0001145549-22-019045.txt : 20220329 0001145549-22-019045.hdr.sgml : 20220329 20220329155351 ACCESSION NUMBER: 0001145549-22-019045 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20220131 FILED AS OF DATE: 20220329 PERIOD START: 20221031 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: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22656 FILM NUMBER: 22780622 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 S000036466 American Funds Moderate Growth and Income Portfolio C000111684 Class A BLPAX C000111686 Class C BLPCX C000111687 Class F-1 BLPFX C000111688 Class F-2 BLPEX C000111689 Class 529-A CBAAX 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 C000164832 Class R-5E RGPFX C000180016 Class F-3 BLPDX C000189513 Class 529-T TBPBX C000189514 Class T TBBPX C000204637 Class ABLE-A CBAGX C000224573 Class ABLE-F-2 CBBGX C000224574 Class 529-F-3 FPPBX C000224575 Class 529-F-2 FBBPX NPORT-P 1 primary_doc.xml NPORT-P false 0001537151 XXXXXXXX S000036466 C000111693 C000111691 C000111689 C000224575 C000164832 C000189513 C000111686 C000111698 C000111688 C000224573 C000189514 C000111695 C000111696 C000111692 C000111687 C000111697 C000224574 C000111684 C000204637 C000111699 C000111694 C000180016 C000148388 AMERICAN FUNDS PORTFOLIO SERIES 811-22656 0001537151 549300XVZDL1Z4SPQ273 6455 Irvine Center Drive Irvine 92618 9499755000 American Funds Moderate Growth and Income Portfolio S000036466 5493003C4LHQLS1EY883 2022-10-31 2022-01-31 N 13460449218.200000000000 12984227.460000000000 13447464990.740000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N AMERICAN FUNDS STRATEGIC BOND FUND (SBF) N/A AMERICAN FUNDS STRATEGIC BOND FUND R6 (SBF CL R6) 02631E789 59546982.441000000000 NS USD 669308082.640000000000 4.9772063590 Long EC RF US N 1 N N N BOND FUND OF AMERICA (THE) (BFA) N/A BOND FUND OF AMERICA (THE) R6 (BFA CL R6) 097873814 103115446.243000000000 NS USD 1350812345.780000000000 10.0451077338 Long EC RF US N 1 N N N AMERICAN FUNDS GLOBAL BALANCED FUND (GBAL) N/A AMERICAN FUNDS GLOBAL BALANCED FUND R6 (GBAL CL R6) 02629W817 53803229.599000000000 NS USD 2015468980.780000000000 14.9877243195 Long EC RF US N 1 N N N INCOME FUND OF AMERICA (THE) (IFA) N/A INCOME FUND OF AMERICA (THE) R6 (IFA CL R6) 453320814 53971703.981000000000 NS USD 1377357885.600000000000 10.2425095477 Long EC RF US N 1 N N N AMERICAN BALANCED FUND (AMBAL) N/A AMERICAN BALANCED FUND R6 (AMBAL CL R6) 024071813 103446926.006000000000 NS USD 3348576994.810000000000 24.9011765200 Long EC RF US N 1 N N N SMALLCAP WORLD FUND INC N/A SMALLCAP WORLD FUND INC R6 831681812 8924088.735000000000 NS USD 652707850.080000000000 4.8537612891 Long EC RF US N 1 N N N NEW PERSPECTIVE FUND (NPF) N/A NEW PERSPECTIVE FUND R6 (NPF CL R6) 648018810 10616420.692000000000 NS USD 650361931.590000000000 4.8363162279 Long EC RF US N 1 N N N CAPITAL WORLD GROWTH & INCOME FUND N/A CAPITAL WORLD GROWTH & INCOME FUND R6 (WGI CL R6) 140543810 21795211.165000000000 NS USD 1322533413.490000000000 9.8348158140 Long EC RF US N 1 N N N WASHINGTON MUTUAL INVESTORS FUND (WMIF) N/A WASHINGTON MUTUAL INVESTORS FUND R6 (WMIF CL R6) 939330817 35459814.873000000000 NS USD 2061988234.860000000000 15.3336575799 Long EC RF US N 1 N N N 2022-03-29 AMERICAN FUNDS PORTFOLIO SERIES Scott Lewis Scott Lewis Analyst XXXX GRAPHIC 2 imgba2906781.jpg begin 644 imgba2906781.jpg M_]C_X 02D9)1@ ! 0$ 9 !D #_X@H@24-#7U!23T9)3$4 0$ H0 M (0 !M;G1R4D="(%A96B !A8W-P05!03 M ]M4 0 #3+ M ID97-C _ M 'QC<')T !> "AW='!T !H !1B:W!T !M !1R6%E: ! 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American Funds Portfolio SeriesSM
American Funds
Global Growth PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth funds 79%
Shares Value
(000)
New Perspective Fund, Class R-6 19,533,769 $1,196,639
EuroPacific Growth Fund, Class R-6 14,884,577 892,479
The Growth Fund of America, Class R-6 13,087,635 876,217
The New Economy Fund, Class R-61 15,668,459 857,848
SMALLCAP World Fund, Inc., Class R-61 11,726,890 857,705
    4,680,888
Growth-and-income funds 21%    
Capital World Growth and Income Fund, Class R-6 20,272,586 1,230,141
Total investment securities 100% (cost: $4,814,325,000)   5,911,029
Other assets less liabilities 0%   (1,689)
Net assets 100%   $5,909,340
Investments in affiliates2

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
(loss) gain
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth funds 79%
New Perspective Fund, Class R-6 $1,307,438 $88,518 $3,644 $(176) $(195,497) $1,196,639 $7,804 $80,714
EuroPacific Growth Fund, Class R-6 951,568 89,160 (148,249) 892,479 15,278 33,494
The Growth Fund of America, Class R-6 1,006,177 76,678 13,360 577 (193,855) 876,217 3,609 73,070
The New Economy Fund, Class R-61 974,307 86,685 (203,144) 857,848 66,840
SMALLCAP World Fund, Inc., Class R-61 957,102 130,502 (229,899) 857,705 78,160
            4,680,888    
Growth-and-income funds 21%
Capital World Growth and Income Fund, Class R-6 1,286,709 70,722 16,426 (1,272) (109,592) 1,230,141 6,474 64,248
Total 100%       $(871) $(1,080,236) $5,911,029 $33,165 $396,526
1 Fund did not produce income during the last 12 months.
2 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Global Growth Portfolio — Page 1 of 12

American Funds Growth PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth funds 79%
Shares Value
(000)
The Growth Fund of America, Class R-6 54,880,465 $3,674,247
AMCAP Fund, Class R-61 71,124,819 2,943,856
SMALLCAP World Fund, Inc., Class R-61 29,846,620 2,182,982
New Perspective Fund, Class R-6 24,371,312 1,492,987
The New Economy Fund, Class R-61 26,320,054 1,441,023
    11,735,095
Growth-and-income funds 21%    
Fundamental Investors, Class R-6 43,321,385 3,104,410
Total investment securities 100% (cost: $11,956,801,000)   14,839,505
Other assets less liabilities 0%   (4,458)
Net assets 100%   $14,835,047
Investments in affiliates2

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain (loss)
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth funds 79%
The Growth Fund of America, Class R-6 $4,089,627 $384,000 $3,864 $243 $(795,759) $3,674,247 $14,733 $298,336
AMCAP Fund, Class R-61 3,238,860 128,779 (423,783) 2,943,856 79,931
SMALLCAP World Fund, Inc., Class R-61 2,398,656 368,490 (584,164) 2,182,982 197,266
New Perspective Fund, Class R-6 1,624,092 112,739 (243,844) 1,492,987 9,709 100,422
The New Economy Fund, Class R-61 1,610,079 171,566 (340,622) 1,441,023 111,422
            11,735,095    
Growth-and-income funds 21%
Fundamental Investors, Class R-6 3,203,947 257,369 25,003 (2,184) (329,719) 3,104,410 19,941 213,456
Total 100%       $(1,941) $(2,717,891) $14,839,505 $44,383 $1,000,833
1 Fund did not produce income during the last 12 months.
2 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Growth Portfolio — Page 2 of 12

American Funds Growth and Income PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth funds 15%
Shares Value
(000)
SMALLCAP World Fund, Inc., Class R-61 16,022,154 $1,171,860
The Growth Fund of America, Class R-6 15,348,328 1,027,571
    2,199,431
Growth-and-income funds 50%    
The Investment Company of America, Class R-6 61,300,537 3,021,504
Capital World Growth and Income Fund, Class R-6 49,279,242 2,990,264
Washington Mutual Investors Fund, Class R-6 26,537,702 1,543,167
    7,554,935
Equity-income funds 10%    
Capital Income Builder, Class R-6 22,613,474 1,575,481
Balanced funds 15%    
American Balanced Fund, Class R-6 70,291,947 2,275,350
Fixed income funds 10%    
American Funds Strategic Bond Fund, Class R-6 67,937,915 763,622
The Bond Fund of America, Class R-6 57,995,068 759,736
    1,523,358
Total investment securities 100% (cost: $12,583,274,000)   15,128,555
Other assets less liabilities 0%   (4,403)
Net assets 100%   $15,124,152
American Funds Portfolio Series — American Funds Growth and Income Portfolio — Page 3 of 12

unaudited
Investments in affiliates2

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain
(000)
Net
unrealized
(depreciation)
appreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth funds 15%
SMALLCAP World Fund, Inc., Class R-61 $1,226,016 $245,351 $$$(299,507) $1,171,860 $$100,606
The Growth Fund of America, Class R-6 1,132,490 114,910 551 67 (219,345) 1,027,571 4,074 82,505
            2,199,431    
Growth-and-income funds 50%
The Investment Company of America, Class R-6 3,086,460 160,414 956 1 (224,415) 3,021,504 11,326 149,088
Capital World Growth and Income Fund, Class R-6 3,057,962 197,943 (265,641) 2,990,264 15,465 153,467
Washington Mutual Investors Fund, Class R-6 1,554,076 36,364 23,741 787 (24,319) 1,543,167 7,372 28,993
            7,554,935    
Equity-income funds 10%
Capital Income Builder, Class R-6 1,516,797 45,193 13,491 1,575,481 23,648
Balanced funds 15%
American Balanced Fund, Class R-6 2,285,298 73,418 (83,366) 2,275,350 8,550 58,685
Fixed income funds 10%
American Funds Strategic Bond Fund, Class R-6 749,012 22,776 (8,166) 763,622 4,539
The Bond Fund of America, Class R-6 753,995 27,068 (21,327) 759,736 3,678 2,990
            1,523,358    
Total 100%       $855 $(1,132,595) $15,128,555 $78,652 $576,334
1 Fund did not produce income during the last 12 months.
2 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Growth and Income Portfolio — Page 4 of 12

American Funds Moderate Growth and Income PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth funds 10%
Shares Value
(000)
SMALLCAP World Fund, Inc., Class R-61 8,925,654 $652,823
New Perspective Fund, Class R-6 10,655,848 652,777
    1,305,600
Growth-and-income funds 25%    
Washington Mutual Investors Fund, Class R-6 35,459,815 2,061,988
Capital World Growth and Income Fund, Class R-6 21,846,145 1,325,624
    3,387,612
Equity-income funds 10%    
The Income Fund of America, Class R-6 53,971,704 1,377,358
Balanced funds 40%    
American Balanced Fund, Class R-6 103,446,926 3,348,577
American Funds Global Balanced Fund, Class R-6 53,803,230 2,015,469
    5,364,046
Fixed income funds 15%    
The Bond Fund of America, Class R-6 103,283,453 1,353,013
American Funds Strategic Bond Fund, Class R-6 59,546,982 669,308
    2,022,321
Total investment securities 100% (cost: $11,186,128,000)   13,456,937
Other assets less liabilities 0%   (3,862)
Net assets 100%   $13,453,075
American Funds Portfolio Series — American Funds Moderate Growth and Income Portfolio — Page 5 of 12

unaudited
Investments in affiliates2

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth funds 10%
SMALLCAP World Fund, Inc., Class R-61 $679,520 $138,441 $$$(165,138) $652,823 $$55,787
New Perspective Fund, Class R-6 693,729 62,967 (103,919) 652,777 4,141 42,827
            1,305,600    
Growth-and-income funds 25%
Washington Mutual Investors Fund, Class R-6 2,066,932 48,345 21,560 718 (32,447) 2,061,988 9,801 38,545
Capital World Growth and Income Fund, Class R-6 1,356,105 87,009 (117,490) 1,325,624 6,850 67,973
            3,387,612    
Equity-income funds 10%
The Income Fund of America, Class R-6 1,340,883 70,433 (33,958) 1,377,358 13,605 50,568
Balanced funds 40%
American Balanced Fund, Class R-6 3,364,506 106,729 (122,658) 3,348,577 12,583 86,365
American Funds Global Balanced Fund, Class R-6 2,012,616 135,141 (132,288) 2,015,469 11,842 83,935
            5,364,046    
Fixed income funds 15%
The Bond Fund of America, Class R-6 1,341,550 49,435 (37,972) 1,353,013 6,557 5,319
American Funds Strategic Bond Fund, Class R-6 660,934 15,531 (7,157) 669,308 4,019
            2,022,321    
Total 100%       $718 $(753,027) $13,456,937 $69,398 $431,319
1 Fund did not produce income during the last 12 months.
2 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Moderate Growth and Income Portfolio — Page 6 of 12

American Funds Conservative Growth and Income PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth-and-income funds 20%
Shares Value
(000)
Washington Mutual Investors Fund, Class R-6 13,107,188 $762,183
American Mutual Fund, Class R-6 14,596,019 761,328
    1,523,511
Equity-income funds 38%    
Capital Income Builder, Class R-6 20,715,517 1,443,250
The Income Fund of America, Class R-6 56,271,176 1,436,041
    2,879,291
Fixed income funds 42%    
The Bond Fund of America, Class R-6 91,873,972 1,203,549
American Funds Multi-Sector Income Fund, Class R-6 115,677,507 1,199,576
American High-Income Trust, Class R-6 72,836,829 746,577
    3,149,702
Total investment securities 100% (cost: $6,797,537,000)   7,552,504
Other assets less liabilities 0%   (1,542)
Net assets 100%   $7,550,962
American Funds Portfolio Series — American Funds Conservative Growth and Income Portfolio — Page 7 of 12

unaudited
Investments in affiliates1

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain (loss)
(000)
Net
unrealized
(depreciation)
appreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth-and-income funds 20%
Washington Mutual Investors Fund, Class R-6 $748,748 $41,901 $17,422 $534 $(11,578) $762,183 $3,508 $13,796
American Mutual Fund, Class R-6 744,968 34,863 9,436 277 (9,344) 761,328 4,128 22,528
            1,523,511    
Equity-income funds 38%
Capital Income Builder, Class R-6 1,460,717 34,214 63,973 (29) 12,321 1,443,250 21,710
The Income Fund of America, Class R-6 1,460,328 71,431 60,371 288 (35,635) 1,436,041 14,179 52,703
            2,879,291    
Fixed income funds 42%
The Bond Fund of America, Class R-6 1,092,541 144,486 (33,478) 1,203,549 5,615 4,646
American Funds Multi-Sector Income Fund, Class R-6 1,092,716 147,160 (40,300) 1,199,576 11,090 7,946
American High-Income Trust, Class R-6 726,070 39,794 (19,287) 746,577 8,957
            3,149,702    
Total 100%       $1,070 $(137,301) $7,552,504 $69,187 $101,619
1 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Conservative Growth and Income Portfolio — Page 8 of 12

American Funds Tax-Aware Conservative Growth and Income PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Growth-and-income funds 50%
Shares Value
(000)
Capital World Growth and Income Fund, Class R-6 15,807,774 $959,216
American Mutual Fund, Class R-6 13,763,255 717,891
Washington Mutual Investors Fund, Class R-6 12,324,984 716,698
    2,393,805
Tax-exempt fixed income funds 50%    
American High-Income Municipal Bond Fund, Class R-6 72,728,644 1,194,932
The Tax-Exempt Bond Fund of America, Class R-6 54,283,716 716,545
Limited Term Tax-Exempt Bond Fund of America, Class R-6 30,498,415 478,520
    2,389,997
Total investment securities 100% (cost: $4,252,959,000)   4,783,802
Other assets less liabilities 0%   (1,106)
Net assets 100%   $4,782,696
Investments in affiliates1

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
(loss) gain
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Growth-and-income funds 50%
Capital World Growth and Income Fund, Class R-6 $920,860 $120,937 $520 $(22) $(82,039) $959,216 $4,817 $47,803
American Mutual Fund, Class R-6 692,116 34,541 (8,766) 717,891 3,914 21,361
Washington Mutual Investors Fund, Class R-6 697,059 31,219 529 18 (11,069) 716,698 3,327 13,083
            2,393,805    
Tax-exempt fixed income funds 50%
American High-Income Municipal Bond Fund, Class R-6 1,129,880 97,946 (32,894) 1,194,932 9,270 8,842
The Tax-Exempt Bond Fund of America, Class R-6 673,014 62,084 (18,553) 716,545 3,862 3,647
Limited Term Tax-Exempt Bond Fund of America, Class R-6 444,935 44,220 (10,635) 478,520 1,274 2,320
            2,389,997    
Total 100%       $(4) $(163,956) $4,783,802 $26,464 $97,056
1 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Tax-Aware Conservative Growth and Income Portfolio — Page 9 of 12

American Funds Preservation PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Fixed income funds 100%
Shares Value
(000)
Intermediate Bond Fund of America, Class R-6 118,997,415 $1,615,985
Short-Term Bond Fund of America, Class R-6 118,678,624 1,174,918
American Funds Inflation Linked Bond Fund, Class R-6 13,568,387 146,946
    2,937,849
Total investment securities 100% (cost: $2,967,083,000)   2,937,849
Other assets less liabilities 0%   (733)
Net assets 100%   $2,937,116
Investments in affiliates1

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
(loss) gain
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Fixed income funds 100%
Intermediate Bond Fund of America, Class R-6 $1,649,197 $23,695 $34,369 $(842) $(21,696) $1,615,985 $6,197 $
Short-Term Bond Fund of America, Class R-6 1,199,435 15,075 28,896 (459) (10,237) 1,174,918 2,449
American Funds Inflation Linked Bond Fund, Class R-6 149,803 9,566 6,946 104 (5,581) 146,946 5,176
Total 100%       $(1,197) $(37,514) $2,937,849 $13,822 $—
1 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Preservation Portfolio — Page 10 of 12

American Funds Tax-Exempt Preservation PortfolioSM
Investment portfolio
January 31, 2022
unaudited
Fund investments
Tax-exempt fixed income funds 100%
Shares Value
(000)
Limited Term Tax-Exempt Bond Fund of America, Class R-6 33,678,637 $528,418
American Funds Short-Term Tax-Exempt Bond Fund, Class R-6 22,400,077 226,465
    754,883
Total investment securities 100% (cost: $768,852,000)   754,883
Other assets less liabilities 0%   (77)
Net assets 100%   $754,806
Investments in affiliates1

  Value of
affiliates at
11/1/2021
(000)
Additions
(000)
Reductions
(000)
Net
realized
loss
(000)
Net
unrealized
depreciation
(000)
Value of
affiliates at
1/31/2022
(000)
Dividend
income
(000)
Capital gain
distributions
received
(000)
Tax-exempt fixed income funds 100%
Limited Term Tax-Exempt Bond Fund of America, Class R-6 $547,256 $17,552 $24,551 $(213) $(11,626) $528,418 $1,476 $2,677
American Funds Short-Term Tax-Exempt Bond Fund, Class R-6 234,538 6,884 11,341 (86) (3,530) 226,465 351 536
Total 100%       $(299) $(15,156) $754,883 $1,827 $3,213
1 Part of the same “group of investment companies“ as the fund as defined under the Investment Company Act of 1940, as amended.
American Funds Portfolio Series — American Funds Tax-Exempt Preservation Portfolio — Page 11 of 12

unaudited
Valuation disclosures

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. The net asset value per share of each fund and each underlying fund is calculated once daily as of the close of regular trading on the New York Stock Exchange, normally 4 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. 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 facilitated by the investment adviser’s global risk management 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 January 31, 2022, all of the investment securities held by each fund were classified as Level 1.
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the series prospectus and summary prospectuses, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the American Funds website at capitalgroup.com. Fund shares offered through American Funds Distributors, Inc.
All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.
American Funds Distributors, Inc., member FINRA.
© 2022 Capital Group. All rights reserved.
MFGEFP1-900-0322O-S85317 American Funds Portfolio Series — Page 12 of 12