                                                                
10/31/14     11.46       .40       .54       .94       (.39 )     (.01 )     (.40 )     12.00       8.32       59       .23       .13       .44       3.39  
10/31/13     10.57       .39       .90       1.29       (.40 )           (.40 )     11.46       12.44       36       .25       .15       .45       3.50  
10/31/126,7     10.00       .17       .52       .69       (.12 )           (.12 )     10.57       6.90       10       .09       .04       .35       1.61  
Class 529-A:                                                                                                                
10/31/14     11.45       .36       .54       .90       (.36 )     (.01 )     (.37 )     11.98       7.94       62       .53       .43       .74       3.11  
10/31/13     10.56       .35       .91       1.26       (.37 )           (.37 )     11.45       12.14       39       .55       .45       .75       3.20  
10/31/126,7     10.00       .16       .51       .67       (.11 )           (.11 )     10.56       6.72       13       .25       .20       .51       1.56  
Class 529-B:                                                                                                                
10/31/14     11.43       .27       .54       .81       (.27 )     (.01 )     (.28 )     11.96       7.10       1       1.32       1.22       1.53       2.34  
10/31/13     10.55       .27       .90       1.17       (.29 )           (.29 )     11.43       11.23       1       1.34       1.24       1.54       2.45  
10/31/126,7     10.00       .12       .53       .65       (.10 )           (.10 )     10.55       6.50       8     .58       .53       .84       1.12  
Class 529-C:                                                                                                                
10/31/14     11.41       .27       .53       .80       (.27 )     (.01 )     (.28 )     11.93       7.06       40       1.31       1.21       1.52       2.33  
10/31/13     10.54       .27       .89       1.16       (.29 )           (.29 )     11.41       11.23       29       1.33       1.23       1.53       2.42  
10/31/126,7     10.00       .13       .51       .64       (.10 )           (.10 )     10.54       6.41       9       .59       .54       .85       1.20  
Class 529-E:                                                                                                                
10/31/14     11.44       .34       .53       .87       (.33 )     (.01 )     (.34 )     11.97       7.70       5       .78       .68       .99       2.86  
10/31/13     10.56       .33       .89       1.22       (.34 )           (.34 )     11.44       11.80       3       .80       .70       1.00       2.98  
10/31/126,7     10.00       .15       .52       .67       (.11 )           (.11 )     10.56       6.69       1       .35       .30       .61       1.47  
Class 529-F-1:                                                                                                                
10/31/14     11.46       .40       .52       .92       (.38 )     (.01 )     (.39 )     11.99       8.16       4       .30       .20       .51       3.36  
10/31/13     10.57       .39       .89       1.28       (.39 )           (.39 )     11.46       12.36       2       .33       .23       .53       3.54  
10/31/126,7     10.00       .17       .52       .69       (.12 )           (.12 )     10.57       6.89       8     .14       .09       .40       1.63  

 

52 American Funds Portfolio Series
 

Income Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                                
10/31/14   $ 11.42     $ .27     $ .55     $ .82     $ (.29 )   $ (.01 )   $ (.30 )   $ 11.94       7.20 %   $ 2       1.23 %     1.13 %     1.44 %     2.34 %
10/31/13     10.55       .28       .90       1.18       (.31 )           (.31 )     11.42       11.36       1       1.23       1.13       1.43       2.57  
10/31/126,7     10.00       .17       .49       .66       (.11 )           (.11 )     10.55       6.59       8     .48       .43       .74       1.63  
Class R-2:                                                                                                                
10/31/14     11.42       .27       .54       .81       (.28 )     (.01 )     (.29 )     11.94       7.10       15       1.29       1.19       1.50       2.35  
10/31/13     10.56       .27       .90       1.17       (.31 )           (.31 )     11.42       11.26       10       1.25       1.15       1.45       2.44  
10/31/126,7     10.00       .13       .53       .66       (.10 )           (.10 )     10.56       6.67       2       .50       .45       .76       1.28  
Class R-2E:                                                                                                                
10/31/146,10     12.07       .08       (.07 )     .01       (.10 )           (.10 )     11.98       .07       8     .06 11     .04 11     .35 11     .69 11
Class R-3:                                                                                                                
10/31/14     11.45       .33       .53       .86       (.33 )     (.01 )     (.34 )     11.97       7.58       11       .81       .71       1.02       2.84  
10/31/13     10.56       .31       .92       1.23       (.34 )           (.34 )     11.45       11.86       6       .81       .71       1.01       2.83  
10/31/126,7     10.00       .19       .48       .67       (.11 )           (.11 )     10.56       6.75       2       .31       .26       .57       1.85  
Class R-4:                                                                                                                
10/31/14     11.46       .36       .55       .91       (.37 )     (.01 )     (.38 )     11.99       7.99       10       .47       .37       .68       3.05  
10/31/13     10.57       .37       .90       1.27       (.38 )           (.38 )     11.46       12.24       6       .45       .35       .65       3.37  
10/31/126,7     10.00       .23       .46       .69       (.12 )           (.12 )     10.57       6.89       1       .18       .14       .45       2.21  
Class R-5:                                                                                                                
10/31/14     11.47       .42       .51       .93       (.39 )     (.01 )     (.40 )     12.00       8.24       2       .19       .09       .40       3.58  
10/31/13     10.57       .39       .91       1.30       (.40 )           (.40 )     11.47       12.58       9       .19       .09       .39       3.54  
10/31/126,7     10.00       .17       .52       .69       (.12 )           (.12 )     10.57       6.91       5       .08       .03       .34       1.68  
Class R-6:                                                                                                                
10/31/14     11.47       .41       .53       .94       (.40 )     (.01 )     (.41 )     12.00       8.33       12       .13       .03       .34       3.48  
10/31/13     10.57       .37       .93       1.30       (.40 )           (.40 )     11.47       12.57       2       .13       .03       .33       3.29  
10/31/126,7     10.00       .19       .50       .69       (.12 )           (.12 )     10.57       6.89       8     .14       .09       .40       1.79  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 53
 

Financial highlights (continued)

 

Tax-Advantaged Income Portfolio

 

          Income (loss) from investment operations1     Dividends and distributions                                            
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    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
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                                
10/31/14   $ 11.54     $ .34     $ .94     $ 1.28     $ (.34 )   $     $ (.34 )   $ 12.48       11.25 %   $ 413       .54 %     .44 %     .81 %     2.85 %
10/31/13     10.66       .33       .86       1.19       (.30 )     (.01 )     (.31 )     11.54       11.28       220       .55       .45       .82       2.93  
10/31/126,7     10.00       .15       .62       .77       (.11 )           (.11 )     10.66       7.73       66       .24       .19       .55       1.45  
Class B:                                                                                                                
10/31/14     11.52       .26       .94       1.20       (.25 )           (.25 )     12.47       10.55       8     1.25       1.15       1.52       2.16  
10/31/13     10.66       .25       .85       1.10       (.23 )     (.01 )     (.24 )     11.52       10.38       8     1.28       1.18       1.55       2.24  
10/31/126,7     10.00       .12       .63       .75       (.09 )           (.09 )     10.66       7.51       8     .52       .48       .84       1.20  
Class C:                                                                                                                
10/31/14     11.50       .26       .93       1.19       (.26 )           (.26 )     12.43       10.49       60       1.24       1.14       1.51       2.14  
10/31/13     10.64       .25       .85       1.10       (.23 )     (.01 )     (.24 )     11.50       10.45       27       1.27       1.17       1.54       2.21  
10/31/126,7     10.00       .11       .63       .74       (.10 )           (.10 )     10.64       7.43       8       .55       .50       .86       1.01  
Class F-1:                                                                                                                
10/31/14     11.54       .35       .93       1.28       (.34 )           (.34 )     12.48       11.25       16       .51       .41       .78       2.91  
10/31/13     10.66       .33       .86       1.19       (.30 )     (.01 )     (.31 )     11.54       11.31       11       .53       .43       .80       2.92  
10/31/126,7     10.00       .14       .63       .77       (.11 )           (.11 )     10.66       7.79       3       .19       .15       .51       1.30  
Class F-2:                                                                                                                
10/31/14     11.54       .37       .96       1.33       (.37 )           (.37 )     12.50       11.71       18       .24       .14       .51       3.09  
10/31/13     10.67       .36       .85       1.21       (.33 )     (.01 )     (.34 )     11.54       11.46       6       .28       .18       .55       3.21  
10/31/126,7     10.00       .15       .64       .79       (.12 )           (.12 )     10.67       7.92       1       .10       .05       .41       1.48  

 

54 American Funds Portfolio Series
 

Preservation Portfolio

 

          Income (loss) from investment operations1                                                  
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    Net gains
(losses) on
securities
(both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net assets
value, end
of period
    Total
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                
10/31/14   $ 9.91     $ .10     $ .04     $ .14     $ (.10 )   $ 9.95       1.44 %   $ 436       .50 %     .39 %     .69 %     1.01 %
10/31/13     10.08       .11       (.17 )     (.06 )     (.11 )     9.91       (.59 )     333       .53       .41       .71       1.13  
10/31/126,7     10.00       .06       .07       .13       (.05 )     10.08       1.26       163       .23       .19       .50       .60  
Class B:                                                                                                
10/31/14     9.91       .03       .03       .06       (.02 )     9.95       .64       2       1.26       1.15       1.45       .28  
10/31/13     10.08       .04       (.17 )     (.13 )     (.04 )     9.91       (1.32 )     2       1.28       1.17       1.47       .38  
10/31/126,7     10.00       .03       .07       .10       (.02 )     10.08       .97       2       .55       .51       .82       .28  
Class C:                                                                                                
10/31/14     9.90       .03       .04       .07       (.03 )     9.94       .68       93       1.25       1.14       1.44       .27  
10/31/13     10.07       .04       (.17 )     (.13 )     (.04 )     9.90       (1.29 )     67       1.27       1.15       1.45       .39  
10/31/126,7     10.00       .03       .06       .09       (.02 )     10.07       .93       33       .55       .50       .81       .28  
Class F-1:                                                                                                
10/31/14     9.91       .10       .05       .15       (.10 )     9.96       1.51       9       .51       .41       .71       1.00  
10/31/13     10.08       .11       (.17 )     (.06 )     (.11 )     9.91       (.61 )     6       .54       .42       .72       1.13  
10/31/126,7     10.00       .06       .07       .13       (.05 )     10.08       1.33       7       .20       .15       .46       .63  
Class F-2:                                                                                                
10/31/14     9.91       .12       .04       .16       (.12 )     9.95       1.67       12       .25       .15       .45       1.25  
10/31/13     10.08       .14       (.17 )     (.03 )     (.14 )     9.91       (.34 )     6       .28       .17       .47       1.37  
10/31/126,7     10.00       .07       .07       .14       (.06 )     10.08       1.40       3       .10       .05       .36       .74  
Class 529-A:                                                                                                
10/31/14     9.91       .09       .04       .13       (.09 )     9.95       1.36       44       .56       .45       .75       .96  
10/31/13     10.08       .11       (.17 )     (.06 )     (.11 )     9.91       (.61 )     33       .56       .44       .74       1.09  
10/31/126,7     10.00       .06       .06       .12       (.04 )     10.08       1.25       17       .26       .22       .53       .57  
Class 529-B:                                                                                                
10/31/14     9.92       .02       .04       .06       (.02 )     9.96       .56       8     1.34       1.23       1.53       .20  
10/31/13     10.08       .03       (.16 )     (.13 )     (.03 )     9.92       (1.33 )     8     1.38       1.26       1.56       .29  
10/31/126,7     10.00       .02       .07       .09       (.01 )     10.08       .89       1       .59       .55       .86       .25  
Class 529-C:                                                                                                
10/31/14     9.91       .02       .04       .06       (.02 )     9.95       .60       22       1.34       1.23       1.53       .18  
10/31/13     10.08       .03       (.17 )     (.14 )     (.03 )     9.91       (1.38 )     17       1.37       1.25       1.55       .29  
10/31/126,7     10.00       .02       .07       .09       (.01 )     10.08       .93       9       .60       .55       .86       .24  
Class 529-E:                                                                                                
10/31/14     9.91       .07       .04       .11       (.07 )     9.95       1.12       2       .80       .70       1.00       .71  
10/31/13     10.07       .08       (.16 )     (.08 )     (.08 )     9.91       (.78 )     2       .83       .71       1.01       .83  
10/31/126,7     10.00       .05       .06       .11       (.04 )     10.07       1.13       1       .35       .31       .62       .47  
Class 529-F-1:                                                                                                
10/31/14     9.91       .12       .04       .16       (.12 )     9.95       1.59       8       .33       .22       .52       1.18  
10/31/13     10.08       .13       (.17 )     (.04 )     (.13 )     9.91       (.40 )     6       .35       .24       .54       1.28  
10/31/126,7     10.00       .07       .07       .14       (.06 )     10.08       1.37       1       .14       .10       .41       .68  

 

See page 57 for footnotes.

 

American Funds Portfolio Series 55
 

Financial highlights (continued)

 

Preservation Portfolio

 

          Income (loss) from investment operations1                                                  
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    Net gains
(losses) on
securities
(both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net assets
value, end
of period
    Total
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class R-1:                                                                                                
10/31/14   $ 9.91     $ .02     $ .05     $ .07     $ (.03 )   $ 9.95       .66 %   $ 1       1.26 %     1.15 %     1.45 %     .25 %
10/31/13     10.08       .04       (.17 )     (.13 )     (.04 )     9.91       (1.32 )     1       1.27       1.15       1.45       .39  
10/31/126,7     10.00       .03       .10       .13       (.05 )     10.08       1.30       8     .45       .41       .72       .35  
Class R-2:                                                                                                
10/31/14     9.90       .02       .04       .06       (.02 )     9.94       .62       8       1.33       1.22       1.52       .19  
10/31/13     10.07       .04       (.17 )     (.13 )     (.04 )     9.90       (1.30 )     6       1.29       1.17       1.47       .36  
10/31/126,7     10.00       .03       .08       .11       (.04 )     10.07       1.11       1       .47       .42       .73       .33  
Class R-2E:                                                                                                
10/31/146,10     9.96       .02       9     .02       (.02 )     9.96       .16       8     .06 11     .04 11     .34 11     .17 11
Class R-3:                                                                                                
10/31/14     9.91       .07       .04       .11       (.07 )     9.95       1.09       7       .84       .73       1.03       .67  
10/31/13     10.08       .08       (.17 )     (.09 )     (.08 )     9.91       (.85 )     5       .83       .72       1.02       .80  
10/31/126,7     10.00       .05       .07       .12       (.04 )     10.08       1.19       8     .33       .29       .60       .51  
Class R-4:                                                                                                
10/31/14     9.92       .10       .04       .14       (.10 )     9.96       1.43       3       .49       .39       .69       1.03  
10/31/13     10.08       .12       (.17 )     (.05 )     (.11 )     9.92       (.45 )     1       .49       .38       .68       1.16  
10/31/126,7     10.00       .06       .08       .14       (.06 )     10.08       1.36       8     .17       .13       .44       .63  
Class R-5:                                                                                                
10/31/14     9.91       .14       .04       .18       (.13 )     9.96       1.78       1       .22       .11       .41       1.35  
10/31/13     10.08       .14       (.17 )     (.03 )     (.14 )     9.91       (.28 )     4       .22       .10       .40       1.44  
10/31/126,7     10.00       .07       .07       .14       (.06 )     10.08       1.42       3       .08       .04       .35       .75  
Class R-6:                                                                                                
10/31/14     9.91       .13       .05       .18       (.13 )     9.96       1.76       6       .14       .04       .34       1.31  
10/31/13     10.08       .15       (.18 )     (.03 )     (.14 )     9.91       (.16 )     8     .20       .08       .38       1.45  
10/31/126,7     10.00       .07       .06       .13       (.05 )     10.08       1.34       8     .13       .08       .39       .72  

 

56 American Funds Portfolio Series
 

Tax-Exempt Preservation Portfolio

 

          Income (loss) from investment operations1                                                  
Period ended   Net asset
value,
beginning
of period
    Net
investment
income
(loss)
    Net gains
(losses) on
securities
(both
realized and
unrealized)
    Total from
investment
operations
    Dividends
(from net
investment
income)
    Net assets
value, end
of period
    Total
return2,3
    Net assets,
end of period
(in millions)
    Ratio of
expenses to
average net
assets before
reimbursements/
waivers4
    Ratio of
expenses to
average net
assets after
reimbursements/
waivers3,4
    Net
effective
expense
ratio3,5
    Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                                                
10/31/14   $ 9.81     $ .26     $ .18     $ .44     $ (.26 )   $ 9.99       4.50 %   $ 159       .56 %     .44 %     .75 %     2.59 %
10/31/13     10.11       .25       (.30 )     (.05 )     (.25 )     9.81       (.48 )     123       .58       .45       .76       2.54  
10/31/126,7     10.00       .12       .09       .21       (.10 )     10.11       2.10       72       .24       .19       .50       1.22  
Class B:                                                                                                
10/31/14     9.82       .19       .17       .36       (.18 )     10.00       3.74       8     1.27       1.15       1.46       1.91  
10/31/13     10.12       .18       (.30 )     (.12 )     (.18 )     9.82       (1.21 )     8     1.29       1.16       1.47       1.83  
10/31/126,7     10.00       .09       .09       .18       (.06 )     10.12       1.84       8     .53       .49       .80       .92  
Class C:                                                                                                
10/31/14     9.80       .19       .18       .37       (.19 )     9.98       3.79       42       1.26       1.14       1.45       1.90  
10/31/13     10.10       .18       (.30 )     (.12 )     (.18 )     9.80       (1.17 )     39       1.28       1.15       1.46       1.85  
10/31/126,7     10.00       .09       .09       .18       (.08 )     10.10       1.77       22       .55       .51       .82       .89  
Class F-1:                                                                                                
10/31/14     9.81       .26       .18       .44       (.26 )     9.99       4.54       4       .52       .40       .71       2.64  
10/31/13     10.11       .26       (.31 )     (.05 )     (.25 )     9.81       (.49 )     5       .56       .42       .73       2.56  
10/31/126,7     10.00       .12       .09       .21       (.10 )     10.11       2.13       9       .20       .16       .47       1.24  
Class F-2:                                                                                                
10/31/14     9.81       .29       .18       .47       (.29 )     9.99       4.81       11       .26       .15       .46       2.89  
10/31/13     10.11       .28       (.30 )     (.02 )     (.28 )     9.81       (.22 )     8       .30       .16       .47       2.82  
10/31/126,7     10.00       .13       .09       .22       (.11 )     10.11       2.25       12       .10       .05       .36       1.34  

 

    Period ended October 31
Portfolio turnover rate for all share classes   2014     2013     20126,7,12
Global Growth Portfolio     %13     %13     40 %
Growth Portfolio     13     13     24  
Growth and Income Portfolio     13     13     7  
Balanced Portfolio     13     13     9  
Income Portfolio     13     13     7  
Tax-Advantaged Income Portfolio     1       2 12     45  
Preservation Portfolio     5       11 12     16  
Tax-Exempt Preservation Portfolio     14       28 12     36  

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges.
3 This column reflects the impact, if any, of certain reimbursements/waivers from CRMC. During the periods shown, CRMC reduced fees for investment advisory services. During the periods shown, CRMC also reimbursed other fees and expenses for Preservation Portfolio and Tax-Exempt Preservation Portfolio.
4 This column does not include expenses of the underlying funds in which each fund invests.
5 This column reflects the net effective expense ratios for each fund and class, which are unaudited. These ratios include each class’s expense ratio combined with the weighted average net expense ratio of the underlying funds for the periods presented. See pages 60 to 68 for further information regarding fees and expenses.
6 Based on operations for the period shown and, accordingly, is not representative of a full year.
7 For the period May 18, 2012, commencement of operations, through October 31, 2012.
8 Amount less than $1 million.
9 Amount less than $.01.
10 Class R-2E shares were offered beginning August 29, 2014.
11 Class R-2E assets consisted solely of seed capital invested by CRMC; therefore, certain fees were not accrued.
12 Portfolio turnover rates reflect the redemption (or removal) of CRMC’s initial capital investment, without which the portfolio turnover rates would have been lower.
13 Amount is either less than 1% or there is no turnover.

 

See Notes to Financial Statements

 

American Funds Portfolio Series 57
 

Report of Independent Registered Public Accounting Firm

 

To the Shareholders and Board of Trustees of the American Funds Portfolio Series:

 

We have audited the accompanying statements of assets and liabilities, including the investment portfolios, of the American Funds Portfolio Series comprising the American Funds Global Growth Portfolio, American Funds Growth Portfolio, American Funds Growth and Income Portfolio, American Funds Balanced Portfolio, American Funds Income Portfolio, American Funds Tax-Advantaged Income Portfolio, American Funds Preservation Portfolio and American Funds Tax-Exempt Preservation Portfolio (the “Series”), as of October 31, 2014, and the related statements of operations for the year then ended, the statements of changes in net assets for each of the two years in the period then ended, and the financial highlights for each of the periods presented. These financial statements and financial highlights are the responsibility of the Series’ management. Our responsibility is to express an opinion on these financial statements and financial highlights based on our audits.

 

We conducted our audits 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 and financial highlights are free of material misstatement. The Series is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Series’ internal control over financial reporting. Accordingly, we express no such opinion. An audit also 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, as well as evaluating the overall financial statement presentation. Our procedures included confirmation of investments owned as of October 31, 2014, by correspondence with the custodian and transfer agent; where replies were not received from the transfer agent, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

In our opinion, such financial statements and financial highlights referred to above present fairly, in all material respects, the financial position of each of the funds comprising the American Funds Portfolio Series as of October 31, 2014, the results of their operations for the year then ended, the changes in their net assets for each of the two years in the period then ended, and the financial highlights for each of the periods presented, in conformity with accounting principles generally accepted in the United States of America.

 

Deloitte & Touche LLP

 

Costa Mesa, California

December 12, 2014

 

58 American Funds Portfolio Series
 
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 series hereby designate the following amounts for the year ended October 31, 2014:

 

    Global
Growth
Portfolio
    Growth
Portfolio
    Growth and
Income
Portfolio
    Balanced
Portfolio
 
Long-term capital gains   $ 686,000     $ 6,486,000     $ 5,379,000     $ 1,802,000  
Foreign taxes (per share)   $ 0.011     $ 0.005     $ 0.004     $ 0.004  
Foreign source income (per share)   $ 0.11     $ 0.03     $ 0.07     $ 0.04  
Qualified dividend income     100 %     100 %     100 %     100 %
Corporate dividends received deduction   $ 5,708,000       100 %   $ 33,495,000     $ 24,010,000  
U.S. government income that may be exempt from state taxation   $ 10,000     $ 9,000     $ 1,120,000     $ 1,992,000  
                                 
    Income
Portfolio
    Tax-Advantaged
Income
Portfolio
    Preservation
Portfolio
    Tax-Exempt
Preservation
Portfolio
 
Long-term capital gains   $ 2,042,000     $ 131,000              
Foreign taxes (per share)         $ 0.004              
Foreign source income (per share)         $ 0.04              
Qualified dividend income   $ 39,255,000       100 %*   $ 11,000        
Corporate dividends received deduction   $ 24,344,000     $ 3,352,000     $ 11,000        
Exempt interest dividends         $ 6,408,000             100 %
U.S. government income that may be exempt from state taxation   $ 3,537,000     $ 3,000     $ 1,352,000        

 

* The percentage applies only to the taxable ordinary income that has been reported on Form 1099-DIV.

 

Individual shareholders should refer to their Form 1099 or other tax information, which will be mailed in January 2015, to determine the calendar year amounts to be included on their 2014 tax returns. Shareholders should consult their tax advisors.

 

American Funds Portfolio Series 59
 
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 examples are based on an investment of $1,000 invested at the beginning of the period and held for the entire six-month period (May 1, 2014, through October 31, 2014).

 

Actual expenses:

The first line of each share class in the tables 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 tables 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:

Retirement plan participants may be subject to certain fees charged by the plan sponsor and 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 tables 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 tables 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.

 

60 American Funds Portfolio Series
 

Global Growth Portfolio

 

    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,027.74     $ 1.58       .31 %   $ 4.09       .80 %
Class A – assumed 5% return     1,000.00       1,023.64       1.58       .31       4.08       .80  
Class B – actual return     1,000.00       1,023.03       5.76       1.13       8.26       1.62  
Class B – assumed 5% return     1,000.00       1,019.51       5.75       1.13       8.24       1.62  
Class C – actual return     1,000.00       1,023.79       5.71       1.12       8.21       1.61  
Class C – assumed 5% return     1,000.00       1,019.56       5.70       1.12       8.19       1.61  
Class F-1 – actual return     1,000.00       1,027.74       1.99       .39       4.50       .88  
Class F-1 – assumed 5% return     1,000.00       1,023.24       1.99       .39       4.48       .88  
Class F-2 – actual return     1,000.00       1,029.06       .61       .12       3.12       .61  
Class F-2 – assumed 5% return     1,000.00       1,024.60       .61       .12       3.11       .61  
Class 529-A – actual return     1,000.00       1,027.75       1.79       .35       4.29       .84  
Class 529-A – assumed 5% return     1,000.00       1,023.44       1.79       .35       4.28       .84  
Class 529-B – actual return     1,000.00       1,023.04       6.17       1.21       8.67       1.70  
Class 529-B – assumed 5% return     1,000.00       1,019.11       6.16       1.21       8.64       1.70  
Class 529-C – actual return     1,000.00       1,023.11       6.17       1.21       8.67       1.70  
Class 529-C – assumed 5% return     1,000.00       1,019.11       6.16       1.21       8.64       1.70  
Class 529-E – actual return     1,000.00       1,025.73       3.42       .67       5.92       1.16  
Class 529-E – assumed 5% return     1,000.00       1,021.83       3.41       .67       5.90       1.16  
Class 529-F-1 – actual return     1,000.00       1,028.39       1.02       .20       3.53       .69  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.20       1.02       .20       3.52       .69  
Class R-1 – actual return     1,000.00       1,023.76       5.82       1.14       8.31       1.63  
Class R-1 – assumed 5% return     1,000.00       1,019.46       5.80       1.14       8.29       1.63  
Class R-2 – actual return     1,000.00       1,023.09       6.12       1.20       8.62       1.69  
Class R-2 – assumed 5% return     1,000.00       1,019.16       6.11       1.20       8.59       1.69  
Class R-2E – actual return5     1,000.00       986.69       .41       .24       1.25       .73  
Class R-2E – assumed 5% return5     1,000.00       1,024.00       1.22       .24       3.72       .73  
Class R-3 – actual return     1,000.00       1,026.46       3.58       .70       6.08       1.19  
Class R-3 – assumed 5% return     1,000.00       1,021.68       3.57       .70       6.06       1.19  
Class R-4 – actual return     1,000.00       1,027.03       1.89       .37       4.39       .86  
Class R-4 – assumed 5% return     1,000.00       1,023.34       1.89       .37       4.38       .86  
Class R-5 – actual return     1,000.00       1,028.34       .51       .10       3.02       .59  
Class R-5 – assumed 5% return     1,000.00       1,024.70       .51       .10       3.01       .59  
Class R-6 – actual return     1,000.00       1,029.62       .15       .03       2.66       .52  
Class R-6 – assumed 5% return     1,000.00       1,025.05       .15       .03       2.65       .52  

 

See page 68 for footnotes.

 

American Funds Portfolio Series 61
 
Growth Portfolio                                    
                                     
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,044.19     $ 1.55       .30 %   $ 3.76       .73 %
Class A – assumed 5% return     1,000.00       1,023.69       1.53       .30       3.72       .73  
Class B – actual return     1,000.00       1,040.44       5.76       1.12       7.97       1.55  
Class B – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.88       1.55  
Class C – actual return     1,000.00       1,040.49       5.76       1.12       7.97       1.55  
Class C – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.88       1.55  
Class F-1 – actual return     1,000.00       1,044.21       1.96       .38       4.17       .81  
Class F-1 – assumed 5% return     1,000.00       1,023.29       1.94       .38       4.13       .81  
Class F-2 – actual return     1,000.00       1,045.46       .62       .12       2.84       .55  
Class F-2 – assumed 5% return     1,000.00       1,024.60       .61       .12       2.80       .55  
Class 529-A – actual return     1,000.00       1,044.21       1.96       .38       4.17       .81  
Class 529-A – assumed 5% return     1,000.00       1,023.29       1.94       .38       4.13       .81  
Class 529-B – actual return     1,000.00       1,039.75       6.22       1.21       8.43       1.64  
Class 529-B – assumed 5% return     1,000.00       1,019.11       6.16       1.21       8.34       1.64  
Class 529-C – actual return     1,000.00       1,039.81       6.17       1.20       8.38       1.63  
Class 529-C – assumed 5% return     1,000.00       1,019.16       6.11       1.20       8.29       1.63  
Class 529-E – actual return     1,000.00       1,043.03       3.45       .67       5.66       1.10  
Class 529-E – assumed 5% return     1,000.00       1,021.83       3.41       .67       5.60       1.10  
Class 529-F-1 – actual return     1,000.00       1,045.52       .98       .19       3.20       .62  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.25       .97       .19       3.16       .62  
Class R-1 – actual return     1,000.00       1,040.41       5.81       1.13       8.02       1.56  
Class R-1 – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.93       1.56  
Class R-2 – actual return     1,000.00       1,039.78       6.17       1.20       8.38       1.63  
Class R-2 – assumed 5% return     1,000.00       1,019.16       6.11       1.20       8.29       1.63  
Class R-2E – actual return5     1,000.00       988.42       .39       .23       1.13       .66  
Class R-2E – assumed 5% return5     1,000.00       1,024.05       1.17       .23       3.36       .66  
Class R-3 – actual return     1,000.00       1,042.98       3.60       .70       5.82       1.13  
Class R-3 – assumed 5% return     1,000.00       1,021.68       3.57       .70       5.75       1.13  
Class R-4 – actual return     1,000.00       1,044.89       1.86       .36       4.07       .79  
Class R-4 – assumed 5% return     1,000.00       1,023.39       1.84       .36       4.02       .79  
Class R-5 – actual return     1,000.00       1,045.43       .46       .09       2.68       .52  
Class R-5 – assumed 5% return     1,000.00       1,024.75       .46       .09       2.65       .52  
Class R-6 – actual return     1,000.00       1,046.11       .10       .02       2.32       .45  
Class R-6 – assumed 5% return     1,000.00       1,025.10       .10       .02       2.29       .45  

 

62 American Funds Portfolio Series
 
Growth and Income Portfolio                  
                   
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,045.87     $ 1.60       .31 %   $ 3.51       .68 %
Class A – assumed 5% return     1,000.00       1,023.64       1.58       .31       3.47       .68  
Class B – actual return     1,000.00       1,041.54       5.76       1.12       7.67       1.49  
Class B – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.58       1.49  
Class C – actual return     1,000.00       1,041.40       5.71       1.11       7.62       1.48  
Class C – assumed 5% return     1,000.00       1,019.61       5.65       1.11       7.53       1.48  
Class F-1 – actual return     1,000.00       1,044.73       1.96       .38       3.87       .75  
Class F-1 – assumed 5% return     1,000.00       1,023.29       1.94       .38       3.82       .75  
Class F-2 – actual return     1,000.00       1,046.74       .57       .11       2.48       .48  
Class F-2 – assumed 5% return     1,000.00       1,024.65       .56       .11       2.45       .48  
Class 529-A – actual return     1,000.00       1,045.39       2.01       .39       3.92       .76  
Class 529-A – assumed 5% return     1,000.00       1,023.24       1.99       .39       3.87       .76  
Class 529-B – actual return     1,000.00       1,041.31       6.17       1.20       8.08       1.57  
Class 529-B – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.98       1.57  
Class 529-C – actual return     1,000.00       1,040.87       6.17       1.20       8.08       1.57  
Class 529-C – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.98       1.57  
Class 529-E – actual return     1,000.00       1,044.17       3.40       .66       5.31       1.03  
Class 529-E – assumed 5% return     1,000.00       1,021.88       3.36       .66       5.24       1.03  
Class 529-F-1 – actual return     1,000.00       1,046.40       .98       .19       2.89       .56  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.25       .97       .19       2.85       .56  
Class R-1 – actual return     1,000.00       1,041.19       5.76       1.12       7.67       1.49  
Class R-1 – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.58       1.49  
Class R-2 – actual return     1,000.00       1,041.08       6.12       1.19       8.03       1.56  
Class R-2 – assumed 5% return     1,000.00       1,019.21       6.06       1.19       7.93       1.56  
Class R-2E – actual return5     1,000.00       996.57       .40       .23       1.03       .60  
Class R-2E – assumed 5% return5     1,000.00       1,024.05       1.17       .23       3.06       .60  
Class R-3 – actual return     1,000.00       1,043.35       3.55       .69       5.46       1.06  
Class R-3 – assumed 5% return     1,000.00       1,021.73       3.52       .69       5.40       1.06  
Class R-4 – actual return     1,000.00       1,045.65       1.86       .36       3.76       .73  
Class R-4 – assumed 5% return     1,000.00       1,023.39       1.84       .36       3.72       .73  
Class R-5 – actual return     1,000.00       1,046.95       .36       .07       2.27       .44  
Class R-5 – assumed 5% return     1,000.00       1,024.85       .36       .07       2.24       .44  
Class R-6 – actual return     1,000.00       1,047.24       .10       .02       2.01       .39  
Class R-6 – assumed 5% return     1,000.00       1,025.10       .10       .02       1.99       .39  

 

See page 68 for footnotes.

 

American Funds Portfolio Series 63
 
Balanced Portfolio                                    
                                     
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,036.44     $ 1.69       .33 %   $ 3.44       .67 %
Class A – assumed 5% return     1,000.00       1,023.54       1.68       .33       3.41       .67  
Class B – actual return     1,000.00       1,033.11       5.74       1.12       7.48       1.46  
Class B – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.43       1.46  
Class C – actual return     1,000.00       1,032.82       5.69       1.11       7.43       1.45  
Class C – assumed 5% return     1,000.00       1,019.61       5.65       1.11       7.37       1.45  
Class F-1 – actual return     1,000.00       1,036.07       1.95       .38       3.70       .72  
Class F-1 – assumed 5% return     1,000.00       1,023.29       1.94       .38       3.67       .72  
Class F-2 – actual return     1,000.00       1,037.38       .62       .12       2.36       .46  
Class F-2 – assumed 5% return     1,000.00       1,024.60       .61       .12       2.35       .46  
Class 529-A – actual return     1,000.00       1,036.78       2.16       .42       3.90       .76  
Class 529-A – assumed 5% return     1,000.00       1,023.09       2.14       .42       3.87       .76  
Class 529-B – actual return     1,000.00       1,031.85       6.15       1.20       7.89       1.54  
Class 529-B – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.83       1.54  
Class 529-C – actual return     1,000.00       1,032.29       6.15       1.20       7.89       1.54  
Class 529-C – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.83       1.54  
Class 529-E – actual return     1,000.00       1,034.79       3.38       .66       5.13       1.00  
Class 529-E – assumed 5% return     1,000.00       1,021.88       3.36       .66       5.09       1.00  
Class 529-F-1 – actual return     1,000.00       1,037.81       .98       .19       2.72       .53  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.25       .97       .19       2.70       .53  
Class R-1 – actual return     1,000.00       1,032.02       5.74       1.12       7.48       1.46  
Class R-1 – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.43       1.46  
Class R-2 – actual return     1,000.00       1,032.43       6.04       1.18       7.79       1.52  
Class R-2 – assumed 5% return     1,000.00       1,019.26       6.01       1.18       7.73       1.52  
Class R-2E – actual return5     1,000.00       999.04       .41       .24       1.00       .58  
Class R-2E – assumed 5% return5     1,000.00       1,024.00       1.22       .24       2.96       .58  
Class R-3 – actual return     1,000.00       1,034.70       3.59       .70       5.33       1.04  
Class R-3 – assumed 5% return     1,000.00       1,021.68       3.57       .70       5.30       1.04  
Class R-4 – actual return     1,000.00       1,036.22       1.85       .36       3.59       .70  
Class R-4 – assumed 5% return     1,000.00       1,023.39       1.84       .36       3.57       .70  
Class R-5 – actual return     1,000.00       1,038.29       .36       .07       2.11       .41  
Class R-5 – assumed 5% return     1,000.00       1,024.85       .36       .07       2.09       .41  
Class R-6 – actual return     1,000.00       1,038.64       .10       .02       1.85       .36  
Class R-6 – assumed 5% return     1,000.00       1,025.10       .10       .02       1.84       .36  
                                                 
64 American Funds Portfolio Series
 
Income Portfolio                                    
                                     
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
  Effective
expenses paid
during period3
      Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,030.22     $ 1.79       .35 %   $ 3.38       .66 %
Class A – assumed 5% return     1,000.00       1,023.44       1.79       .35       3.36       .66  
Class B – actual return     1,000.00       1,026.91       5.72       1.12       7.31       1.43  
Class B – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.27       1.43  
Class C – actual return     1,000.00       1,025.79       5.67       1.11       7.25       1.42  
Class C – assumed 5% return     1,000.00       1,019.61       5.65       1.11       7.22       1.42  
Class F-1 – actual return     1,000.00       1,030.00       1.94       .38       3.53       .69  
Class F-1 – assumed 5% return     1,000.00       1,023.29       1.94       .38       3.52       .69  
Class F-2 – actual return     1,000.00       1,032.18       .56       .11       2.15       .42  
Class F-2 – assumed 5% return     1,000.00       1,024.65       .56       .11       2.14       .42  
Class 529-A – actual return     1,000.00       1,029.76       2.15       .42       3.73       .73  
Class 529-A – assumed 5% return     1,000.00       1,023.09       2.14       .42       3.72       .73  
Class 529-B – actual return     1,000.00       1,025.63       6.13       1.20       7.71       1.51  
Class 529-B – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.68       1.51  
Class 529-C – actual return     1,000.00       1,025.16       6.13       1.20       7.71       1.51  
Class 529-C – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.68       1.51  
Class 529-E – actual return     1,000.00       1,028.68       3.37       .66       4.96       .97  
Class 529-E – assumed 5% return     1,000.00       1,021.88       3.36       .66       4.94       .97  
Class 529-F-1 – actual return     1,000.00       1,030.92       .97       .19       2.56       .50  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.25       .97       .19       2.55       .50  
Class R-1 – actual return     1,000.00       1,026.91       5.72       1.12       7.31       1.43  
Class R-1 – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.27       1.43  
Class R-2 – actual return     1,000.00       1,025.34       6.02       1.18       7.61       1.49  
Class R-2 – assumed 5% return     1,000.00       1,019.26       6.01       1.18       7.58       1.49  
Class R-2E – actual return5     1,000.00       1,000.75       .41       .24       .95       .55  
Class R-2E – assumed 5% return5     1,000.00       1,024.00       1.22       .24       2.80       .55  
Class R-3 – actual return     1,000.00       1,028.44       3.58       .70       5.16       1.01  
Class R-3 – assumed 5% return     1,000.00       1,021.68       3.57       .70       5.14       1.01  
Class R-4 – actual return     1,000.00       1,030.30       1.84       .36       3.43       .67  
Class R-4 – assumed 5% return     1,000.00       1,023.39       1.84       .36       3.41       .67  
Class R-5 – actual return     1,000.00       1,031.14       .36       .07       1.95       .38  
Class R-5 – assumed 5% return     1,000.00       1,024.85       .36       .07       1.94       .38  
Class R-6 – actual return     1,000.00       1,031.75       .10       .02       1.69       .33  
Class R-6 – assumed 5% return     1,000.00       1,025.10       .10       .02       1.68       .33  

 

See page 68 for footnotes.

 

American Funds Portfolio Series 65
 
Tax-Advantaged Income Portfolio            
             
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,044.33     $ 2.27       .44 %   $ 4.17       .81 %
Class A – assumed 5% return     1,000.00       1,022.99       2.24       .44       4.13       .81  
Class B – actual return     1,000.00       1,041.86       5.82       1.13       7.72       1.50  
Class B – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.63       1.50  
Class C – actual return     1,000.00       1,041.30       5.76       1.12       7.67       1.49  
Class C – assumed 5% return     1,000.00       1,019.56       5.70       1.12       7.58       1.49  
Class F-1 – actual return     1,000.00       1,044.48       2.01       .39       3.92       .76  
Class F-1 – assumed 5% return     1,000.00       1,023.24       1.99       .39       3.87       .76  
Class F-2 – actual return     1,000.00       1,046.66       .62       .12       2.53       .49  
Class F-2 – assumed 5% return     1,000.00       1,024.60       .61       .12       2.50       .49  
                                                 
66 American Funds Portfolio Series
 
Preservation Portfolio                                    
                                     
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,007.52     $ 2.07       .41 %   $ 3.59       .71 %
Class A – assumed 5% return     1,000.00       1,023.14       2.09       .41       3.62       .71  
Class B – actual return     1,000.00       1,003.73       5.71       1.13       7.22       1.43  
Class B – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.27       1.43  
Class C – actual return     1,000.00       1,003.95       5.71       1.13       7.22       1.43  
Class C – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.27       1.43  
Class F-1 – actual return     1,000.00       1,008.62       1.97       .39       3.49       .69  
Class F-1 – assumed 5% return     1,000.00       1,023.24       1.99       .39       3.52       .69  
Class F-2 – actual return     1,000.00       1,008.95       .66       .13       2.18       .43  
Class F-2 – assumed 5% return     1,000.00       1,024.55       .66       .13       2.19       .43  
Class 529-A – actual return     1,000.00       1,007.39       2.18       .43       3.69       .73  
Class 529-A – assumed 5% return     1,000.00       1,023.04       2.19       .43       3.72       .73  
Class 529-B – actual return     1,000.00       1,004.28       6.16       1.22       7.68       1.52  
Class 529-B – assumed 5% return     1,000.00       1,019.06       6.21       1.22       7.73       1.52  
Class 529-C – actual return     1,000.00       1,004.53       6.11       1.21       7.63       1.51  
Class 529-C – assumed 5% return     1,000.00       1,019.11       6.16       1.21       7.68       1.51  
Class 529-E – actual return     1,000.00       1,007.14       3.44       .68       4.96       .98  
Class 529-E – assumed 5% return     1,000.00       1,021.78       3.47       .68       4.99       .98  
Class 529-F-1 – actual return     1,000.00       1,008.54       1.06       .21       2.58       .51  
Class 529-F-1 – assumed 5% return     1,000.00       1,024.15       1.07       .21       2.60       .51  
Class R-1 – actual return     1,000.00       1,003.76       5.76       1.14       7.27       1.44  
Class R-1 – assumed 5% return     1,000.00       1,019.46       5.80       1.14       7.32       1.44  
Class R-2 – actual return     1,000.00       1,004.53       6.06       1.20       7.58       1.50  
Class R-2 – assumed 5% return     1,000.00       1,019.16       6.11       1.20       7.63       1.50  
Class R-2E – actual return5     1,000.00       1,001.62       .43       .25       .95       .55  
Class R-2E – assumed 5% return5     1,000.00       1,023.95       1.28       .25       2.80       .55  
Class R-3 – actual return     1,000.00       1,006.14       3.54       .70       5.06       1.00  
Class R-3 – assumed 5% return     1,000.00       1,021.68       3.57       .70       5.09       1.00  
Class R-4 – actual return     1,000.00       1,008.71       1.87       .37       3.39       .67  
Class R-4 – assumed 5% return     1,000.00       1,023.34       1.89       .37       3.41       .67  
Class R-5 – actual return     1,000.00       1,009.73       .56       .11       2.08       .41  
Class R-5 – assumed 5% return     1,000.00       1,024.65       .56       .11       2.09       .41  
Class R-6 – actual return     1,000.00       1,010.42       .20       .04       1.72       .34  
Class R-6 – assumed 5% return     1,000.00       1,025.00       .20       .04       1.73       .34  

 

See page 68 for footnotes.

 

American Funds Portfolio Series 67
 
Tax-Exempt Preservation Portfolio                        
                         
    Beginning
account value
5/1/2014
    Ending
account value
10/31/2014
    Expenses
paid during
period1,2
    Annualized
expense ratio2
    Effective
expenses paid
during period3
    Effective
annualized
expense ratio4
 
Class A – actual return   $ 1,000.00     $ 1,021.79     $ 2.19       .43 %   $ 3.77       .74 %
Class A – assumed 5% return     1,000.00       1,023.04       2.19       .43       3.77       .74  
Class B – actual return     1,000.00       1,018.09       5.75       1.13       7.32       1.44  
Class B – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.32       1.44  
Class C – actual return     1,000.00       1,018.25       5.75       1.13       7.33       1.44  
Class C – assumed 5% return     1,000.00       1,019.51       5.75       1.13       7.32       1.44  
Class F-1 – actual return     1,000.00       1,020.93       1.99       .39       3.57       .70  
Class F-1 – assumed 5% return     1,000.00       1,023.24       1.99       .39       3.57       .70  
Class F-2 – actual return     1,000.00       1,023.33       .66       .13       2.24       .44  
Class F-2 – assumed 5% return     1,000.00       1,024.55       .66       .13       2.24       .44  
                                                 
1 The “expenses paid during period” are equal to the “annualized expense ratio,” multiplied by the average account value over the period, multiplied by the number of days in the period, and divided by 365 (to reflect the one-half year period).
2 The “expenses paid during period” and “annualized expense ratio” do not include the expenses of the underlying funds in which each fund invests.
3 The “effective expenses paid during period” are equal to the “effective annualized expense ratio,” multiplied by the average account value over the period, multiplied by the number of days in the period, and divided by 365 (to reflect the one-half year period).
4 The “effective annualized expense ratio” reflects the net annualized expense ratio of the class plus the class’s pro-rata share of the weighted average expense ratio of the underlying funds in which it invests. The annualized weighted average expense ratio of the underlying funds for the period reflects the net actual expense ratio of each underlying fund for the period, annualized and weighted for the fund’s relative average investment therein during the period.
5 The period for the “annualized expense ratio,” the “effective annualized expense ratio” and the “actual return” line is based on the number of days since the initial sale of the share class on August 29, 2014. The “assumed 5% return” line is based on 184 days.
   
68 American Funds Portfolio Series
 

Board of trustees and other officers

 

“Independent” trustees1

 

Name and year of birth   Year first
elected
a trustee
of the series2
  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   2012   CEO and President, Richard Nixon Foundation; former Chairman of the Board and CEO, Oakwood Enterprises (private investment and consulting)   72   None
James G. Ellis, 1947   2012   Dean and Professor of Marketing, Marshall School of Business, University of Southern California   72   Mercury General Corp.
Leonard R. Fuller, 1946   2012   President and CEO, Fuller Consulting (financial management consulting firm)   72   None
R. Clark Hooper, 1946
Chairman of the Board
(Independent and Non-Executive)
  2012   Private investor   74   The Swiss Helvetia Fund, Inc.
Merit E. Janow, 1958   2012   Dean and Professor, Columbia University, School of International and Public Affairs   71   MasterCard Incorporated;
The NASDAQ Stock Market LLC;
Trimble Navigation Limited
Laurel B. Mitchell, Ph.D., 1955   2012   Clinical Professor and Director, Accounting Program, University of Redlands   68   None
Frank M. Sanchez, 1943   2012   Principal, The Sanchez Family Corporation dba McDonald’s Restaurants (McDonald’s licensee)   68   None
Margaret Spellings, 1957   2012   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; former U.S. Secretary of Education, U.S. Department of Education   72   None
Steadman Upham, Ph.D., 1949   2012   President and University Professor, The University of Tulsa   71   None

 

“Interested” trustee4,5

 

Name, year of birth and
position with series
  Year first
elected
a trustee
or officer
of the series2
  Principal occupation(s) during past five years
and positions held with affiliated entities or
the principal underwriter of the series
  Number of
portfolios in
fund complex
overseen

by trustee
  Other directorships3
held by trustee
Bradley J. Vogt, 1965
Vice Chairman of the Board
  2012   Chairman, Capital Research Company;6 Partner — Capital Research Global Investors, Capital Research and Management Company; Director, American Funds Distributors, Inc.;6 Director, The Capital Group Companies, Inc.6   16   None

 

The series statement of additional information includes further details about the series 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 series is 333 South Hope Street, Los Angeles, CA 90071, Attention: Secretary.

 

See page 70 for footnotes.

 

American Funds Portfolio Series 69
 

Other officers5

 

Name, year of birth and
position with series
  Year first
elected
an officer
of the series2
  Principal occupation(s) during past five years and positions held with affiliated entities
or the principal underwriter of the series
Walter R. Burkley, 1966
President
  2012   Senior Vice President and Senior Counsel — Fund Business Management Group, Capital Research and Management Company; Director, Capital Research Company6
Alan N. Berro, 1960
Senior Vice President
  2012   Partner — Capital World Investors, Capital Research and Management Company
James B. Lovelace, 1956
Senior Vice President
  2012   Partner — Capital Research Global Investors, Capital Research and Management Company;
Director, Capital Research and Management Company
Wesley K.-S. Phoa, 1966
Senior Vice President
  2012   Partner — Capital Fixed Income Investors, Capital Research and Management Company;
Partner — Capital Fixed Income Investors, Capital Bank and Trust Company;6
Vice President, Capital Strategy Research, Inc.6
John H. Smet, 1956
Senior Vice President
  2012   Partner — Capital Fixed Income Investors, Capital Research and Management Company;
Director, Capital Research and Management Company
Andrew B. Suzman, 1967
Senior Vice President
  2012   Partner — Capital World Investors, Capital Research and Management Company;
Partner — Capital World Investors, Capital Bank and Trust Company;6
Director, American Funds Distributors, Inc.;6 Director, Capital Strategy Research, Inc.;6
Director, The Capital Group Companies, Inc.6
Maria T. Manotok, 1974
Vice President
  2012   Vice President and Senior Counsel — Fund Business Management Group, Capital Research and Management Company
Steven I. Koszalka, 1964
Secretary
  2012   Vice President — Fund Business Management Group, Capital Research and Management Company
Gregory F. Niland, 1971
Treasurer
  2012   Vice President — Investment Operations, Capital Research and Management Company
Karl C. Grauman, 1968
Assistant Treasurer
  2012   Vice President — Investment Operations, Capital Research and Management Company
Dori Laskin, 1951
Assistant Treasurer
  2012   Vice President — Investment Operations, Capital Research and Management Company

 

1 The term “independent” trustee refers to a director who is not an “interested person” of the series within the meaning of the Investment Company Act of 1940.
2 Trustees and officers of the series 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 affiliation with the series’ investment adviser, Capital Research and Management Company, or affiliated entities (including the series’ 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.

 

70 American Funds Portfolio Series
 

Office of the series
6455 Irvine Center Drive
Irvine, CA 92618-4518

 

Investment adviser
Capital Research and Management Company
333 South Hope Street
Los Angeles, CA 90071-1406

 

Transfer agent for shareholder accounts
American Funds Service Company
(Write to the address near you.)

 

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

 

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

 

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

 

Counsel
Morgan, Lewis & Bockius LLP
355 South Grand Avenue, Suite 4400
Los Angeles, CA 90071-3106

 

Independent registered public accounting firm
Deloitte & Touche LLP
695 Town Center Drive
Suite 1200
Costa Mesa, CA 92626-7188

 

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

 

American Funds Portfolio Series 71
 

Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the series 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.

 

“Proxy Voting Guidelines for American Funds Portfolio Series” — which describes how we vote proxies relating to the underlying funds held in the portfolios — is available on the American Funds website or upon request by calling AFS. The series 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.

 

Visit the American Funds website for more information on the securities held by the underlying funds in the American Funds Portfolio Series portfolios.

 

American Funds Portfolio Series 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 Portfolio Series, but it also may be used as sales literature when preceded or accompanied by the current prospectus, which gives details about charges, expenses, investment objectives and operating policies of the series. If used as sales material after December 31, 2014, this report must be accompanied by an American Funds statistical update for the most recently completed calendar quarter.

 

72 American Funds Portfolio Series
 

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 26 years of investment experience, including 21 years at our company, reflecting a career commitment to our long-term approach.1
   
  The Capital SystemSM
  Our investment process, The Capital System, combines individual accountability with teamwork. Each fund is 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 90% of 10-year periods and 96% of 20-year periods. Our fixed-income funds have beaten their Lipper indexes in 56% of 10-year periods and 57% 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, 2013.
  2 Based on Class A share results for rolling periods through December 31, 2013. Periods covered are the shorter of the fund’s lifetime or since the comparable Lipper index inception date (except SMALLCAP World Fund, for which the Lipper average was used).
  3 Based on management fees for the 20-year period ended December 31, 2013, versus comparable Lipper categories, excluding funds of funds.

 

 Printed on paper containing 10% post-consumer waste    Printed with inks containing soy and/or vegetable oil
Lit. No. MFGEARX-900-1214P   Litho in USA CGD/Q/10216-S43200
 

 

 

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

 

  Registrant:
    a)  Audit Fees:
      2013 $34,000
      2014 $74,000
       
    b)  Audit-Related Fees:
      2013 $2,000
      2014 $2,000
      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:
      2013 $16,000
      2014 None
      The tax fees consist of professional services relating to the preparation of the Registrant’s tax returns.
       
    d)  All Other Fees:
      2013 None
      2014 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:
      2013 $1,046,000
      2014 $1,028,000
      The audit-related fees consist of assurance and related services relating to the examination of the Registrant’s transfer agent, principal underwriter and investment adviser conducted in accordance with Statement on Standards for Attestation Engagements Number 16 issued by the American Institute of Certified Public Accountants.
       
    c)  Tax Fees:
      2013 $36,000
      2014 $33,000
      The tax fees consist of consulting services relating to the Registrant’s investments.
     
    d)  All Other Fees:
      2013 $2,000
      2014 $3,000
      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 $1,474,000 for fiscal year 2013 and $1,419,000 for fiscal year 2014. The non-audit services represented by these amounts were brought to the attention of the committee and considered to be compatible with maintaining the auditors’ independence.

 

 

ITEM 5 – Audit Committee of Listed Registrants

 

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

 

 

ITEM 6 – Schedule of Investments

 

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

 

 

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

 

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

 

 

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

 

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

 

 

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

 

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

 

 

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

 

There have been no material changes to the procedures by which shareholders may recommend nominees to the Registrant’s board of trustees since the Registrant last submitted a proxy statement to its shareholders. The procedures are as follows. The Registrant has a nominating 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 PORTFOLIO  SERIES
   
  By /s/ Walter R. Burkley
 

Walter R. Burkley, President and

Principal Executive Officer

   
  Date: December 31, 2014

 

 

 

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/ Walter R. Burkley

Walter R. Burkley, President and

Principal Executive Officer

 
Date: December 31, 2014

 

 

 

By /s/ Gregory F. Niland

Gregory F. Niland, Treasurer and

Principal Financial Officer

 
Date: December 31, 2014

EX-99.CODE ETH 2 afps_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 afps_cert302.htm CERT302

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Portfolio Series

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

CERTIFICATION

I, Walter R. Burkley, certify that:

 

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

 

Date: December 31, 2014

 

/s/ Walter R. Burkley

Walter R. Burkley, President and

Principal Executive Officer

American Funds Portfolio Series

 

 
 

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Portfolio Series

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

CERTIFICATION

I, Gregory F. Niland, certify that:

 

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

 

Date: December 31, 2014

 

/s/ Gregory F. Niland

Gregory F. Niland, Treasurer and

Principal Financial Officer

American Funds Portfolio Series

EX-99.906 CERT 4 afps_cert906.htm CERT906

 

AF_ColorLogo_Letterhead

 

 

 

 

American Funds Portfolio Series

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

 

 

 

 

 

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

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

 

WALTER R. BURKLEY, President and Principal Executive Officer, and GREGORY F. NILAND, Treasurer and Principal Financial Officer of American Funds Portfolio Series (the "Registrant"), each certify to the best of his knowledge that:

 

1) The Registrant's periodic report on Form N-CSR for the period ended October 31, 2014 (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 PORTFOLIO  SERIES AMERICAN FUNDS PORTFOLIO  SERIES
   
   
/s/ Walter R. Burkley /s/ Gregory F. Niland
Walter R. Burkley, President Gregory F. Niland, Treasurer
   
Date: December 31, 2014 Date: December 31, 2014

 

 

A signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to AMERICAN FUNDS PORTFOLIO SERIES and will be retained by AMERICAN FUNDS PORTFOLIO SERIES 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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