0000051931-16-002502.txt : 20160531 0000051931-16-002502.hdr.sgml : 20160531 20160531115820 ACCESSION NUMBER: 0000051931-16-002502 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20160331 FILED AS OF DATE: 20160531 DATE AS OF CHANGE: 20160531 EFFECTIVENESS DATE: 20160531 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN HIGH INCOME TRUST CENTRAL INDEX KEY: 0000823620 IRS NUMBER: 956872063 STATE OF INCORPORATION: DE FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-05364 FILM NUMBER: 161684571 BUSINESS ADDRESS: STREET 1: 333 S HOPE ST - 55TH FL (MICG) CITY: LOS ANGELES STATE: CA ZIP: 90071 BUSINESS PHONE: 213-486-9200 MAIL ADDRESS: STREET 1: 333 S HOPE ST - 55TH FL (MICG) CITY: LOS ANGELES STATE: CA ZIP: 90071 0000823620 S000009230 AMERICAN HIGH INCOME TRUST C000025083 Class A AHITX C000025084 Class R-1 RITAX C000025085 Class R-2 RITBX C000025086 Class R-3 RITCX C000025087 Class R-4 RITEX C000025088 Class R-5 RITFX C000025089 Class B AHTBX C000025090 Class C AHTCX C000025091 Class F-1 AHTFX C000025092 Class 529-A CITAX C000025093 Class 529-B CITBX C000025094 Class 529-C CITCX C000025095 Class 529-E CITEX C000025096 Class 529-F-1 CITFX C000068571 Class F-2 AHIFX C000077919 Class R-6 RITGX C000148436 Class R-2E RTEHX C000164805 Class R-5E RITHX N-CSRS 1 ahit_ncsr.htm N-CSRS

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: 811-05364

 

 

 

American High-Income Trust

(Exact Name of Registrant as Specified in Charter)

 

333 South Hope Street

Los Angeles, California 90071

(Address of Principal Executive Offices)

 

 

 

 

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

 

Date of fiscal year end: September 30

 

Date of reporting period: March 31, 2016

 

 

 

 

 

Steven I. Koszalka

American High-Income Trust

333 South Hope Street

Los Angeles, California 90071

(Name and Address of Agent for Service)

 

 

 

 
 

ITEM 1 – Reports to Stockholders

 

 

  American High-Income Trust®

Semi-annual report
for the six months ended
March 31, 2016


 

American High-Income Trust seeks to provide you with a high level of current income. Its secondary investment objective is capital appreciation.

 

This fund is one of more than 40 offered by one of the nation’s largest mutual fund families, American Funds, from Capital Group. 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 (maximum 3.75%) 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 average annual total returns on a $1,000 investment with all distributions reinvested for periods ended March 31, 2016:

 

Class A shares  1 year 5 years 10 years
       
Reflecting 3.75% maximum sales charge –10.64% 1.98% 4.56%

 

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

 

The total annual fund operating expense ratio was 0.67% for Class A shares as of the prospectus dated December 1, 2015.

 

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

 

The return of principal for bond funds and for funds with significant underlying bond holdings is not guaranteed. Fund shares are subject to the same interest rate, inflation and credit risks associated with the underlying bond holdings. High-yield bonds are subject to greater fluctuations in value and risk of loss of income and principal than investment-grade bonds. Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor’s, Moody’s and/or Fitch as an indication of an issuer’s creditworthiness. Investing in bonds issued outside the U.S. may be subject to additional risks. They include currency fluctuations, political and social instability, differing securities regulations and accounting standards, higher transaction costs, possible changes in taxation, illiquidity and price volatility. These risks may be heightened in connection with investments in developing countries. Refer to the fund prospectus and the Risk Factors section of this report for more information on these and other risks associated with investing in the fund.

 

 

 

Fellow investors:

 

For the six-month period ended March 31, 2016, American High-Income Trust reported a total return of –0.47%, assuming a 32 cents a share reinvestment of monthly dividends. Shareholders who reinvested dividends received an income return of 3.29% for the period. Those who elected to take their dividends in cash received an income return of 3.25% and saw the value of their holdings decrease by 3.76%.

 

By comparison, the Lipper High Yield Funds Average, a benchmark of similar funds, posted a total return of 0.31%, and the Barclays U.S. Corporate High Yield 2% Issuer Capped Index, an unmanaged non-investment-grade debt index that has no expenses, returned 1.23%.

 

High-yield market overview

The challenging high-yield markets of recent years continued during most of this reporting period, as investors stayed away from riskier credits in the face of renewed

 

Results at a glance

 

For periods ended March 31, 2016, with all distributions reinvested

 

    Cumulative total returns   Average annual total returns
                    Lifetime
    6 months   1 year   5 years   10 years   (since 2/19/88)
                     
American High-Income Trust (Class A shares)     -0.47 %     –7.18 %     2.76 %     4.96 %     7.67 %
Barclays U.S. Corporate High Yield 2% Issuer Capped Index*     1.23       –3.66       4.93       7.03        
Lipper High Yield Funds Average      0.31       –4.01       3.83       5.55       6.92  

 

* This market index did not exist prior to December 31, 1992. It is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index.
Lipper averages reflect the current composition of all eligible mutual funds (all share classes) within a given category.

 

American High-Income Trust 1
 

drops in energy prices, equity market volatility, deteriorating corporate balance sheets, and signs of global economic slowdown. At the end of 2015, high-yield risk premiums were 660 basis points (i.e., 6.60%) above Treasury yields (177 basis points higher than the end of 2014) — and they rose to 839 basis points by February 11, 2016.

 

In mid-February, however, a dramatic rally began across the high-yield market. As oil prices finally stabilized, it lifted energy as well as other high-yield sectors. The wide spreads, lack of new issuance, and limited number of alternatives in the current low-rate environment have started to bring investors back to the high-yield market.

 

Inside the portfolio

The fund faced challenging markets in all three of its leading sectors. Industrials — in particular coal mining companies — were affected by global trade slowdowns and continued low commodity prices, health care by the challenges to the pricing model of many pharmaceutical companies, and telecommunications by some non-U.S. wireless providers operating in developing markets.

 

On the positive side, the fund remained underweight in the struggling energy sector. Results were helped by the financial, technology and consumer sectors, where gaming, cruise operators, automobile manufacturers and food/beverages companies gained.

 

Weakness in the high-yield market started mid-2014 in the energy and commodity sectors, which are much larger components of high yield relative to the equity markets. By the early part of this reporting period, high-yield weakness had spread across sectors and credit quality. The upswing that started in February was equally broad-based, and benefitted the fund by raising the prices of some long-term positions.

 

Looking ahead

It is reasonable to believe, given the more favorable environment for high yield, that the recent narrowing of spreads will continue, providing upward momentum to prices. Low energy and commodity prices are starting to lead to cutbacks in production. While there will be more debt restructurings (which is largely already reflected in security prices for distressed issuers), there are signs this sector is stabilizing.

 

2 American High-Income Trust
 

On a macro level, the U.S. continues its sluggish, but positive, economic recovery, which we believe will be broadly supportive of the high-yield market.

 

Despite the challenges posed by a changing high-yield market, it is important for shareholders to maintain a long-term perspective. The last year has been a volatile one for high-yield investors, but over the long run high-yield bonds have provided attractive returns and a steady source of income. For the past 10-year period ended March 31, 2016, the fund’s shareholders earned an average annual total return of 4.96%, with dividends reinvested.

 

As always, we appreciate your continued support and long-term investment perspective.

 

Sincerely,

 

David C. Barclay

President

 

May 16, 2016

 

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

 

The fund’s 30-day yield for Class A shares as of April 30, 2016, calculated in accordance with the U.S. Securities and Exchange Commission (SEC) formula, was 6.61%. The fund’s 12-month distribution rate for Class A shares as of that date was 6.17%. Both reflect the 3.75% maximum sales charge. The SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities while the distribution rate reflects the fund’s past dividends paid to shareholders. Accordingly, the fund’s SEC yield and distribution rate may differ.

 

American High-Income Trust 3
 
Summary investment portfolio March 31, 2016 unaudited

 

Portfolio by type of security Percent of net assets

 

 

Bonds, notes & other debt instruments 87.75%   Principal amount
(000)
    Value
(000)
 
Corporate bonds & notes 86.94%                  
Health care 13.31%                  
inVentiv Health Inc. 9.00% 20181     $ 142,970     $ 148,331  
inVentiv Health Inc. 10.00% 20181,5       96,620       98,069  
inVentiv Health Inc. 10.00% 2018       79,491       77,387  
inVentiv Health Inc., Term Loan B4, 7.75% 20182,3,4       26,930       26,896  
Kinetic Concepts, Inc. 10.50% 2018       180,745       182,101  
Kinetic Concepts, Inc. 12.50% 2019       130,807       114,210  
Kinetic Concepts, Inc. 7.875% 20211       7,325       7,765  
Tenet Healthcare Corp. 4.38%–8.13% 2021–2023       70,718       69,476  
Tenet Healthcare Corp., First Lien 4.50%–6.25% 2018–2021       103,365       107,437  
Valeant Pharmaceuticals International Inc. 5.50%–7.00% 2020–20231       16,130       12,826  
Valeant Pharmaceuticals International, Inc., Term Loan BF-1, 4.00%20222,3,4       5,618       5,317  
VPI Escrow Corp. 6.375% 20201       90,081       75,218  
VPI Escrow Corp. 6.75%–7.50% 2018–20211       64,460       57,867  
VRX Escrow Corp. 5.38%–6.13% 2020–20251       120,800       95,160  
Other securities               1,037,766  
                2,115,826  
                   
Consumer discretionary 13.30%                  
CCO Holdings LLC and CCO Holdings Capital Corp. 5.75% 20261       69,125       71,717  
Cequel Communications Holdings I, LLC and Cequel Capital Corp. 6.375% 20201       103,960       103,440  
Clear Channel Worldwide Holdings, Inc. 7.625% 2020       88,294       81,451  
Needle Merger Sub Corp. 8.125% 20191       70,820       65,508  
Playa Resorts Holding BV 8.00% 20201       80,493       79,889  
Other securities               1,713,760  
                2,115,765  
                   
Telecommunication services 12.88%                  
Clearwire Communications and Clearwire Finance, Inc. 14.75% 20161       3,125       3,383  
Digicel Group Ltd. 8.25% 20201       87,200       75,319  
Digicel Group Ltd. 6.00% 20211       80,867       72,780  
Digicel Group Ltd. 7.00%–7.13% 2020–20221       60,025       47,486  
Frontier Communications Corp. 10.50% 20221       125,910       129,530  
Frontier Communications Corp. 11.00% 20251       106,483       107,415  

 

4 American High-Income Trust
 
    Principal amount     Value  
    (000)     (000)  
Frontier Communications Corp. 7.63%–9.25% 2020–20241     $ 48,223     $ 49,229  
LightSquared, Term Loan, 9.75% 20202,3,4,5       218,126       195,223  
MetroPCS Wireless, Inc. 6.25% 2021       64,260       67,781  
MetroPCS Wireless, Inc. 6.625% 2023       70,985       75,067  
Numericable Group SA 4.875% 20191       87,700       87,700  
SoftBank Corp. 4.50% 20201       91,685       93,175  
Sprint Capital Corp. 6.90% 2019       31,750       27,623  
Sprint Nextel Corp. 7.00% 2020       117,870       94,296  
Sprint Nextel Corp. 7.25% 2021       87,795       67,492  
Sprint Nextel Corp. 6.88%–11.50% 2017–20281       152,585       133,529  
T-Mobile US, Inc. 6.38%–6.73% 2020–2026       103,340       107,771  
Trilogy International Partners, LLC 10.25% 20161       103,440       91,674  
Wind Acquisition SA 4.75% 20201       73,475       69,801  
Wind Acquisition SA 7.375% 20211       170,650       155,292  
Other securities               297,416  
                2,048,982  
                   
Industrials 12.58%                  
Associated Materials, LLC and AMH New Finance, Inc. 9.125% 2017       171,567       130,391  
Builders Firstsource 7.625% 20211       99,452       103,802  
Corporate Risk Holdings LLC 9.50% 20191,6       137,693       117,727  
Corporate Risk Holdings LLC 13.50% 20201,5,6,7       13,775       12,803  
DAE Aviation Holdings, Inc. 10.00% 20231       108,975       104,616  
KLX Inc. 5.875% 20221       91,775       91,316  
Nortek Inc. 8.50% 2021       80,710       84,140  
Ply Gem Industries, Inc. 6.50% 2022       69,095       69,009  
Silver II Borrower S.C.A./Silver II U.S. Holdings, LLC 7.75% 20201       96,053       76,362  
Virgin Australia Holdings Ltd. 8.50% 20191       63,475       62,920  
Other securities               1,148,208  
                2,001,294  
                   
Energy 11.31%                  
NGPL PipeCo LLC 7.119% 20171       148,670       144,396  
NGPL PipeCo LLC 9.625% 20191       96,930       95,476  
NGPL PipeCo LLC 7.768% 20371       13,380       11,038  
NGPL PipeCo LLC, Term Loan B, 6.75% 20172,3,4       23,623       22,855  
PDC Energy Inc. 7.75% 2022       112,100       112,380  
Sabine Pass Liquefaction, LLC 5.625% 2021       81,425       78,677  
Sabine Pass Liquefaction, LLC 5.63%–5.75% 2024–2025       86,255       82,703  
Sabine Pass LNG, LP 6.50%–7.50% 2016–2020       3,000       3,125  
Other securities               1,247,938  
                1,798,588  
                   
Financials 8.50%                  
Crescent Resources 10.25% 20171       108,419       107,741  
Realogy Corp. 4.50% 20191       90,245       93,065  
Other securities               1,151,058  
                1,351,864  
                   
Materials 8.02%                  
ArcelorMittal 7.75% 2041       93,610       80,505  
First Quantum Minerals Ltd. 6.75% 20201       130,665       90,159  
First Quantum Minerals Ltd. 7.00% 20211       93,032       62,797  
First Quantum Minerals Ltd. 7.25% 20221       16,075       10,851  
FMG Resources 9.75% 20221       134,800       135,137  
JMC Steel Group Inc. 8.25% 20181       99,945       89,950  

 

American High-Income Trust 5
 
Bonds, notes & other debt instruments (continued)   Principal amount
(000)
    Value
(000)
 
Corporate bonds & notes (continued)                
Materials (continued)                
Reynolds Group Inc. 5.75% 2020   $ 110,655     $ 113,836  
Other securities             692,623  
              1,275,858  
                 
Information technology 3.85%                
First Data Corp. 7.00% 20231     110,625       112,146  
First Data Corp. 5.00%–6.75% 2020–20241     74,079       75,238  
Other securities             425,486  
              612,870  
Other 3.19%                
Other securities             506,354  
                 
Total corporate bonds & notes             13,827,401  
                 
U.S. Treasury bonds & notes 0.42%                
U.S. Treasury 0.42%                
U.S. Treasury 6.25% 20238     50,000       66,396  
                 
Other bonds & notes 0.39%                
Other securities             62,203  
                 
Total bonds, notes & other debt instruments (cost: $15,339,288,000)             13,956,000  
                 
Convertible bonds 0.91%                
Other 0.70%                
Other securities             112,593  
                 
Miscellaneous 0.21%                
Other convertible bonds in initial period of acquisition             32,553  
                 
Total convertible bonds (cost: $150,824,000)             145,146  
                 
Convertible stocks 1.02%     Shares          
Other 0.86%                
Other securities             136,634  
                 
Miscellaneous 0.16%                
Other convertible stocks in initial period of acquisition             24,595  
                 
Total convertible stocks (cost: $260,817,000)             161,229  
                 
Preferred securities 0.16%                
Financials 0.16%                
Other securities             25,954  
                 
Total preferred securities (cost: $25,520,000)             25,954  

 

6 American High-Income Trust
 
Common stocks 1.47%   Shares     Value
(000)
 
Telecommunication services 0.66%                
NII Holdings, Inc., Class B, Class B6,9     19,093,389     $ 105,586  
                 
Information technology 0.15%                
Corporate Risk Holdings I, Inc., Class 6,7,9     2,380,355       23,256  
Corporate Risk Holdings Corp., Class 6,7,9     12,035       0  
              23,256  
                 
Other 0.62%                
Other securities             98,109  
                 
Miscellaneous 0.04%                
Other common stocks in initial period of acquisition             6,655  
                 
Total common stocks (cost: $526,631,000)             233,606  
                 
Rights & warrants 0.02%                
Consumer discretionary 0.02%                
Other securities             2,116  
                 
Total rights & warrants (cost: $5,447,000)             2,116  
                 
Short-term securities 9.01%     Principal amount
(000
)        
Caterpillar Financial Services Corp. 0.43%–0.51% due 5/19/2016–6/15/2016   $ 96,800       96,727  
Chevron Corp. 0.47% due 5/10/2016–5/11/20161     123,500       123,448  
Coca-Cola Co. 0.40%–0.51% due 4/25/2016–7/12/20161     218,100       217,927  
Federal Home Loan Bank 0.30%–0.60% due 4/22/2016–8/29/2016     627,400       627,155  
Other securities             367,920  
                 
Total short-term securities (cost: $1,432,977,000)             1,433,177  
Total investment securities 100.34% (cost: $17,741,504,000)             15,957,228  
Other assets less liabilities (0.34)%             (53,760 )
                 
Net assets 100.00%           $ 15,903,468  

 

American High-Income Trust 7
 

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

 

As permitted by U.S. Securities and Exchange Commission regulations, “Miscellaneous” securities include holdings in their first year of acquisition that have not previously been publicly disclosed.

 

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

 

Forward currency contracts

 

The fund has entered into forward currency contracts as shown in the following table. The average month-end notional amount of open forward currency contracts while held was $53,273,000.

 

                    Unrealized  
            Contract amount   depreciation  
            Receive   Deliver   at 3/31/2016  
    Settlement date   Counterparty   (000)   (000)     (000)  
Sales:                        
Euros   4/13/2016   HSBC Bank   $9,105   €8,300   $ (343 )
South African rand   4/18/2016   Bank of America, N.A.   $9,211   ZAR142,000     (373 )
                    $ (716 )

 

Interest rate swaps

 

The fund has entered into interest rate swaps as shown in the following table. The average month-end notional amount of interest rate swaps while held was $256,784,000.

 

                            Unrealized  
                            depreciation  
Pay/receive           Fixed     Expiration   Notional     at 3/31/2016  
fixed rate   Clearinghouse   Floating rate index     rate     date   (000)     (000)  
Pay   LCH   3-month USD-LIBOR     1.2215 %   5/8/2018     $30,000     $ (228 )
Pay   LCH   3-month USD-LIBOR     2.197     7/22/2021     20,000       (1,025 )
Pay   CME   28-day MXN-TIIE     6.39     9/12/2025     MXN478,000       (840 )
Pay   CME   28-day MXN-TIIE     6.52     9/12/2025     478,000       (1,121 )
Pay   CME   28-day MXN-TIIE     6.5     9/12/2025     992,000       (2,236 )
Pay   CME   28-day MXN-TIIE     6.435     9/15/2025     774,000       (1,515 )
Pay   CME   28-day MXN-TIIE     6.485     9/16/2025     270,000       (589 )
Pay   CME   28-day MXN-TIIE     6.495     9/17/2025     458,000       (1,020 )
Pay   LCH   3-month USD-LIBOR     2.883     6/22/2045     $4,000       (693 )
Pay   LCH   3-month USD-LIBOR     2.2625     2/2/2046     20,000       (576 )
                                $ (9,843 )

 

8 American High-Income Trust
 

Credit default swaps

 

The fund has entered into credit default swaps as shown in the following table. The average month-end notional amount of credit default swaps while held was $91,675,000.

 

Centrally cleared credit default swaps on credit indices — sell protection

 

                              Upfront     Unrealized  
                              premiums     (depreciation)  
                              received     appreciation  
        Receive     Expiration   Notional     Value     (paid)     at 3/31/2016  
Referenced index   Clearinghouse   fixed rate     date   (000)     (000)     (000)     (000)  
CDX North American High Yield Index Series 21   ICE     5.00 %   12/20/2018   $ 17,280     $ 997     $ 1,036     $ (39 )
CDX North American High Yield Index Series 22   ICE     5.00     6/20/2019     27,840       1,707       2,168       (461 )
CDX North American High Yield Index Series 25   ICE     5.00     12/20/2020     137,000       3,973       (1,159 )     5,132  
                                            $ 4,632  

 

Investments in affiliates

 

A company is an affiliate of the fund under the Investment Company Act of 1940 if the fund’s holdings in that company represent 5% or more of the outstanding voting shares. The value of the fund’s affiliated-company holdings is either shown in the summary investment portfolio or included in the value of “Other securities” under the respective industry sectors. Further details on such holdings and related transactions during the six months ended March 31, 2016, appear below.

 

    Beginning                 Ending     Dividend     Value of  
    shares or                 shares or     or interest     affiliates at  
    principal                 principal     income     3/31/2016  
    amount     Additions     Reductions     amount     (000)     (000)  
Corporate Risk Holdings LLC 9.50% 20191   $ 137,028,000     $ 665,000           $ 137,693,000     $ 6,537     $ 117,728  
Corporate Risk Holdings I, Inc.7,9     2,380,354       1             2,380,355             23,256  
Corporate Risk Holdings LLC 13.50% 20201,5,7   $ 13,177,519     $ 597,929           $ 13,775,448       902       12,803  
Corporate Risk Holdings Corp.7,9,10     12,034       1             12,035              
CEVA Group PLC, Series A-1, 3.628% convertible preferred7,11     47,121                   47,121             27,095  
CEVA Group PLC1,7,9     59,168                   59,168             25,146  
CEVA Group PLC, Term Loan B, 6.50% 20212,3,4   $ 22,698,670           $ 115,222     $ 22,583,448       769       18,838  

 

American High-Income Trust 9
 
    Beginning                 Ending     Dividend     Value of  
    shares or                 shares or     or interest     affiliates at  
    principal                 principal     income     3/31/2016  
    amount     Additions     Reductions     amount     (000)     (000)  
CEVA Group PLC, Term Loan, 6.50% 20212,3,4   $ 16,456,536           $ 83,536     $ 16,373,000     $ 560     $ 13,658  
CEVA Group PLC, Apollo Global Securities LLC LOC, 6.50% 20212,3,4   $ 15,842,981                 $ 15,842,981       533       13,216  
CEVA Group PLC 9.00% 20211   $ 19,100,000           $ 4,425,000     $ 14,675,000       835       9,832  
CEVA Group PLC, Series A-2, 2.628% convertible preferred7,11     21,062                   21,062             8,951  
CEVA Group PLC, Term Loan, 6.50% 20212,3,4   $ 2,837,334           $ 14,403     $ 2,822,931       97       2,355  
CEVA Group PLC 7.00% 20211   $ 9,475,000           $ 8,075,000     $ 1,400,000       170       1,124  
Rotech Healthcare Inc., Term Loan, 13.00% 20202,3,4,5,7   $ 54,762,603     $ 3,104,947           $ 57,867,550       3,529       53,613  
Rotech Healthcare Inc., Term Loan A, 5.50% 20182,3,4,7   $ 25,382,000           $ 129,500     $ 25,252,500       709       25,126  
Rotech Healthcare Inc., Term Loan B, 10.00% 20192,3,4,7   $ 20,825,000                 $ 20,825,000       1,059       20,721  
Rotech Healthcare Inc.7,9     1,916,276                   1,916,276             14,391  
NII Holdings, Inc., Class B9     19,451,169             357,780       19,093,389             105,586  
Cooper-Standard Holdings Inc.9,10     1,659,993       55,088       1,715,081                    
Cooper-Standard Holdings Inc.1,7,9,10           448,132             448,132              
Cooper-Standard Holdings Inc., warrants, expire 20171,7,9,10     48,411                   48,411              
                                    $ 15,700     $ 493,439  

 

10 American High-Income Trust
 

The following footnotes apply to either the individual securities noted or one or more of the securities aggregated and listed as a single line item.

 

1 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $7,576,091,000, which represented 47.64% of the net assets of the fund.
2 Coupon rate may change periodically.
3 Loan participations and assignments; may be subject to legal or contractual restrictions on resale. The total value of all such loans was $868,598,000, which represented 5.46% of the net assets of the fund.
4 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
5 Payment in kind; the issuer has the option of paying additional securities in lieu of cash.
6 Represents an affiliated company as defined under the Investment Company Act of 1940.
7 Valued under fair value procedures adopted by authority of the board of trustees. The total value of all such securities, including those in “Miscellaneous,” was $255,886,000, which represented 1.61% of the net assets of the fund.
8 A portion of this security was pledged as collateral. The total value of pledged collateral was $23,753,000, which represented .15% of the net assets of the fund.
9 Security did not produce income during the last 12 months.
10 Unaffiliated issuer at 3/31/2016.
11 Acquired through a private placement transaction exempt from registration under the Securities Act of 1933. May be subject to legal or contractual restrictions on resale. Further details on these holdings appear below.

 

                    Percent  
    Acquisition   Cost     Value     of net  
Private placement securities   date(s)   (000)     (000)     assets  
CEVA Group PLC, Series A-1, 3.628% convertible preferred   5/2/2013-8/22/2014   $ 47,776     $ 27,095       .17 %
CEVA Group PLC, Series A-2, 2.628% convertible preferred   5/2/2013     20,349       8,951       .06  
Other Securities   12/13/2012-11/26/2014                 .00  
Total private placement securities       $ 68,125     $ 36,046       .23 %

 

Key to abbreviations and symbol

CME = CME Group Inc.

ICE = Intercontinental Exchange, Inc.

LCH = LCH.Clearnet

LOC = Letter of Credit

TIIE = Equilibrium Interbank Interest Rate

€ = Euros

MXN = Mexican pesos

ZAR = South African rand

 

See Notes to Financial Statements

 

American High-Income Trust 11
 

Financial statements

 

Statement of assets and liabilities   unaudited  
at March 31, 2016   (dollars in thousands)  
       
Assets:                
Investment securities, at value:                
Unaffiliated issuers (cost: $16,910,182)   $ 15,463,789          
Affiliated issuers (cost: $831,322)     493,439     $ 15,957,228  
Cash denominated in currencies other than U.S. dollars (cost: $1,047)             1,046  
Cash             3,813  
Receivables for:                
Sales of investments     222,029          
Sales of fund’s shares     21,575          
Variation margin     271          
Dividends and interest     327,084          
Other     710       571,669  
              16,533,756  
Liabilities:                
Unrealized depreciation on open forward currency contracts             716  
Payables for:                
Purchases of investments     581,123          
Repurchases of fund’s shares     32,697          
Dividends on fund’s shares     4,542          
Investment advisory services     3,978          
Services provided by related parties     3,600          
Trustees’ deferred compensation     279          
Variation margin     260          
Other     3,093       629,572  
Net assets at March 31, 2016           $ 15,903,468  
                 
Net assets consist of:                
Capital paid in on shares of beneficial interest           $ 19,297,814  
Distributions in excess of net investment income             (55,597 )
Accumulated net realized loss             (1,548,534 )
Net unrealized depreciation             (1,790,215 )
Net assets at March 31, 2016           $ 15,903,468  

 

See Notes to Financial Statements

 

12 American High-Income Trust
 

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

 

Shares of beneficial interest issued and outstanding (no stated par value) —
unlimited shares authorized (1,680,381 total shares outstanding)

 

          Shares     Net asset value  
    Net assets     outstanding     per share  
Class A   $ 11,072,709       1,169,957     $ 9.46  
Class B     26,006       2,748       9.46  
Class C     843,335       89,108       9.46  
Class F-1     641,127       67,742       9.46  
Class F-2     1,276,579       134,885       9.46  
Class 529-A     293,803       31,044       9.46  
Class 529-B     1,724       182       9.46  
Class 529-C     99,170       10,479       9.46  
Class 529-E     16,233       1,715       9.46  
Class 529-F-1     21,775       2,301       9.46  
Class R-1     16,404       1,733       9.46  
Class R-2     173,127       18,293       9.46  
Class R-2E     1,942       205       9.46  
Class R-3     188,284       19,894       9.46  
Class R-4     163,053       17,228       9.46  
Class R-5E     10       1       9.46  
Class R-5     82,630       8,731       9.46  
Class R-6     985,557       104,135       9.46  

 

See Notes to Financial Statements

 

American High-Income Trust 13
 
Statement of operations   unaudited  
for the six months ended March 31, 2016   (dollars in thousands)  
                 
Investment income:                
Income:                
Interest (net of non-U.S. taxes of $216; also includes $15,700 from affiliates)   $ 591,944          
Dividends     7,830     $ 599,774  
                 
Fees and expenses*:                
Investment advisory services     24,031          
Distribution services     20,845          
Transfer agent services     11,711          
Administrative services     1,766          
Reports to shareholders     548          
Registration statement and prospectus     602          
Trustees’ compensation     76          
Auditing and legal     44          
Custodian     39          
Other     258       59,920  
Net investment income             539,854  
                 
Net realized loss and unrealized depreciation:                
Net realized (loss) gain on:                
Investments (includes $45,480 net gain from affiliates)     (550,583 )        
Forward currency contracts     1,377          
Interest rate swaps     3,293          
Credit default swaps     (1,316 )        
Currency transactions     (485 )     (547,714 )
Net unrealized (depreciation) appreciation on:                
Investments (net of non-U.S. taxes of $194)     (97,865 )        
Forward currency contracts     (1,191 )        
Interest rate swaps     (5,008 )        
Credit default swaps     2,153          
Currency translations     89       (101,822 )
Net realized loss and unrealized depreciation             (649,536 )
                 
Net decrease in net assets resulting from operations           $ (109,682 )

 

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

 

See Notes to Financial Statements

 

14 American High-Income Trust
 

Statements of changes in net assets

 

(dollars in thousands)

 

    Six months ended     Year ended  
    March 31, 2016*     September 30, 2015  
Operations:                
Net investment income   $ 539,854     $ 1,126,366  
Net realized loss     (547,714 )     (639,507 )
Net unrealized depreciation     (101,822 )     (1,566,362 )
Net decrease in net assets resulting from operations     (109,682 )     (1,079,503 )
                 
Dividends paid or accrued to shareholders from net investment income     (540,609 )     (1,144,670 )
                 
Net capital share transactions     (633,585 )     (654,561 )
                 
Total decrease in net assets     (1,283,876 )     (2,878,734 )
                 
Net assets:                
Beginning of period     17,187,344       20,066,078  
End of period (including distributions in excess of net investment income: $(55,597) and $(54,252), respectively)   $ 15,903,468     $ 17,187,344  

 

*Unaudited.

 

See Notes to Financial Statements

 

American High-Income Trust 15
 
Notes to financial statements unaudited

 

1. Organization

 

American High-Income Trust (the “fund”) is registered under the Investment Company Act of 1940 as an open-end, diversified management investment company. The fund seeks to provide a high level of current income. Its secondary investment objective is capital appreciation.

 

The fund has 18 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 eight retirement plan share classes (Classes R-1, R-2, R-2E, R-3, R-4, R-5E, 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 fund’s share classes are described further in the following table:

 

Share class   Initial sales charge   Contingent deferred sales
charge upon redemption
  Conversion feature  
Classes A and 529-A   Up to 3.75%   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-5E, R-5 and R-6   None   None   None  
* Class B and 529-B shares of the fund are not available for purchase.

 

On November 20, 2015, the fund made an additional retirement plan share class (Class R-5E) available for sale pursuant to an amendment to its registration statement filed with the U.S. Securities and Exchange Commission. Refer to the fund’s prospectus for more details.

 

Holders of all share classes have equal pro rata rights to the assets, dividends and liquidation proceeds of the fund. Each share class 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

 

16 American High-Income Trust
 

arrangements for distribution, transfer agent and administrative services. Differences in class-specific fees and expenses will result in differences in net investment income and, therefore, the payment of different per-share dividends by each share class.

 

2. Significant accounting policies

 

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

 

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

 

Class allocations — Income, fees and expenses (other than class-specific fees and expenses) are allocated daily among the various share classes based on the relative value of their settled shares. Realized and unrealized gains and losses are allocated daily among the various share classes 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.

 

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

 

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

 

American High-Income Trust 17
 

statement of operations. The realized gain or loss and unrealized appreciation or depreciation resulting from all other transactions denominated in currencies other than U.S. dollars are disclosed separately.

 

3. Valuation

 

Capital Research and Management Company (“CRMC”), the fund’s investment adviser, values the fund’s investments at fair value as defined by U.S. GAAP. The net asset value of each share class of the fund is generally determined as of approximately 4:00 p.m. New York time each day the New York Stock Exchange is open.

 

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

 

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

 

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

 

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

 

18 American High-Income Trust
 

When the fund’s investment adviser deems it appropriate to do so (such as when vendor prices are unavailable or deemed to be not representative), fixed-income securities will be valued in good faith at the mean quoted bid and ask prices that are reasonably and timely available (or bid prices, if ask prices are not available) or at prices for securities of comparable maturity, quality and type.

 

Securities with both fixed-income and equity characteristics, or equity securities traded principally among fixed-income dealers, are generally valued in the manner described for either equity or fixed-income securities, depending on which method is deemed most appropriate by the fund’s investment adviser. Forward currency contracts are valued at the mean of representative quoted bid and ask prices, generally based on prices supplied by one or more pricing vendors. Interest rate swaps and credit default swaps are generally valued by pricing vendors based on market inputs that include the index and term of index, reset frequency, payer/receiver, currency and pay frequency.

 

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

 

Processes and structure — The fund’s board of trustees has delegated authority to the fund’s 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

 

American High-Income Trust 19
 

guidelines to the board of trustees with supplemental information to support the changes. The fund’s board and audit committee also regularly review reports that describe fair value determinations and methods.

 

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

 

Classifications — The fund’s investment adviser classifies the fund’s assets and liabilities into three levels based on the inputs used to value the assets or liabilities. Level 1 values are based on quoted prices in active markets for identical securities. Level 2 values are based on significant observable market inputs, such as quoted prices for similar securities and quoted prices in inactive markets. Certain securities trading outside the U.S. may transfer between Level 1 and Level 2 due to valuation adjustments resulting from significant market movements following the close of local trading. Level 3 values are based on significant unobservable inputs that reflect the investment adviser’s determination of assumptions that market participants might reasonably use in valuing the securities. The valuation levels are not necessarily an indication of the risk or liquidity associated with the underlying investment. For example, U.S. government securities are reflected as Level 2 because the inputs used to determine fair value may not always be quoted prices in an active market. The following tables present the fund’s valuation levels as of March 31, 2016 (dollars in thousands):

 

    Investment securities  
    Level 1     Level 2     Level 3     Total  
Assets:                                
Bonds, notes & other debt instruments:                                
Corporate bonds & notes   $     $ 13,715,138     $ 112,263     $ 13,827,401  
U.S. Treasury bonds & notes           66,396             66,396  
Other bonds & notes           62,203             62,203  
Convertible bonds           145,146             145,146  
Convertible stocks     125,183       36,046             161,229  
Preferred securities     16,213       9,741             25,954  
Common stocks     132,324       55,730       45,552       233,606  
Rights & warrants           2,116             2,116  
Short-term securities           1,433,177             1,433,177  
Total   $ 273,720     $ 15,525,693     $ 157,815     $ 15,957,228  

 

20 American High-Income Trust
 
    Other investments*  
    Level 1     Level 2     Level 3     Total  
Assets:                                
Unrealized appreciation on credit default swaps   $     $ 5,132     $     $ 5,132  
Liabilities:                                
Unrealized depreciation on open forward currency contracts           (716 )           (716 )
Unrealized depreciation on interest rate swaps           (9,843 )           (9,843 )
Unrealized depreciation on credit default swaps           (500 )           (500 )
Total   $     $ (5,927 )   $     $ (5,927 )

 

* Forward currency contracts, interest rate swaps and credit default swaps are not included in the investment portfolio.

 

4. Risk factors

 

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

 

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

 

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

 

Rising interest rates will generally cause the prices of bonds and other debt securities to fall. 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.

 

American High-Income Trust 21
 

Bonds and other debt securities are also subject to credit risk, which is the possibility that the credit strength of an issuer will weaken and/or an issuer of a debt security will fail to make timely payments of principal or interest and the security will go into default. Lower quality debt securities generally have higher rates of interest and may be subject to greater price fluctuations than higher quality debt securities. Credit risk is gauged, in part, by the credit ratings of the debt securities in which the 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 junk bonds.

 

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

 

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

 

Investing outside the U.S. — Securities of issuers domiciled outside the U.S., or with significant operations or revenues outside the U.S., may lose value because of adverse political, social, economic or market developments (including social instability, regional conflicts, terrorism and war) in the countries or regions in which the issuers operate or generate revenue. These securities may also lose value due to changes in foreign currency exchange rates against the U.S. dollar and/or currencies of other countries. Issuers of these securities may be more susceptible to actions of foreign governments, such as the imposition of price controls or punitive taxes, that could adversely impact revenues. 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

 

22 American High-Income Trust
 

accounting practices and different regulatory, legal and reporting standards and practices, and may be more difficult to value, than those in the U.S. In addition, the value of investments outside the U.S. may be reduced by foreign taxes, including foreign withholding taxes on interest and dividends. Further, there may be increased risks of delayed settlement of securities purchased or sold by the fund. The risks of investing outside the U.S. may be heightened in connection with investments in emerging markets.

 

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

 

5. Certain investment techniques

 

Loan transactions — The fund has entered into loan transactions in which the fund acquires a loan either through an agent, by assignment from another holder, or as a participation interest in another holder’s portion of a loan. The loan is often administered by a financial institution that acts as agent for the holders of the loan, and the fund may be required to receive approval from the agent and/or borrower prior to the sale of the investment. The loan’s interest rate and maturity date may change based on the terms of the loan, including potential early payments of principal.

 

Forward currency contracts — The fund has entered into forward currency contracts, which represent agreements to exchange currencies on specific future dates at predetermined rates. The fund’s investment adviser uses forward currency contracts to manage the fund’s exposure to changes in exchange rates. Upon entering into these contracts, risks may arise from the potential inability of counterparties to meet the terms of their contracts and from possible movements in exchange rates.

 

On a daily basis, the fund’s investment adviser values forward currency contracts and records unrealized appreciation or depreciation for open forward currency contracts in the fund’s statement of assets and liabilities. Realized gains or losses are recorded at the time the forward currency contract is closed or offset by another contract with the same broker for the same settlement date and currency.

 

Closed forward currency contracts that have not reached their settlement date are included in the respective receivables or payables for closed forward currency contracts in the fund’s statement of assets and liabilities. Net realized gains or losses from closed forward currency contracts and net unrealized appreciation or depreciation from open forward currency contracts are recorded in the fund’s statement of operations.

 

Interest rate swaps — The fund has entered into interest rate swap contracts, which are agreements to exchange one stream of future interest payments for another based on a specified notional amount. Typically, interest rate swaps exchange a fixed interest rate for a payment that floats relative to a benchmark or vice versa. The fund’s investment adviser uses interest rate swaps to seek to manage the interest rate sensitivity of the fund by

 

American High-Income Trust 23
 

increasing or decreasing the duration of the fund or a portion of the fund’s portfolio. Risks may arise as a result of the fund’s investment adviser incorrectly anticipating changes in interest rates, increased volatility, reduced liquidity and the potential inability of counterparties to meet the terms of their agreements.

 

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

 

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

 

Credit default swap indices — The fund has entered into centrally cleared credit default swap agreements on credit indices (“CDSI”) that involve one party (the protection buyer) making a stream of payments to another party (the protection seller) in exchange for the right to receive a specified return upon the occurrence of a credit event, such as a default or restructuring, with respect to any of the underlying issuers (reference obligations) in the referenced index. The fund’s investment adviser uses credit default swaps to assume exposure to a diversified portfolio of credits or to hedge against existing credit risks.

 

CDSI are portfolios of credit instruments or exposures designed to be representative of some part of the credit market, such as the high-yield or investment-grade credit market. CDSI are generally traded using standardized terms, including a fixed spread and standard maturity dates, and reference all the names in the index. If there is a credit event, it is settled based on that name’s weight in the index. The composition of the underlying issuers or obligations within a particular index may change periodically, usually every six months. A specified credit event may affect all or individual underlying reference obligations included in the index, and will be settled based upon the relative weighting of the affected obligation(s) within the index. The value of each CDSI can be used as a measure of the current payment/performance risk of the CDSI and represents the likelihood of an expected liability or profit should the notional amount of the CDSI be closed or sold as of the period end. An increasing value, as compared to the notional amount of the CDSI, represents a deterioration of the referenced indices’ credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. When the fund provides sell protection, its maximum exposure is the notional amount of the credit default swap agreement.

 

24 American High-Income Trust
 

Upon entering into a centrally cleared CDSI contract, the fund is required to deposit with a derivatives clearing member (“DCM”) in a segregated account in the name of the DCM an amount of cash, U.S. government securities or other liquid securities, which is known as “initial margin.” Generally, the initial margin required for a particular credit default swap is set and held as collateral by the clearinghouse on which the contract is cleared. The amount of initial margin required may be significantly modified from time to time by the clearinghouse during the term of the contract. Securities deposited as initial margin are designated on the investment portfolio.

 

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

 

The following tables present the financial statement impacts resulting from the fund’s use of forward currency contracts, interest rate swaps and credit default swaps as of, or for the six months ended, March 31, 2016 (dollars in thousands):

 

        Assets   Liabilities
Contract   Risk type   Location on statement of
assets and liabilities
  Value   Location on statement of
assets and liabilities
  Value
Forward currency   Currency   Unrealized appreciation on open forward currency contracts   $   Unrealized depreciation on open forward currency contracts   $ 716
Interest rate swaps   Interest   Net unrealized appreciation*       Net unrealized depreciation*     9,843
Credit default swaps   Credit   Net unrealized appreciation*     5,132   Net unrealized depreciation*     500
            $ 5,132       $ 11,059

 

American High-Income Trust 25
 
        Net realized gain (loss)     Net unrealized (depreciation)
appreciation
 
Contract    Risk type   Location on statement of
operations
  Value     Location on statement of
operations
  Value  
Forward currency   Currency   Net realized gain on forward currency contracts   $ 1,377     Net unrealized depreciation on forward currency contracts   $ (1,191 )
Interest rate swaps   Interest   Net realized gain on interest rate swaps     3,293     Net unrealized depreciation on interest rate swaps     (5,008 )
Credit default swaps   Credit   Net realized loss on credit default swaps     (1,316 )   Net unrealized appreciation on credit default swaps     2,153  
            $ 3,354         $ (4,046 )

 

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

 

Collateral — The fund participates in a collateral program due to its use of forward currency contracts, interest rate swaps, and credit default swaps. For forward currency contracts, the program calls for the fund to either receive or pledge collateral based on the net gain or loss on unsettled forward currency contracts by counterparty. For interest rate swaps and credit default swaps, the program calls for the fund to pledge collateral for initial and variation margin by contract. The purpose of the collateral is to cover potential losses that could occur in the event that either party cannot meet its contractual obligations.

 

Rights of offset — The fund has entered into enforceable master netting agreements with certain counterparties for forward currency contracts, where on any date amounts payable by each party to the other (in the same currency with respect to the same transaction) may be closed or offset by each party’s payment obligation. If an early termination date occurs under these agreements following an event of default or termination event, all obligations of each party to its counterparty are settled net through a single payment in a single currency (“close-out netting“). For financial reporting purposes, the fund does not offset financial assets and financial liabilities that are subject to these master netting arrangements in the statement of assets and liabilities.

 

26 American High-Income Trust
 

The following table presents the fund’s forward currency contracts by counterparty that are subject to master netting agreements but that are not offset in the fund’s statement of assets and liabilities. The net amount column shows the impact of offsetting on the fund’s statement of assets and liabilities as of March 31, 2016 (dollars in thousands) if close-out netting was exercised:

 

          Gross amounts not offset in the        
    Gross amounts     statement of assets and liabilities and        
    recognized in the     subject to a master netting agreement        
    statement of assets     Available     Non-cash     Cash     Net  
Counterparty   and liabilities     to offset     collateral*     collateral     amount  
Liabilities:                                        
Bank of America, N.A.   $ 373     $     $     $     $ 373  
HSBC Bank     343             (303 )           40  
Total   $ 716     $     $ (303 )   $     $ 414  

 

* Non-cash collateral is shown on a settlement basis.

 

6. Taxation and distributions

 

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

 

As of and during the period ended March 31, 2016, the fund did not have a liability for any unrecognized tax benefits. The fund recognizes interest and penalties, if any, related to unrecognized tax benefits as income tax expense in the statement of operations. During the period, the fund did not incur any interest or penalties.

 

The fund is not subject to examination by U.S. federal tax authorities for tax years before 2011, by state tax authorities for tax years before 2010 and by tax authorities outside the U.S. for tax years before 2014.

 

Non-U.S. taxation — Dividend and interest income are recorded net of non-U.S. taxes paid. The fund may file withholding tax reclaims in certain jurisdictions to recover a portion of amounts previously withheld. These reclaims are recorded when the amount is known and there are no significant uncertainties on collectability. Gains realized by the fund on the sale of securities in certain countries are subject to non-U.S. taxes. The fund records a liability based on unrealized gains to provide for potential non-U.S. taxes payable upon the sale of these securities.

 

Distributions — Distributions paid to shareholders are based on net investment income and net realized gains determined on a tax basis, which may differ from net investment income and net realized gains for financial reporting purposes. These differences are due primarily to different treatment for items such as currency gains and losses; short-term capital gains and losses; capital losses related to sales of certain securities within 30 days

 

American High-Income Trust 27
 

of purchase; cost of investments sold; net capital losses and income on certain investments. The fiscal year in which amounts are distributed may differ from the year in which the net investment income and net realized gains are recorded by the fund for financial reporting purposes.

 

The components of distributable earnings on a tax basis are reported as of the fund’s most recent year-end. As of September 30, 2015, the components of distributable earnings on a tax basis were as follows (dollars in thousands):

 

Undistributed ordinary income   $ 29,929  
Capital loss carryforward expiring 2018*     (209,244 )
Post-October capital loss deferral     745,689  

 

* The capital loss carryforward will be used to offset any capital gains realized by the fund in the current year or in subsequent years through the expiration date. The fund will not make distributions from capital gains while a capital loss carryforward remains.
This deferral is considered incurred in the subsequent year.

 

Under the Regulated Investment Company Modernization Act of 2010 (the “Act”), net capital losses recognized after September 30, 2011, may be carried forward indefinitely, and their character is retained as short-term and/or long-term losses. Previously, net capital losses were carried forward for eight years and treated as short-term losses. As a transition rule, the Act requires that post-enactment net capital losses be used before pre-enactment net capital losses.

 

As of March 31, 2016, the tax basis unrealized appreciation (depreciation) and cost of investment securities were as follows (dollars in thousands):

 

Gross unrealized appreciation on investment securities   $ 168,956  
Gross unrealized depreciation on investment securities     (2,136,261 )
Net unrealized depreciation on investment securities     (1,967,305 )
Cost of investment securities     17,924,533  

 

28 American High-Income Trust
 

Tax-basis distributions paid or accrued to shareholders from ordinary income were as follows (dollars in thousands):

 

Share class    
  Six months ended
March 31,
2016
Year ended
September 30,
2015
 
Class A   $ 379,232   $ 810,371  
Class B     982     3,534  
Class C     26,276     59,031  
Class F-1     21,010     49,400  
Class F-2     42,642     84,735  
Class 529-A     9,817     20,821  
Class 529-B     67     239  
Class 529-C     2,977     6,418  
Class 529-E     525     1,111  
Class 529-F-1     717     1,442  
Class R-1     513     1,148  
Class R-2     5,099     10,949  
Class R-2E     30     1  
Class R-3     6,187     13,777  
Class R-4     5,708     12,457  
Class R-5E*        
Class R-5     2,956     6,460  
Class R-6     35,871     62,776  
Total   $ 540,609   $ 1,144,670  

 

* Class R-5E shares were offered beginning November 20, 2015.
Amount less than one thousand.

 

7. Fees and transactions with related parties

 

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

 

Investment advisory services — The fund has an investment advisory and service agreement with CRMC that provides for monthly fees accrued daily. These fees are based on a series of decreasing annual rates beginning with 0.300% on the first $60 million of daily net assets and decreasing to 0.132% on such assets in excess of $21 billion. The agreement also provides for monthly fees, accrued daily, based on a series of decreasing rates beginning with 3.00% on the first $8,333,333 of the fund’s monthly gross income and decreasing to 1.50% on such income in excess of $50 million. For the six months ended March 31, 2016, the investment advisory services fee was $24,031,000, which was equivalent to an annualized rate of 0.299% of average daily net assets.

 

American High-Income Trust 29
 

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 fund has plans of distribution for all share classes, except Class F-2, R-5E, 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.

 

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 March 31, 2016, there were no unreimbursed expenses subject to reimbursement for Class A or 529-A shares.

 

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  

 

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

 

Administrative services — The fund has an administrative services agreement with CRMC under which the fund compensates CRMC for providing administrative services to Class A, C, F, 529 and R shares. These services include, but are not limited to, coordinating, monitoring, assisting and overseeing third parties that provide

 

30 American High-Income Trust
 

services to fund shareholders. Under the agreement, Class A shares pay an annual fee of 0.01% and Class C, F, 529 and R shares pay an annual fee of 0.05% of their respective average daily net assets.

 

529 plan services — 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. The quarterly fee is 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 0.05% on such assets in excess of $70 billion. 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 in the fund’s statement of operations. Virginia529 is not considered a related party to the fund.

 

For the six months ended March 31, 2016, class-specific expenses under the agreements were as follows (dollars in thousands):

 

    Distribution   Transfer agent   Administrative   529 plan
Share class   services   services   services   services
Class A   $13,189   $8,788     $562     Not applicable
Class B   163   28     Not applicable     Not applicable
Class C   4,406   703     221     Not applicable
Class F-1   785   423     157     Not applicable
Class F-2   Not applicable   700     306     Not applicable
Class 529-A   326   215     74     $132
Class 529-B   11   2     1     1
Class 529-C   498   79     25     45
Class 529-E   40   5     4     7
Class 529-F-1     15     5     9
Class R-1   86   13     4     Not applicable
Class R-2   645   413     43     Not applicable
Class R-2E   3   *   *   Not applicable
Class R-3   482   201     48     Not applicable
Class R-4   211   95     42     Not applicable
Class R-5E   Not applicable   *   *   Not applicable
Class R-5   Not applicable   24     21     Not applicable
Class R-6   Not applicable   7     253     Not applicable
Total class-specific
expenses
  $20,845   $11,711     $1,766     $194

 

* Amount less than one thousand.
Class R-5E shares were offered beginning November 20, 2015.

 

American High-Income Trust 31
 

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 fund, are treated as if invested in shares of the fund or other American Funds. These amounts represent general, unsecured liabilities of the fund and vary according to the total returns of the selected funds. Trustees’ compensation of $76,000 in the fund’s statement of operations reflects $82,000 in current fees (either paid in cash or deferred) and a net decrease of $6,000 in the value of the deferred amounts.

 

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

 

8. Committed line of credit

 

The fund participates with other funds managed by CRMC in a $500 million credit facility (the “line of credit”) to be utilized for temporary purposes to fund shareholder redemptions. The fund has agreed to pay commitment fees on its pro-rata portion of the line of credit, which are reflected in other expenses in the fund’s statement of operations. During the period, the fund did not borrow on this line of credit.

 

9. Capital share transactions

 

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

 

    Sales1   Reinvestments of
dividends
  Repurchases1   Net (decrease)
increase
Share class   Amount   Shares   Amount   Shares   Amount   Shares   Amount   Shares
                                 
Six months ended March 31, 2016        
         
Class A   $ 646,164   68,437   $356,855   37,711   $(1,510,357)   (159,830)   $(507,338)   (53,682)
Class B   321   34   940   99   (15,248)   (1,609)   (13,987)   (1,476)
Class C   56,377   5,929   24,542   2,592   (167,302)   (17,719)   (86,383)   (9,198)
Class F-1   176,180   18,659   20,197   2,132   (207,945)   (21,900)   (11,568)   (1,109)
Class F-2   365,756   38,793   40,224   4,252   (361,804)   (38,447)   44,176   4,598
Class 529-A   17,646   1,874   9,757   1,032   (34,104)   (3,621)   (6,701)   (715)
Class 529-B   68   7   66   7   (1,244)   (132)   (1,110)   (118)
Class 529-C   6,264   667   2,958   313   (14,138)   (1,505)   (4,916)   (525)
Class 529-E   904   96   522   55   (1,600)   (171)   (174)   (20)
Class 529-F-1   2,774   294   713   75   (2,459)   (261)   1,028   108
Class R-1   1,332   142   505   53   (3,917)   (412)   (2,080)   (217)
Class R-2   20,972   2,222   5,035   532   (28,821)   (3,056)   (2,814)   (302)
Class R-2E   2,006   214   30   3   (127)   (14)   1,909   203
Class R-3   24,242   2,566   6,126   647   (43,457)   (4,597)   (13,089)   (1,384)
Class R-4   23,347   2,459   5,675   600   (39,074)   (4,149)   (10,052)   (1,090)
Class R-5E2   10   1           10   1
Class R-5   11,021   1,167   2,940   311   (16,356)   (1,735)   (2,395)   (257)
Class R-6   109,685   11,675   35,828   3,787   (163,614)   (17,735)   (18,101)   (2,273)
Total net increase
(decrease)
  $1,465,069   155,236   $512,913   54,201   $(2,611,567)   (276,893)   $(633,585)   (67,456)

 

32 American High-Income Trust
 
    Sales1   Reinvestments of
dividends
    Repurchases1   Net (decrease)
increase
Share class   Amount   Shares   Amount     Shares     Amount   Shares   Amount   Shares
                             
Year ended September 30, 2015              
               
Class A   $1,402,305   130,451   $ 761,678     71,186     $(2,854,879)   (266,273)   $(690,896)   (64,636)
Class B   2,105   195   3,382     315     (51,467)   (4,775)   (45,980)   (4,265)
Class C   159,501   14,795   55,260     5,160     (356,912)   (33,278)   (142,151)   (13,323)
Class F-1   205,923   19,129   47,724     4,453     (411,600)   (38,308)   (157,953)   (14,726)
Class F-2   904,278   84,306   77,231     7,221     (861,762)   (80,440)   119,747   11,087
Class 529-A   39,665   3,686   20,713     1,936     (74,327)   (6,967)   (13,949)   (1,345)
Class 529-B   255   24   236     22     (3,560)   (331)   (3,069)   (285)
Class 529-C   15,089   1,401   6,382     596     (31,617)   (2,961)   (10,146)   (964)
Class 529-E   2,434   226   1,103     103     (4,489)   (423)   (952)   (94)
Class 529-F-1   5,123   477   1,428     134     (7,251)   (675)   (700)   (64)
Class R-1   4,306   401   1,128     105     (7,701)   (717)   (2,267)   (211)
Class R-2   46,621   4,342   10,823     1,011     (74,643)   (6,962)   (17,199)   (1,609)
Class R-2E   8   1   3   3       8   1
Class R-3   105,762   9,738   13,683     1,278     (138,233)   (12,862)   (18,788)   (1,846)
Class R-4   53,228   4,953   12,386     1,157     (91,637)   (8,540)   (26,023)   (2,430)
Class R-5   34,416   3,198   6,411     599     (52,013)   (4,855)   (11,186)   (1,058)
Class R-6   434,919   40,319   62,507     5,861     (130,483)   (12,143)   366,943   34,037
Total net increase
(decrease)
  $3,415,938   317,642   $1,082,075     101,137     $(5,152,574)   (480,510)   $(654,561)   (61,731)

 

1 Includes exchanges between share classes of the fund.
2 Class R-5E shares were offered beginning November 20, 2015.
3 Amount less than one thousand.

 

10. Investment transactions

 

The fund made purchases and sales of investment securities, excluding short-term securities and U.S. government obligations, if any, of $5,098,362,000 and $5,903,101,000, respectively, during the six months ended March 31, 2016.

 

American High-Income Trust 33
 

Financial highlights

 

          (Loss) income from investment operations1  
      Net asset
value,
beginning
of period
      Net
investment
income
      Net (losses)
gains on
securities (both
realized and
unrealized)
      Total from
investment
operations
 
Class A:                                
Six months ended 3/31/20164,5   $ 9.83     $ .32     $ (.37 )   $ (.05 )
Year ended 9/30/2015     11.09       .64       (1.25 )     (.61 )
Year ended 9/30/2014     11.22       .68       (.13 )     .55  
Year ended 9/30/2013     11.18       .72       .06       .78  
Year ended 9/30/2012     10.36       .78       .86       1.64  
Year ended 9/30/2011     11.13       .85       (.74 )     .11  
Class B:                                
Six months ended 3/31/20164,5     9.83       .28       (.37 )     (.09 )
Year ended 9/30/2015     11.09       .56       (1.25 )     (.69 )
Year ended 9/30/2014     11.22       .60       (.13 )     .47  
Year ended 9/30/2013     11.18       .63       .06       .69  
Year ended 9/30/2012     10.36       .70       .86       1.56  
Year ended 9/30/2011     11.13       .77       (.74 )     .03  
Class C:                                
Six months ended 3/31/20164,5     9.83       .28       (.37 )     (.09 )
Year ended 9/30/2015     11.09       .55       (1.25 )     (.70 )
Year ended 9/30/2014     11.22       .59       (.13 )     .46  
Year ended 9/30/2013     11.18       .63       .06       .69  
Year ended 9/30/2012     10.36       .70       .86       1.56  
Year ended 9/30/2011     11.13       .76       (.74 )     .02  
Class F-1:                                
Six months ended 3/31/20164,5     9.83       .32       (.37 )     (.05 )
Year ended 9/30/2015     11.09       .63       (1.25 )     (.62 )
Year ended 9/30/2014     11.22       .68       (.13 )     .55  
Year ended 9/30/2013     11.18       .71       .06       .77  
Year ended 9/30/2012     10.36       .78       .86       1.64  
Year ended 9/30/2011     11.13       .85       (.74 )     .11  
Class F-2:                                
Six months ended 3/31/20164,5     9.83       .33       (.37 )     (.04 )
Year ended 9/30/2015     11.09       .66       (1.25 )     (.59 )
Year ended 9/30/2014     11.22       .71       (.13 )     .58  
Year ended 9/30/2013     11.18       .74       .06       .80  
Year ended 9/30/2012     10.36       .81       .86       1.67  
Year ended 9/30/2011     11.13       .88       (.74 )     .14  
Class 529-A:                                
Six months ended 3/31/20164,5     9.83       .31       (.37 )     (.06 )
Year ended 9/30/2015     11.09       .63       (1.25 )     (.62 )
Year ended 9/30/2014     11.22       .67       (.13 )     .54  
Year ended 9/30/2013     11.18       .71       .06       .77  
Year ended 9/30/2012     10.36       .78       .86       1.64  
Year ended 9/30/2011     11.13       .85       (.74 )     .11  

 

34 American High-Income Trust
 
                              Ratio of   Ratio of      
Dividends                         expenses to   expenses to   Ratio of
(from net   Net asset         Net assets,   average net   average net   net income
investment   value, end   Total   end of period   assets before   assets after   to average
income)   of period   return2,3   (in millions)   reimbursements   reimbursements2   net assets2
                                             
$ (.32 )   $ 9.46     (.47 )%6   $ 11,073     .72 %7   .72 %7   6.74 %7
  (.65 )     9.83     (5.84 )     12,033     .67     .67     5.94  
  (.68 )     11.09     4.93       14,286     .66     .66     5.99  
  (.74 )     11.22     7.10       14,178     .66     .66     6.37  
  (.82 )     11.18     16.35       13,822     .69     .69     7.17  
  (.88 )     10.36     .67       11,223     .67     .67     7.57  
                                             
  (.28 )     9.46     (.85 )6     26     1.48 7   1.48 7   5.97 7
  (.57 )     9.83     (6.54 )     42     1.42     1.42     5.20  
  (.60 )     11.09     4.16       94     1.41     1.41     5.26  
  (.65 )     11.22     6.29       143     1.43     1.43     5.63  
  (.74 )     11.18     15.49       204     1.44     1.44     6.47  
  (.80 )     10.36     (.10 )     264     1.44     1.44     6.82  
                                             
  (.28 )     9.46     (.87 )6     843     1.52 7   1.52 7   5.93 7
  (.56 )     9.83     (6.59 )     967     1.47     1.47     5.14  
  (.59 )     11.09     4.11       1,238     1.46     1.46     5.20  
  (.65 )     11.22     6.25       1,330     1.48     1.48     5.56  
  (.74 )     11.18     15.43       1,418     1.48     1.48     6.38  
  (.79 )     10.36     (.15 )     1,229     1.48     1.48     6.76  
                                             
  (.32 )     9.46     (.49 )6     641     .75 7   .75 7   6.70 7
  (.64 )     9.83     (5.87 )     677     .70     .70     5.91  
  (.68 )     11.09     4.87       927     .71     .71     5.96  
  (.73 )     11.22     7.03       1,418     .73     .73     6.32  
  (.82 )     11.18     16.32       1,584     .71     .71     7.14  
  (.88 )     10.36     .62       1,264     .72     .72     7.52  
                                             
  (.33 )     9.46     (.35 )6     1,277     .48 7   .48 7   6.98 7
  (.67 )     9.83     (5.64 )     1,281     .45     .45     6.15  
  (.71 )     11.09     5.15       1,322     .44     .44     6.21  
  (.76 )     11.22     7.32       935     .46     .46     6.58  
  (.85 )     11.18     16.62       903     .46     .46     7.37  
  (.91 )     10.36     .88       568     .46     .46     7.77  
                                             
  (.31 )     9.46     (.52 )6     294     .82 7   .82 7   6.63 7
  (.64 )     9.83     (5.93 )     312     .76     .76     5.84  
  (.67 )     11.09     4.83       367     .75     .75     5.89  
  (.73 )     11.22     7.00       357     .76     .76     6.27  
  (.82 )     11.18     16.26       341     .77     .77     7.08  
  (.88 )     10.36     .59       261     .74     .74     7.50  

 

See page 40 for footnotes.

 

American High-Income Trust 35
 

Financial highlights (continued)

 

            (Loss) income from investment operations1  
                Net (losses)        
    Net asset           gains on        
    value,     Net     securities (both     Total from  
    beginning     investment     realized and     investment  
    of period     income     unrealized)     operations  
Class 529-B:                                
Six months ended 3/31/20164,5   $ 9.83     $ .28     $ (.37 )   $ (.09 )
Year ended 9/30/2015     11.09       .54       (1.25 )     (.71 )
Year ended 9/30/2014     11.22       .58       (.13 )     .45  
Year ended 9/30/2013     11.18       .62       .06       .68  
Year ended 9/30/2012     10.36       .69       .86       1.55  
Year ended 9/30/2011     11.13       .75       (.74 )     .01  
Class 529-C:                                
Six months ended 3/31/20164,5     9.83       .28       (.37 )     (.09 )
Year ended 9/30/2015     11.09       .55       (1.25 )     (.70 )
Year ended 9/30/2014     11.22       .58       (.13 )     .45  
Year ended 9/30/2013     11.18       .62       .06       .68  
Year ended 9/30/2012     10.36       .69       .86       1.55  
Year ended 9/30/2011     11.13       .76       (.74 )     .02  
Class 529-E:                                
Six months ended 3/31/20164,5     9.83       .31       (.37 )     (.06 )
Year ended 9/30/2015     11.09       .61       (1.25 )     (.64 )
Year ended 9/30/2014     11.22       .65       (.13 )     .52  
Year ended 9/30/2013     11.18       .68       .06       .74  
Year ended 9/30/2012     10.36       .75       .86       1.61  
Year ended 9/30/2011     11.13       .81       (.74 )     .07  
Class 529-F-1:                                
Six months ended 3/31/20164,5     9.83       .32       (.37 )     (.05 )
Year ended 9/30/2015     11.09       .65       (1.25 )     (.60 )
Year ended 9/30/2014     11.22       .70       (.13 )     .57  
Year ended 9/30/2013     11.18       .73       .06       .79  
Year ended 9/30/2012     10.36       .80       .86       1.66  
Year ended 9/30/2011     11.13       .87       (.74 )     .13  
Class R-1:                                
Six months ended 3/31/20164,5     9.83       .28       (.37 )     (.09 )
Year ended 9/30/2015     11.09       .55       (1.25 )     (.70 )
Year ended 9/30/2014     11.22       .59       (.13 )     .46  
Year ended 9/30/2013     11.18       .63       .06       .69  
Year ended 9/30/2012     10.36       .70       .86       1.56  
Year ended 9/30/2011     11.13       .76       (.74 )     .02  
Class R-2:                                
Six months ended 3/31/20164,5     9.83       .28       (.37 )     (.09 )
Year ended 9/30/2015     11.09       .55       (1.25 )     (.70 )
Year ended 9/30/2014     11.22       .59       (.13 )     .46  
Year ended 9/30/2013     11.18       .63       .06       .69  
Year ended 9/30/2012     10.36       .69       .86       1.55  
Year ended 9/30/2011     11.13       .76       (.74 )     .02  

 

36 American High-Income Trust
 
                        Ratio of     Ratio of        
Dividends                       expenses to     expenses to     Ratio of  
(from net     Net asset           Net assets,     average net     average net     net income  
investment     value, end     Total     end of period     assets before     assets after     to average  
income)     of period     return2,3     (in millions)     reimbursements     reimbursements2     net assets2  
                                       
$ (.28 )   $ 9.46       (.92 )%6   $ 2       1.63 %7     1.63 %7     5.81 %7
  (.55 )     9.83       (6.66 )     3       1.55       1.55       5.07  
  (.58 )     11.09       4.02       6       1.55       1.55       5.12  
  (.64 )     11.22       6.16       10       1.56       1.56       5.50  
  (.73 )     11.18       15.34       13       1.57       1.57       6.32  
  (.78 )     10.36       (.22 )     16       1.55       1.55       6.70  
                                                     
  (.28 )     9.46       (.90 )6     99       1.59 7     1.59 7     5.86 7
  (.56 )     9.83       (6.65 )     108       1.53       1.53       5.07  
  (.58 )     11.09       4.03       133       1.53       1.53       5.12  
  (.64 )     11.22       6.17       132       1.55       1.55       5.49  
  (.73 )     11.18       15.35       128       1.56       1.56       6.29  
  (.79 )     10.36       (.21 )     101       1.54       1.54       6.70  
                                                     
  (.31 )     9.46       (.61 )6     16       1.01 7     1.01 7     6.45 7
  (.62 )     9.83       (6.12 )     17       .97       .97       5.63  
  (.65 )     11.09       4.60       20       .98       .98       5.67  
  (.70 )     11.22       6.75       20       .99       .99       6.04  
  (.79 )     11.18       15.97       19       1.02       1.02       6.83  
  (.84 )     10.36       .31       15       1.02       1.02       7.22  
                                                     
  (.32 )     9.46       (.41 )6     22       .60 7     .60 7     6.86 7
  (.66 )     9.83       (5.71 )     22       .54       .54       6.07  
  (.70 )     11.09       5.06       25       .53       .53       6.11  
  (.75 )     11.22       7.22       23       .54       .54       6.48  
  (.84 )     11.18       16.50       20       .56       .56       7.28  
  (.90 )     10.36       .80       14       .53       .53       7.70  
                                                     
  (.28 )     9.46       (.86 )6     16       1.51 7     1.51 7     5.94 7
  (.56 )     9.83       (6.58 )     19       1.46       1.46       5.15  
  (.59 )     11.09       4.11       24       1.46       1.46       5.19  
  (.65 )     11.22       6.25       24       1.47       1.47       5.56  
  (.74 )     11.18       15.42       25       1.50       1.50       6.36  
  (.79 )     10.36       (.17 )     20       1.50       1.50       6.74  
                                                     
  (.28 )     9.46       (.90 )6     173       1.59 7     1.59 7     5.87 7
  (.56 )     9.83       (6.60 )     183       1.48       1.48       5.13  
  (.59 )     11.09       4.06       224       1.50       1.50       5.15  
  (.65 )     11.22       6.26       231       1.47       1.47       5.57  
  (.73 )     11.18       15.38       232       1.54       1.54       6.32  
  (.79 )     10.36       (.15 )     200       1.53       1.48       6.76  

 

See page 40 for footnotes.

 

American High-Income Trust 37
 

Financial highlights (continued)

 

 

            (Loss) income from investment operations1  
                Net (losses)        
    Net asset           gains on        
    value,     Net     securities (both     Total from  
    beginning     investment     realized and     investment  
    of period     income     unrealized)     operations  
Class R-2E:                                
Six months ended 3/31/20164,5   $ 9.83     $ .30     $ (.37 )   $ (.07 )
Year ended 9/30/2015     11.09       .63       (1.25 )     (.62 )
Period from 8/29/2014 to 9/30/20145,10     11.40       .06       (.31 )     (.25 )
Class R-3:                                
Six months ended 3/31/20164,5     9.83       .30       (.37 )     (.07 )
Year ended 9/30/2015     11.09       .60       (1.25 )     (.65 )
Year ended 9/30/2014     11.22       .64       (.13 )     .51  
Year ended 9/30/2013     11.18       .68       .06       .74  
Year ended 9/30/2012     10.36       .75       .86       1.61  
Year ended 9/30/2011     11.13       .81       (.74 )     .07  
Class R-4:                                
Six months ended 3/31/20164,5     9.83       .32       (.37 )     (.05 )
Year ended 9/30/2015     11.09       .64       (1.25 )     (.61 )
Year ended 9/30/2014     11.22       .68       (.13 )     .55  
Year ended 9/30/2013     11.18       .72       .06       .78  
Year ended 9/30/2012     10.36       .78       .86       1.64  
Year ended 9/30/2011     11.13       .85       (.74 )     .11  
Class R-5E:                                
Period from 11/20/2015 to 3/31/20164,5,11     9.70       .23       (.24 )     (.01 )
Class R-5:                                
Six months ended 3/31/20164,5     9.83       .33       (.37 )     (.04 )
Year ended 9/30/2015     11.09       .67       (1.25 )     (.58 )
Year ended 9/30/2014     11.22       .71       (.13 )     .58  
Year ended 9/30/2013     11.18       .75       .06       .81  
Year ended 9/30/2012     10.36       .81       .86       1.67  
Year ended 9/30/2011     11.13       .88       (.74 )     .14  
Class R-6:                                
Six months ended 3/31/20164,5     9.83       .34       (.37 )     (.03 )
Year ended 9/30/2015     11.09       .67       (1.25 )     (.58 )
Year ended 9/30/2014     11.22       .72       (.13 )     .59  
Year ended 9/30/2013     11.18       .76       .06       .82  
Year ended 9/30/2012     10.36       .82       .86       1.68  
Year ended 9/30/2011     11.13       .89       (.74 )     .15  

 

 

    Six months
ended
  Year ended September 30
    March 31,
20164,5,6
  2015   2014   2013   2012   2011
Portfolio turnover rate for all share classes     34%       49%       62%       61%       38%       51%  

 

See Notes to Financial Statements

 

38 American High-Income Trust
 

 

                        Ratio of     Ratio of        
Dividends                       expenses to     expenses to     Ratio of  
(from net     Net asset           Net assets,     average net     average net     net income  
investment     value, end     Total     end of period     assets before     assets after     to average  
income)     of period     return2,3     (in millions)     reimbursements     reimbursements2     net assets2  
                                       
$ (.30 )   $ 9.46       (.62 )%6   $ 2       1.06 %7     1.06 %7     6.46 %7
  (.64 )     9.83       (5.94 )8     9     .79 8     .79 8     5.76 8
  (.06 )     11.09       (2.20 )6,8     9     .04 6,8     .04 6,8     .51 6,8
                                                     
  (.30 )     9.46       (.65 )6     188       1.07 7     1.07 7     6.39 7
  (.61 )     9.83       (6.16 )     209       1.01       1.01       5.61  
  (.64 )     11.09       4.57       256       1.01       1.01       5.65  
  (.70 )     11.22       6.74       310       1.01       1.01       6.04  
  (.79 )     11.18       15.96       352       1.03       1.03       6.84  
  (.84 )     10.36       .31       266       1.02       1.02       7.22  
                                                     
  (.32 )     9.46       (.48 )6     163       .73 7     .73 7     6.73 7
  (.65 )     9.83       (5.86 )     180       .69       .69       5.93  
  (.68 )     11.09       4.90       230       .69       .69       5.96  
  (.74 )     11.22       7.06       230       .70       .70       6.34  
  (.82 )     11.18       16.32       232       .72       .72       7.16  
  (.88 )     10.36       .61       208       .72       .72       7.52  
                                                     
  (.23 )     9.46       (.02 )6     9     .21 6     .21 6     2.52 6
                                                     
  (.33 )     9.46       (.32 )6     83       .42 7     .42 7     7.04 7
  (.68 )     9.83       (5.58 )     88       .39       .39       6.23  
  (.71 )     11.09       5.21       111       .39       .39       6.30  
  (.77 )     11.22       7.38       224       .40       .40       6.66  
  (.85 )     11.18       16.67       290       .41       .41       7.44  
  (.91 )     10.36       .91       224       .42       .42       7.82  
                                                     
  (.34 )     9.46       (.30 )6     985       .37 7     .37 7     7.09 7
  (.68 )     9.83       (5.53 )     1,046       .34       .34       6.26  
  (.72 )     11.09       5.26       803       .34       .34       6.29  
  (.78 )     11.22       7.43       472       .35       .35       6.66  
  (.86 )     11.18       16.72       226       .36       .36       7.44  
  (.92 )     10.36       .96       104       .37       .37       7.86  

 

See page 40 for footnotes.

 

American High-Income Trust 39
 

Financial highlights (continued)

 

1 Based on average shares outstanding.
2 This column reflects the impact, if any, of certain reimbursements from CRMC. During some of the periods shown, CRMC paid a portion of the fund’s transfer agent fees for certain retirement plan share classes.
3 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
4 Unaudited.
5 Based on operations for the period shown and, accordingly, is not representative of a full year.
6 Not annualized.
7 Annualized.
8 All or a significant portion of assets in this class consisted of seed capital invested by CRMC and/or its affiliates. Fees for distribution services are not charged or accrued on these seed capital assets. If such fees were paid by the fund on seed capital assets, fund expenses would have been higher and net income and total return would have been lower.
9 Amount less than $1 million.
10 Class R-2E shares were offered beginning August 29, 2014.
11 Class R-5E shares were offered beginning November 20, 2015.

 

40 American High-Income Trust
 
Expense example unaudited

 

As a fund shareholder, you incur two types of costs: (1) transaction costs, such as initial sales charges on purchase payments and contingent deferred sales charges on redemptions (loads), and (2) ongoing costs, including management fees, distribution and service (12b-1) fees, and other expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the fund so you can compare these costs with the ongoing costs of investing in other mutual funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire six-month period (October 1, 2015, through March 31, 2016).

 

Actual expenses:

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

 

Hypothetical example for comparison purposes:

The second line of each share class in the table on the following page 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, F-2 and 529-F-1 shareholders may be subject to fees charged by financial intermediaries, typically ranging from 0.75% to 1.50% of assets annually depending on services offered. You can estimate the impact of these fees by adding the amount of the fees to the total estimated expenses you paid on your account during the period as calculated above. In addition, your ending account value would be lower by the amount of these fees.

 

Note that the expenses shown in the table on the following page are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads). Therefore, the second line of each share class in the table is useful in comparing ongoing costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

American High-Income Trust 41
 
    Beginning
account value
10/1/2015
    Ending
account value
3/31/2016
    Expenses paid
during period*
    Annualized
expense ratio
 
Class A - actual return   $ 1,000.00     $ 995.31     $ 3.59       .72 %
Class A - assumed 5% return     1,000.00       1,021.40       3.64       .72  
Class B - actual return     1,000.00       991.50       7.37       1.48  
Class B - assumed 5% return     1,000.00       1,017.60       7.47       1.48  
Class C - actual return     1,000.00       991.31       7.57       1.52  
Class C - assumed 5% return     1,000.00       1,017.40       7.67       1.52  
Class F-1 - actual return     1,000.00       995.11       3.74       .75  
Class F-1 - assumed 5% return     1,000.00       1,021.25       3.79       .75  
Class F-2 - actual return     1,000.00       996.47       2.40       .48  
Class F-2 - assumed 5% return     1,000.00       1,022.60       2.43       .48  
Class 529-A - actual return     1,000.00       994.78       4.09       .82  
Class 529-A - assumed 5% return     1,000.00       1,020.90       4.14       .82  
Class 529-B - actual return     1,000.00       990.76       8.11       1.63  
Class 529-B - assumed 5% return     1,000.00       1,016.85       8.22       1.63  
Class 529-C - actual return     1,000.00       990.96       7.91       1.59  
Class 529-C - assumed 5% return     1,000.00       1,017.05       8.02       1.59  
Class 529-E - actual return     1,000.00       993.86       5.03       1.01  
Class 529-E - assumed 5% return     1,000.00       1,019.95       5.10       1.01  
Class 529-F-1 - actual return     1,000.00       995.88       2.99       .60  
Class 529-F-1 - assumed 5% return     1,000.00       1,022.00       3.03       .60  
Class R-1 - actual return     1,000.00       991.37       7.52       1.51  
Class R-1 - assumed 5% return     1,000.00       1,017.45       7.62       1.51  
Class R-2 - actual return     1,000.00       990.98       7.91       1.59  
Class R-2 - assumed 5% return     1,000.00       1,017.05       8.02       1.59  
Class R-2E - actual return     1,000.00       993.75       5.28       1.06  
Class R-2E - assumed 5% return     1,000.00       1,019.70       5.35       1.06  
Class R-3 - actual return     1,000.00       993.53       5.33       1.07  
Class R-3 - assumed 5% return     1,000.00       1,019.65       5.40       1.07  
Class R-4 - actual return     1,000.00       995.23       3.64       .73  
Class R-4 - assumed 5% return     1,000.00       1,021.35       3.69       .73  
Class R-5E - actual return     1,000.00       999.76       2.06       .57  
Class R-5E - assumed 5% return     1,000.00       1,022.15       2.88       .57  
Class R-5 - actual return     1,000.00       996.75       2.10       .42  
Class R-5 - assumed 5% return     1,000.00       1,022.90       2.12       .42  
Class R-6 - actual return     1,000.00       997.04       1.85       .37  
Class R-6 - assumed 5% return     1,000.00       1,023.15       1.87       .37  
                                 
* The “expenses paid during period” are equal to the “annualized expense ratio,” multiplied by the average account value over the period, multiplied by the number of days in the period, and divided by 366 (to reflect the one-half year period).
The period for the “annualized expense ratio” and “actual return” line is based on the number of days since the initial sale of the share class on November 20, 2015. The “assumed 5% return” line is based on 183 days.
   
42 American High-Income Trust
 

Approval of Investment Advisory and Service Agreement

 

American High-Income Trust’s board has approved the fund’s Investment Advisory and Service Agreement (the “agreement”) with Capital Research and Management Company (“CRMC”) for a one-year term through April 30, 2017. The board approved the agreement following the recommendation of the fund’s Contracts Committee (the “committee”), which is composed of all of the fund’s independent board members. The board and the committee determined that the fund’s advisory fee structure was fair and reasonable in relation to the services provided, and that approving the agreement was in the best interests of the fund and its shareholders.

 

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

 

1. Nature, extent and quality of services

 

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

 

2. Investment results

 

The board and the committee considered the investment results of the fund in light of its objectives of providing a high level of current income and, secondarily, capital appreciation. They compared the fund’s investment results with those of other relevant funds (including the other funds that currently form the basis of the Lipper index for the category in which the fund is included), and data such as relevant market and fund indexes, over various periods through October 31, 2015. This report, including the letter to shareholders and related disclosures, contains certain information about the fund’s investment results. The board and the committee reviewed the fund’s investment results measured against the Lipper High Yield Funds Average and the Barclays U.S. Corporate High Yield 2% Issuer Capped Index. They noted that the investment results of the fund were above those of the Lipper average for the lifetime period (while below the Lipper average for the year-to-date, one-year, three-year, five-year and 10-year periods), and below the Barclays index for all periods considered. The board and committee also discussed certain actions being taken to improve the fund’s relative results. The board and the committee concluded that the fund’s investment results have been satisfactory for renewal of the agreement and that CRMC’s record in managing the fund indicated that its continued management should benefit the fund and its shareholders.

 

American High-Income Trust 43
 

3. Advisory fees and total expenses

 

The board and the committee compared the advisory fees and total expense levels of the fund to those of other relevant funds. They observed that the fund’s advisory fees and expenses generally compared favorably to those of the other similar funds included in the Lipper High Yields Funds category. The board and the committee also considered the breakpoint discounts in the fund’s advisory fee structure that reduce the level of fees charged by CRMC to the fund as fund assets increase. In addition, they reviewed information regarding the effective advisory fees charged to non-mutual fund clients by CRMC and its affiliates. They noted that, to the extent there were differences between the advisory fees paid by the fund and the advisory fees paid by those clients, the differences appropriately reflected the investment, operational, regulatory and market differences between advising the fund and the other clients. The board and the committee concluded that the fund’s cost structure was fair and reasonable in relation to the services provided, and that the fund’s shareholders receive reasonable value in return for the advisory fees and other amounts paid to CRMC by the fund.

 

4. Ancillary benefits

 

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

 

5. Adviser financial information

 

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

 

44 American High-Income Trust
 

Offices of the fund and of the investment adviser

Capital Research and Management Company

333 South Hope Street

Los Angeles, CA 90071-1406

 

6455 Irvine Center Drive

Irvine, CA 92618-4518

 

Transfer agent for shareholder accounts

American Funds Service Company

(Write to the address near you.)

 

P.O. Box 6007

Indianapolis, IN 46206-6007

 

P.O. Box 2280

Norfolk, VA 23501-2280

 

Custodian of assets

JPMorgan Chase Bank

270 Park Avenue

New York, NY 10017-2070

 

Counsel

Morgan, Lewis & Bockius LLP

300 South Grand Avenue, 22nd Floor

Los Angeles, CA 90071-3132

 

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

 

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

 

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

 

A complete March 31, 2016, portfolio of American High-Income Trust’s investments is available free of charge by calling AFS or visiting the SEC website (where it is part of Form N-CSR).

 

American High-Income Trust 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 High-Income Trust, but it also may be used as sales literature when preceded or accompanied by the current prospectus or summary prospectus, which gives details about charges, expenses, investment objectives and operating policies of the fund. If used as sales material after June 30, 2016, this report must be accompanied by an American Funds statistical update for the most recently completed calendar quarter.

 

The American Funds AdvantageSM

 

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

 

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

 

 

 

ITEM 2 – Code of Ethics

 

Not applicable for filing of semi-annual reports to shareholders.

 

 

ITEM 3 – Audit Committee Financial Expert

 

Not applicable for filing of semi-annual reports to shareholders.

 

 

ITEM 4 – Principal Accountant Fees and Services

 

Not applicable for filing of semi-annual reports to shareholders.

 

 

ITEM 5 – Audit Committee of Listed Registrants

 

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

 

 

ITEM 6 – Schedule of Investments

 

American High-Income Trust®
Investment portfolio
March 31, 2016
unaudited
Bonds, notes & other debt instruments 87.75%
Corporate bonds & notes 86.94%
Health care 13.31%
Principal amount
(000)
Value
(000)
Alere Inc. 6.50% 2020 $4,340 $4,444
AmSurg Corp. 5.625% 2022 9,815 10,146
Centene Corp. 5.75% 2017 9,345 9,684
Centene Corp. 5.625% 20211 49,745 51,984
Centene Corp. 4.75% 2022 40,355 40,960
Centene Corp. 6.125% 20241 37,592 39,660
Community Health Systems Inc. 5.125% 2021 3,650 3,714
Concordia Healthcare Corp., Term Loan B, 5.25% 20212,3,4 5,721 5,592
Concordia Healthcare Corp. 9.50% 20221 46,020 44,639
Concordia Healthcare Corp. 7.00% 20231 25,115 21,662
ConvaTec Finance International SA 8.25% 20191,5 31,250 31,074
DaVita HealthCare Partners Inc. 5.125% 2024 7,840 7,933
DaVita HealthCare Partners Inc. 5.00% 2025 21,775 21,612
DJO Finance LLC 10.75% 20201 35,043 28,604
DJO Finco Inc. 8.125% 20211 49,495 44,051
Endo Finance LLC & Endo Finco Inc. 6.00% 20231 18,865 17,851
Endo Pharmaceuticals Holdings Inc. 5.75% 20221 46,910 44,564
Fresenius Medical Care AG & Co. KGAA 5.875% 20221 6,850 7,559
Fresenius Medical Care AG & Co. KGAA 4.75% 20241 12,500 12,766
HCA Inc. 3.75% 2019 25,008 25,681
HCA Inc. 6.50% 2020 32,125 35,338
HCA Inc. 4.75% 2023 4,435 4,524
HCA Inc. 5.00% 2024 19,010 19,497
HCA Inc. 5.375% 2025 3,750 3,796
HCA Inc. 5.25% 2026 20,750 21,321
HCA Inc. 5.875% 2026 12,000 12,390
Healthsouth Corp. 5.75% 2024 8,675 8,831
Healthsouth Corp. 5.75% 2025 29,665 30,125
Hologic, Inc. 5.25% 20221 7,610 7,962
inVentiv Health Inc. 9.00% 20181 142,970 148,331
inVentiv Health Inc. 10.00% 20181,5 96,620 98,069
inVentiv Health Inc. 10.00% 2018 55,558 53,544
inVentiv Health Inc. 10.00% 2018 23,933 23,843
inVentiv Health Inc., Term Loan B4, 7.75% 20182,3,4 26,930 26,896
Jaguar Holding Co. 6.375% 20231 9,600 9,881
Kindred Healthcare, Inc. 8.00% 2020 32,650 32,568
Kindred Healthcare, Inc. 8.75% 2023 23,505 22,535
Kinetic Concepts, Inc. 10.50% 2018 180,745 182,101
Kinetic Concepts, Inc. 12.50% 2019 130,807 114,210
Kinetic Concepts, Inc. 7.875% 20211 7,325 7,765
Mallinckrodt PLC 4.875% 20201 29,510 27,798
Mallinckrodt PLC 5.75% 20221 9,323 8,635
Mallinckrodt PLC 5.625% 20231 29,940 27,320
Mallinckrodt PLC, Term Loan B-1, 3.50% 20212,3,4 13,067 12,724
MEDNAX, Inc. 5.25% 20231 13,805 14,392
Molina Healthcare, Inc. 5.375% 20221 45,225 46,695
American High-Income Trust — Page 1 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Health care (continued)
Principal amount
(000)
Value
(000)
Ortho-Clinical Diagnostics Inc. 6.625% 20221 $27,150 $20,566
Ortho-Clinical Diagnostics Inc., Term Loan B, 4.75% 20212,3,4 39,613 36,543
Pharmaceutical Product Development LLC, Term Loan, 4.25% 20222,3,4 14,850 14,739
Prestige Brands International Inc. 6.375% 20241 5,650 5,918
Quintiles Transnational Corp. 4.875% 20231 21,100 21,672
Rotech Healthcare Inc., Term Loan, 13.00% 20202,3,4,5,6,7 57,868 53,613
Rotech Healthcare Inc., Term Loan A, 5.50% 20182,3,4,6,7 25,253 25,126
Rotech Healthcare Inc., Term Loan B, 10.00% 20192,3,4,6,7 20,825 20,721
Teamhealth Inc. 7.25% 20231 7,100 7,615
Tenet Healthcare Corp. 4.375% 2021 10,768 10,849
Tenet Healthcare Corp. 8.125% 2022 13,535 13,953
Tenet Healthcare Corp. 6.75% 2023 46,415 44,674
Tenet Healthcare Corp., First Lien, 6.25% 2018 3,000 3,210
Tenet Healthcare Corp., First Lien, 4.75% 2020 17,095 17,608
Tenet Healthcare Corp., First Lien, 6.00% 2020 41,940 44,876
Tenet Healthcare Corp., First Lien, 4.50% 2021 41,330 41,743
Valeant Pharmaceuticals International Inc. 7.00% 20201 2,155 1,821
Valeant Pharmaceuticals International Inc. 5.50% 20231 13,975 11,005
Valeant Pharmaceuticals International, Inc., Term Loan BF-1, 4.00% 20222,3,4 5,618 5,317
Vizient Inc. 10.375% 20241 10,015 10,741
VPI Escrow Corp. 6.75% 20181 51,650 47,131
VPI Escrow Corp. 6.375% 20201 90,081 75,218
VPI Escrow Corp. 7.50% 20211 12,810 10,736
VRX Escrow Corp. 5.375% 20201 34,375 28,188
VRX Escrow Corp. 5.875% 20231 12,815 10,108
VRX Escrow Corp. 6.125% 20251 73,610 56,864
    2,115,826
Consumer discretionary 13.30%    
AMC Networks Inc. 5.00% 2024 17,825 17,936
Boyd Gaming Corp. 9.00% 2020 44,000 46,640
Boyd Gaming Corp. 6.875% 2023 6,075 6,500
Boyd Gaming Corp. 6.375% 20261 18,675 19,469
Burger King Corp. 6.00% 20221 46,025 47,981
Cablevision Systems Corp. 7.75% 2018 29,300 30,618
Cablevision Systems Corp. 6.75% 2021 23,000 23,678
CBS Outdoor Americas Inc. 5.25% 2022 18,450 18,980
CBS Outdoor Americas Inc. 5.625% 2024 16,095 16,819
CCO Holdings LLC and CCO Holdings Capital Corp. 6.50% 2021 8,800 9,137
CCO Holdings LLC and CCO Holdings Capital Corp. 6.625% 2022 4,500 4,752
CCO Holdings LLC and CCO Holdings Capital Corp. 5.875% 20241 5,000 5,250
CCO Holdings LLC and CCO Holdings Capital Corp. 4.908% 20251 19,000 20,078
CCO Holdings LLC and CCO Holdings Capital Corp. 5.375% 20251 9,600 9,792
CCO Holdings LLC and CCO Holdings Capital Corp. 5.75% 20261 69,125 71,717
Cedar Fair, LP 5.375% 2024 8,440 8,799
Cengage Learning Acquisitions, Inc., Term Loan B, 7.00% 20202,3,4 20,716 20,659
Cequel Communications Holdings I, LLC and Cequel Capital Corp. 6.375% 20201 103,960 103,440
Churchill Downs Inc. 5.375% 20211 9,100 9,419
Clear Channel Worldwide Holdings, Inc. 7.625% 2020 88,294 81,451
Cumulus Media Holdings Inc. 7.75% 2019 65,114 25,069
Cumulus Media Inc., Term Loan B, 4.25% 20202,3,4 24,265 16,500
Delta 2 (Formula One), Term Loan B, 7.75% 20222,3,4 33,550 30,950
DISH DBS Corp. 4.625% 2017 2,500 2,556
DISH DBS Corp. 4.25% 2018 40,750 41,862
American High-Income Trust — Page 2 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Consumer discretionary (continued)
Principal amount
(000)
Value
(000)
DISH DBS Corp. 7.875% 2019 $9,550 $10,541
Extended Stay America Inc. 5.25% 20251 14,500 14,228
Family Tree Escrow LLC 5.25% 20201 6,925 7,280
Family Tree Escrow LLC 5.75% 20231 26,250 27,940
GameStop Corp. 6.75% 20211 30,075 29,173
Gannett Co., Inc. 5.125% 2019 14,885 15,596
Gannett Co., Inc. 4.875% 20211 14,820 15,302
Gannett Co., Inc. 5.50% 20241 3,000 3,101
General Motors Co. 4.00% 2025 3,740 3,656
Goodyear Tire & Rubber Co. 5.125% 2023 5,915 6,078
Group 1 Automotive, Inc. 5.25% 20231 11,850 11,761
Hilton Worldwide Finance LLC 5.625% 2021 24,965 25,994
Hilton Worldwide, Term Loan B, 3.50% 20202,3,4 9,451 9,465
iHeartCommunications, Inc. 9.00% 2019 1,900 1,413
iHeartCommunications, Inc. 10.625% 2023 19,255 13,430
iHeartCommunications, Inc., Term Loan D, 7.18% 20192,3,4 7,500 5,155
International Game Technology 6.25% 20221 9,500 9,714
J.C. Penney Co., Inc. 8.125% 2019 10,000 10,325
Jarden Corp. 5.00% 20231 4,560 4,799
Lamar Media Corp. 5.75% 20261 9,275 9,762
Lear Corp., 5.25% 2025 11,550 12,070
Lennar Corp. 4.75% 2021 10,050 10,226
Limited Brands, Inc. 6.625% 2021 14,226 16,074
Limited Brands, Inc. 6.875% 2035 23,425 25,538
McClatchy Co. 9.00% 2022 33,100 31,011
MDC Partners Inc. 6.50% 20241 27,700 28,358
Mediacom Broadband LLC and Mediacom Broadband Corp. 5.50% 2021 10,500 10,618
Mediacom Broadband LLC and Mediacom Broadband Corp. 6.375% 2023 20,675 21,244
Mediacom LLC and Mediacom Capital Corp. 7.25% 2022 14,300 15,086
Melco Crown Entertainment Ltd. 5.00% 20211 8,575 8,199
MGM Resorts International 7.50% 2016 9,000 9,079
MGM Resorts International 8.625% 2019 6,275 7,169
MGM Resorts International 6.75% 2020 2,900 3,152
MGM Resorts International 7.75% 2022 8,950 10,046
MGM Resorts International 6.00% 2023 31,775 32,947
Michaels Stores, Inc. 5.875% 20201 26,135 27,442
Modular Space Corp., Second Lien, 10.25% 20191 7,825 4,382
Mohegan Tribal Gaming Authority 11.00% 20181,5 5,195 5,208
NBC Universal Enterprise, Inc. 5.25% 20491 23,885 24,661
NCL Corp. Ltd. 5.25% 20191 10,262 10,570
NCL Corp. Ltd. 4.625% 20201 13,100 13,231
Needle Merger Sub Corp. 8.125% 20191 70,820 65,508
Neiman Marcus Group LTD Inc. 8.00% 20211 53,385 46,178
Neiman Marcus Group LTD Inc. 8.75% 20211,5 49,030 38,029
Neiman Marcus, Term Loan B, 4.25% 20202,3,4 67,792 62,274
Netflix, Inc. 5.50% 2022 5,000 5,260
Netflix, Inc. 5.75% 2024 6,650 7,049
Newell Rubbermaid Inc. 3.85% 2023 3,580 3,720
Newell Rubbermaid Inc. 4.20% 2026 5,060 5,303
Newell Rubbermaid Inc. 5.375% 2036 945 1,007
Newell Rubbermaid Inc. 5.50% 2046 6,950 7,553
PETCO Animal Supplies, Inc., Term Loan B-1, 5.75% 20232,3,4 16,050 16,035
PETsMART, Inc. 7.125% 20231 52,950 56,259
Playa Resorts Holding BV 8.00% 20201 80,493 79,889
American High-Income Trust — Page 3 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Consumer discretionary (continued)
Principal amount
(000)
Value
(000)
Playa Resorts Holding BV, Term Loan B, 4.00% 20192,3,4 $5,682 $5,596
Royal Caribbean Cruises Ltd. 5.25% 2022 4,000 4,240
Sally Holdings LLC and Sally Capital Inc. 5.75% 2022 7,250 7,631
Sally Holdings LLC and Sally Capital Inc. 5.625% 2025 27,000 28,890
Schaeffler Finance BV 4.25% 20211 2,100 2,147
Schaeffler Holding Finance BV 7.625% 20181,5 2,000 2,065
Schaeffler Holding Finance BV 6.25% 20191,5 4,000 4,200
Seminole Tribe of Florida 7.804% 20201,4 5,270 5,454
Sinclair Broadcast Group, Inc. 5.875% 20261 18,825 19,366
Sirius Minerals PLC 5.75% 20211 2,500 2,625
Sirius Minerals PLC 4.625% 20231 9,600 9,528
Sotheby’s Holdings, Inc. 5.25% 20221 14,025 12,623
Standard Pacific Corp. 8.375% 2021 9,640 11,255
Tempur Sealy International, Inc. 5.625% 20231 9,155 9,464
TI Automotive Ltd. 8.75% 20231 33,585 32,410
Tribune Media Co. 5.875% 20221 14,195 13,876
Univision Communications Inc. 8.50% 20211 31,263 32,005
Univision Communications Inc. 6.75% 20221 3,648 3,885
Univision Communications Inc. 5.125% 20231 14,590 14,590
Univision Communications Inc. 5.125% 20251 20,430 20,226
Univision Communications Inc., Term Loan C3, 4.00% 20202,3,4 3,493 3,463
Warner Music Group 13.75% 2019 11,818 12,542
Warner Music Group 6.00% 20211 10,000 10,275
Warner Music Group 5.625% 20221 24,550 24,980
Warner Music Group 6.75% 20221 34,900 34,725
Wynn Las Vegas, LLC and Wynn Capital Corp. 5.375% 2022 15,150 15,316
Wynn Las Vegas, LLC and Wynn Capital Corp. 4.25% 20231 12,625 11,662
Wynn Macau, Ltd. 5.25% 20211 60,100 56,945
ZF Friedrichshafen AG 4.00% 20201 3,385 3,440
ZF Friedrichshafen AG 4.50% 20221 23,175 23,725
ZF Friedrichshafen AG 4.75% 20251 31,515 31,476
    2,115,765
Telecommunication services 12.88%    
Altice Financing SA 6.625% 20231 18,460 18,598
Altice Finco SA 9.875% 20201 4,350 4,698
Altice Finco SA 6.50% 20221 2,325 2,377
Altice Finco SA 7.625% 20251 1,400 1,348
Altice Finco SA, First Lien, 7.75% 20221 18,950 18,743
Altice SA 7.625% 20251 3,825 3,672
CenturyLink, Inc. 7.50% 2024 30,950 31,066
CenturyLink, Inc. 5.625% 2025 7,100 6,346
Clearwire Communications and Clearwire Finance, Inc. 14.75% 20161 3,125 3,383
Columbus International Inc. 7.375% 20211 11,925 12,745
Digicel Group Ltd. 7.00% 20201 3,800 3,496
Digicel Group Ltd. 8.25% 20201 87,200 75,319
Digicel Group Ltd. 6.00% 20211 80,867 72,780
Digicel Group Ltd. 7.125% 20221 56,225 43,990
Frontier Communications Corp. 8.50% 2020 10,000 10,300
Frontier Communications Corp. 8.875% 20201 20,975 21,971
Frontier Communications Corp. 9.25% 2021 11,175 11,440
Frontier Communications Corp. 8.75% 2022 1,150 1,124
Frontier Communications Corp. 10.50% 20221 125,910 129,530
Frontier Communications Corp. 7.625% 2024 4,923 4,394
American High-Income Trust — Page 4 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Telecommunication services (continued)
Principal amount
(000)
Value
(000)
Frontier Communications Corp. 11.00% 20251 $106,483 $107,415
Inmarsat PLC 4.875% 20221 8,190 7,755
Intelsat Jackson Holding Co. 7.25% 2019 10,750 7,982
Intelsat Jackson Holding Co. 7.25% 2020 44,475 28,909
Intelsat Jackson Holding Co. 6.625% 2022 21,083 11,385
Intelsat Jackson Holding Co. 8.00% 20241 44,350 45,791
Level 3 Communications, Inc. 5.125% 2023 14,225 14,438
LightSquared, Term Loan, 9.75% 20202,3,4,5 218,126 195,223
MetroPCS Wireless, Inc. 6.25% 2021 64,260 67,781
MetroPCS Wireless, Inc. 6.625% 2023 70,985 75,067
Millicom International Cellular SA 6.625% 20211 21,960 22,289
Neptune Finco Corp. (Altice NV) 10.125% 20231 6,550 7,025
Neptune Finco Corp. (Altice NV) 6.625% 20251 5,250 5,689
Numericable Group SA 4.875% 20191 87,700 87,700
Numericable Group SA 6.00% 20221 7,965 7,806
Sable International Finance Ltd. 6.875% 20221 13,295 13,361
SBA Communications Corp. 5.625% 2019 1,675 1,755
SoftBank Corp. 4.50% 20201 91,685 93,175
Sprint Capital Corp. 6.90% 2019 31,750 27,623
Sprint Nextel Corp. 8.375% 2017 4,425 4,386
Sprint Nextel Corp. 9.00% 20181 24,050 25,313
Sprint Nextel Corp. 7.00% 2020 117,870 94,296
Sprint Nextel Corp. 7.25% 2021 87,795 67,492
Sprint Nextel Corp. 11.50% 2021 68,835 61,607
Sprint Nextel Corp. 7.875% 2023 49,100 37,684
Sprint Nextel Corp. 6.875% 2028 6,175 4,539
T-Mobile US, Inc. 6.542% 2020 16,000 16,600
T-Mobile US, Inc. 6.731% 2022 37,840 39,724
T-Mobile US, Inc. 6.375% 2025 13,425 13,794
T-Mobile US, Inc. 6.50% 2026 36,075 37,653
Trilogy International Partners, LLC 10.25% 20161 103,440 91,674
Wind Acquisition SA 4.75% 20201 73,475 69,801
Wind Acquisition SA 7.375% 20211 170,650 155,292
Windstream Holdings, Inc. 7.75% 2021 12,000 9,848
Zayo Group Holdings, Inc. 6.00% 2023 1,500 1,505
Zayo Group Holdings, Inc. 6.375% 2025 6,500 6,370
Zayo Group Holdings, Inc. 6.375% 20251 6,050 5,915
    2,048,982
Industrials 12.58%    
ABC Supply Co., Inc. 5.625% 20211 1,500 1,552
ADS Waste Escrow 8.25% 2020 6,050 6,201
ADT Corp. 3.50% 2022 23,125 20,119
AECOM Technology Corp. 5.875% 2024 8,382 8,717
AerCap Holdings NV 2.75% 2017 5,603 5,589
AerCap Holdings NV 3.75% 2019 1,375 1,372
AerCap Holdings NV 4.50% 2021 8,575 8,795
Air Canada 8.75% 20201 7,500 8,044
Air Canada 7.75% 20211 19,600 19,404
Aircastle Ltd. 5.00% 2023 14,825 14,936
American Builders & Contractors Supply Co. Inc. 5.75% 20231 19,350 20,172
ARAMARK Corp. 5.75% 2020 5,000 5,159
ARAMARK Corp. 5.125% 20241 11,625 12,279
Ashtead Capital Inc. 6.50% 20221 3,600 3,843
American High-Income Trust — Page 5 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Industrials (continued)
Principal amount
(000)
Value
(000)
Associated Materials, LLC and AMH New Finance, Inc. 9.125% 2017 $171,567 $130,391
Avianca Holdings SA, 8.375% 20201 5,825 4,602
Avis Budget Group, Inc. 6.375% 20241 11,575 11,633
Bombardier Inc. 5.50% 20181 5,870 5,430
Bombardier Inc. 7.50% 20181 2,080 2,059
Bombardier Inc. 4.75% 20191 5,680 4,956
Bombardier Inc. 7.75% 20201 5,050 4,368
Brunswick Rail Finance Ltd. 6.50% 2017 29,251 11,408
Brunswick Rail Finance Ltd. 6.50% 20171 9,651 3,764
Builders Firstsource 7.625% 20211 99,452 103,802
Builders Firstsource 10.75% 20231 1,500 1,519
CEVA Group PLC 7.00% 20211,6 1,400 1,123
CEVA Group PLC 9.00% 20211,6 14,675 9,832
CEVA Group PLC, Apollo Global Securities LLC LOC, 6.50% 20212,3,4,6 15,843 13,216
CEVA Group PLC, Term Loan, 6.50% 20212,3,4,6 16,373 13,658
CEVA Group PLC, Term Loan, 6.50% 20212,3,4,6 2,823 2,355
CEVA Group PLC, Term Loan B, 6.50% 20212,3,4,6 22,583 18,838
Constellis Holdings 9.75% 20201 8,300 7,262
Continental Airlines, Inc., Series 1998-1, Class B, 6.748% 20184 2,777 2,857
Continental Airlines, Inc., Series 1997-4B, Class B, 6.90% 20184 176 178
Continental Airlines, Inc., Series 1997-4, Class A, 6.90% 20194 715 731
Continental Airlines, Inc., Series 2000-2, Class B, 8.307% 20194 170 179
Continental Airlines, Inc., Series 1999-1, Class A, 6.545% 20204 2,053 2,196
Continental Airlines, Inc., Series 2001-1, Class A-1, 6.703% 20224 2,940 3,051
Continental Airlines, Inc., Series 2007-1, Class B, 6.903% 20224 2,922 3,041
Continental Airlines, Inc., Series 2000-2, Class A-1, 7.707% 20224 1,774 1,925
Continental Airlines, Inc., Series 2000-1, Class A-1, 8.048% 20224 176 193
Continental Airlines, Inc., Series 2000-1, Class B, 8.388% 20224 509 520
Corporate Risk Holdings LLC 9.50% 20191,6 137,693 117,727
Corporate Risk Holdings LLC 13.50% 20201,5,6,7 13,775 12,803
DAE Aviation Holdings, Inc. 10.00% 20231 108,975 104,616
Delta Air Lines, Inc., Series 2002-1, Class G-1, MBIA insured, 6.718% 20244 7,183 8,161
Eletson Holdings Inc. 9.625% 20221 8,800 6,908
Euramax International, Inc. 12.00% 20201 49,150 44,972
Gardner Denver, Inc. 6.875% 20211 14,650 12,050
Gardner Denver, Inc., Term Loan B, 4.25% 20202,3,4 10,271 9,321
Gates Global LLC 6.00% 20221 44,710 38,451
Gates Global LLC, Term Loan B, 4.25% 20212,3,4 3,403 3,218
General Electric Co. 5.00% (undated) 13,079 13,488
Hardwoods Acquisition Inc 7.50% 20211 35,330 24,201
Hawker Beechcraft Acquisition Co., LLC, Goldman Sachs Group, Inc. LOC, 0.102% 20162,3,4,7,8 608
HD Supply, Inc. 7.50% 2020 43,609 46,498
HD Supply, Inc. 11.50% 2020 43,341 48,298
HD Supply, Inc. 5.25% 20211 21,575 22,735
HD Supply, Inc. 5.75% 20241 28,125 28,969
HDTFS Inc. 6.75% 2019 10,000 10,170
HDTFS Inc. 5.875% 2020 21,225 21,703
HDTFS Inc. 6.25% 2022 1,000 1,005
Huntington Ingalls Industries Inc. 5.00% 20251 5,375 5,644
KLX Inc. 5.875% 20221 91,775 91,316
LMI Aerospace Inc. 7.375% 2019 46,170 43,631
Navios Maritime Acquisition Corp. and Navios Acquisition Finance (US) Inc. 8.125% 20211 58,895 39,312
Navios Maritime Holdings Inc. 7.375% 20221 34,900 12,738
Navios Maritime Holdings Inc. and Navios Maritime Finance II (US) Inc. 8.125% 2019 39,412 11,824
American High-Income Trust — Page 6 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Industrials (continued)
Principal amount
(000)
Value
(000)
Nielsen Finance LLC and Nielsen Finance Co. 4.50% 2020 $13,370 $13,721
Nielsen Finance LLC and Nielsen Finance Co. 5.50% 20211 13,850 14,473
Nielsen Finance LLC and Nielsen Finance Co. 5.00% 20221 13,500 13,905
Nortek Inc. 8.50% 2021 80,710 84,140
Ply Gem Industries, Inc. 6.50% 2022 69,095 69,009
Ply Gem Industries, Inc. 6.50% 2022 14,320 14,105
PrimeSource Building Products Inc 9.00% 20231 19,030 17,175
R.R. Donnelley & Sons Co. 7.25% 2018 28,850 30,365
R.R. Donnelley & Sons Co. 8.25% 2019 12,700 13,351
R.R. Donnelley & Sons Co. 7.625% 2020 17,214 17,429
R.R. Donnelley & Sons Co. 7.875% 2021 37,200 37,665
R.R. Donnelley & Sons Co. 7.00% 2022 15,250 14,182
R.R. Donnelley & Sons Co. 6.50% 2023 28,650 24,639
Sensata Technologies Holding NV 5.00% 20251 11,275 11,416
Silver II Borrower S.C.A./Silver II U.S. Holdings, LLC 7.75% 20201 96,053 76,362
Standard Aero Holdings, Inc., Term Loan B, 5.25% 20222,3,4 5,010 4,979
TRAC Intermodal 11.00% 2019 39,338 42,190
TransDigm Inc. 5.50% 2020 45,510 45,874
TransDigm Inc. 7.50% 2021 3,400 3,578
TransDigm Inc. 6.00% 2022 9,000 9,011
TransDigm Inc. 6.50% 2024 5,200 5,185
TransDigm Inc. 6.50% 2025 11,400 11,186
United Air Lines, 1991 Equipment Trust Certificates, Series A, 10.11% 20064,7,8 1,135
United Air Lines, Inc., Series 2007-1, Class B, 7.336% 20211,4 3,176 3,303
United Rentals, Inc. 7.375% 2020 11,625 12,170
United Rentals, Inc. 7.625% 2022 6,450 6,901
United Rentals, Inc. 4.625% 2023 8,300 8,279
United Rentals, Inc. 5.50% 2025 8,175 8,103
Univar Inc. 6.75% 20231 10,025 9,900
Virgin Australia Holdings Ltd. 8.50% 20191 63,475 62,920
Watco Companies 6.375% 20231 19,240 18,855
XPO Logistics, Inc. 7.875% 20191 4,650 4,836
XPO Logistics, Inc., Term Loan B, 5.50% 20212,3,4 10,997 11,059
    2,001,294
Energy 11.31%    
American Energy - Woodford LLC 12.00% 20201,5 22,106 4,388
American Energy (Marcellus), Term Loan B, 5.25% 20202,3,4 56,375 10,147
American Energy (Marcellus), Term Loan A, 8.50% 20212,3,4 92,023 4,141
American Energy (Permian Basin) 7.125% 20201 69,960 21,338
American Energy (Permian Basin) 7.375% 20211 26,925 8,347
Anadarko Petroleum Corp. 4.85% 2021 875 892
Anadarko Petroleum Corp. 5.55% 2026 4,615 4,675
Anadarko Petroleum Corp. 6.60% 2046 5,315 5,445
Antero Resources Corp. 5.375% 2021 4,750 4,382
Arch Coal, Inc. 7.00% 20198 15,150 104
Arch Coal, Inc. 7.25% 20218 2,450 20
Ascent Resources Utica, LLC, 17.50% 20192,3,4,5,7 2,300 523
Baytex Energy Corp. 5.125% 20211 6,450 4,580
Baytex Energy Corp. 5.625% 20241 2,050 1,389
Blue Racer Midstream LLC / Blue Racer Finance Corp. 6.125% 20221 71,520 59,898
Bonanza Creek Energy, Inc. 6.75% 2021 18,650 5,315
Chesapeake Energy Corp. 4.875% 2022 18,900 6,426
Chesapeake Energy Corp. 8.00% 20221 11,558 5,721
American High-Income Trust — Page 7 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Energy (continued)
Principal amount
(000)
Value
(000)
Concho Resources Inc. 5.50% 2023 $16,725 $16,474
CONSOL Energy Inc. 5.875% 2022 67,757 49,166
DCP Midstream Operating LP 4.95% 2022 18,025 15,883
Denbury Resources Inc. 4.625% 2023 79,110 33,622
Diamond Offshore Drilling, Inc. 4.875% 2043 14,960 9,912
Enbridge Energy Partners, LP 4.375% 2020 5,830 5,699
Enbridge Energy Partners, LP 5.875% 2025 6,035 6,099
Enbridge Energy Partners, LP 7.375% 2045 13,575 13,764
Energy Transfer Partners, LP 7.50% 2020 28,440 27,516
Energy Transfer Partners, LP 5.875% 2024 24,250 20,855
Energy Transfer Partners, LP 4.75% 2026 3,400 3,125
Energy Transfer Partners, LP 5.50% 2027 28,126 22,571
Ensco PLC 5.75% 2044 22,870 11,349
EP Energy Corp. 9.375% 2020 47,150 24,017
EP Energy Corp. 6.375% 2023 11,850 5,510
Exxon Mobil Corp. 4.114% 2046 6,700 7,125
Genesis Energy, LP 6.75% 2022 27,835 26,130
Halliburton Co. 5.00% 2045 8,775 8,625
Jupiter Resources Inc. 8.50% 20221 70,350 37,637
Kinder Morgan, Inc. 4.30% 2025 9,375 8,938
Laredo Petroleum, Inc. 5.625% 2022 4,825 4,053
Matador Resources Co. 6.875% 2023 3,075 2,944
MPLX LP 4.50% 20231 3,500 3,218
Murray Energy Corp., Term Loan B1, 7.00% 20172,3,4 5,741 3,919
Newfield Exploration Co. 5.75% 2022 5,425 5,323
Newfield Exploration Co. 5.625% 2024 3,300 3,110
NGL Energy Partners LP 5.125% 2019 16,050 9,790
NGL Energy Partners LP 6.875% 2021 52,480 31,226
NGPL PipeCo LLC 7.119% 20171 148,670 144,396
NGPL PipeCo LLC 9.625% 20191 96,930 95,476
NGPL PipeCo LLC 7.768% 20371 13,380 11,038
NGPL PipeCo LLC, Term Loan B, 6.75% 20172,3,4 23,623 22,855
Noble Corp PLC 5.00% 2018 375 348
Noble Corp PLC 5.95% 2025 18,435 12,001
Noble Corp PLC 6.95% 2045 20,290 11,406
Oasis Petroleum Inc. 6.50% 2021 8,250 6,146
Oasis Petroleum Inc. 6.875% 2022 15,750 11,734
Odebrecht Drilling Norbe VIII/IX Ltd 6.35% 20211,4 4,961 1,612
Odebrecht Offshore Drilling Finance Ltd. 6.75% 20221,4 10,786 2,481
Odebrecht Offshore Drilling Finance Ltd., First Lien, 6.625% 20231,4 14,786 3,401
ONEOK, Inc. 4.25% 2022 11,300 9,435
ONEOK, Inc. 7.50% 2023 9,475 9,262
PBF Energy Inc. 7.00% 20231 9,050 8,598
PDC Energy Inc. 7.75% 2022 112,100 112,380
Peabody Energy Corp. 6.00% 2018 196,441 14,488
Peabody Energy Corp. 6.50% 2020 5,500 419
Peabody Energy Corp. 6.25% 2021 50,065 3,692
Peabody Energy Corp. 10.00% 20221 5,000 400
Petrobras Global Finance Co. 2.238% 20162 3,199 3,196
Petrobras Global Finance Co. 3.00% 2019 14,415 12,390
Petrobras Global Finance Co. 6.25% 2024 3,715 2,980
Petrobras Global Finance Co. 6.85% 2115 11,500 7,960
Petrobras International Finance Co. 5.75% 2020 4,030 3,482
Petróleos Mexicanos 6.875% 20261 13,275 14,403
American High-Income Trust — Page 8 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Energy (continued)
Principal amount
(000)
Value
(000)
QGOG Atlantic/Alaskan Rigs Ltd. 5.25% 20191,4 $3,810 $2,876
QGOG Constellation SA 6.25% 20191 90,420 52,444
Range Resources Corp. 5.00% 2023 8,200 6,991
Range Resources Corp. 4.875% 20251 34,950 30,756
Regency Energy Partners LP and Regency Energy Finance Corp. 6.50% 2021 27,065 26,794
Regency Energy Partners LP and Regency Energy Finance Corp. 5.00% 2022 1,935 1,822
Regency Energy Partners LP and Regency Energy Finance Corp. 5.50% 2023 15,225 13,610
Rice Energy Inc. 6.25% 2022 54,650 47,819
Rice Energy Inc. 7.25% 2023 11,475 10,098
Sabine Pass Liquefaction, LLC 5.625% 2021 81,425 78,677
Sabine Pass Liquefaction, LLC 5.75% 2024 45,655 43,829
Sabine Pass Liquefaction, LLC 5.625% 2025 40,600 38,874
Sabine Pass LNG, LP 7.50% 2016 1,500 1,544
Sabine Pass LNG, LP 6.50% 2020 1,500 1,581
Samson Investment Co. 9.75% 2020 8,950 25
Samson Investment Co., Term Loan B, 5.00% 20182,3,4,8 2,800 28
Seven Generations Energy Ltd. 6.75% 20231 14,850 14,145
SM Energy Co. 5.625% 2025 45,950 32,151
Southwestern Energy Co. 4.10% 2022 32,205 21,577
Southwestern Energy Co. 4.95% 2025 14,945 10,312
Sunoco LP 5.50% 20201 8,900 8,889
Targa Resources Corp. 4.125% 2019 26,135 24,812
Targa Resources Partners LP 6.75% 20241 8,460 8,354
Teekay Corp. 8.50% 20201 56,075 38,972
Teekay Corp. 8.50% 2020 52,280 36,335
Tesoro Logistics LP 5.50% 20191 18,170 18,125
Tesoro Logistics LP 5.875% 2020 6,390 6,366
Tesoro Logistics LP 6.25% 20221 8,535 8,535
TransCanada PipeLines Ltd., junior subordinated 6.35% 2067 10,295 7,001
TransCanada PipeLines Ltd., junior subordinated 5.625% 2075 5,870 5,184
Transocean Inc. 3.00% 2017 6,625 6,327
Transocean Inc. 7.125% 2021 20,795 14,089
Weatherford International PLC 4.50% 2022 22,615 18,205
Weatherford International PLC 6.75% 2040 14,860 10,625
Whiting Petroleum Corp. 5.00% 2019 8,511 5,936
Williams Companies, Inc. 3.70% 2023 32,710 24,614
WPX Energy Inc. 7.50% 2020 16,050 12,639
YPF Sociedad Anónima 8.50% 20211 9,275 9,310
YPF Sociedad Anónima 8.50% 20251 7,150 7,007
    1,798,588
Financials 8.50%    
Ally Financial Inc. 8.00% 2020 8,825 9,906
Ally Financial Inc. 5.125% 2024 11,250 11,559
Ally Financial Inc. 5.75% 2025 9,925 9,751
Ally Financial Inc. 8.00% 2031 47,469 55,064
American Tower Corp. 7.25% 2019 3,019 3,449
Bank of America Corp. 3.75% 2016 19,750 19,896
Bank of America Corp., Series AA, 6.10% (undated) 17,820 17,575
Bank of America Corp., Series DD, 6.30% (undated) 26,285 27,202
Bank of America Corp. junior subordinated 6.25% noncumulative (undated) 7,425 7,286
Bank of America Corp., Series K, junior subordinated 8.00% noncumulative (undated) 4,575 4,484
Bank of America Corp., Series M, junior subordinated 8.125% noncumulative (undated) 11,550 11,391
Bank of Ireland 10.00% 2022 7,000 10,146
American High-Income Trust — Page 9 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Financials (continued)
Principal amount
(000)
Value
(000)
BNP Paribas, convertible bonds, 7.375% 20491 $28,250 $27,367
BNP Paribas, Contingent Convertible, 7.625% (undated)1 14,325 14,432
Catlin Insurance Ltd., junior subordinated 7.249% (undated)1 30,275 21,041
CIT Group Inc. 4.25% 2017 13,000 13,261
CIT Group Inc. 3.875% 2019 52,580 52,580
CIT Group Inc., Series C, 5.50% 20191 30,350 31,431
Citigroup Inc. 4.45% 2027 6,920 6,982
Citigroup Inc, Series O, 5.875% (undated) 17,141 16,584
Citigroup Inc., Series P, 5.95% (undated) 25,367 24,447
Citigroup Inc., Series Q, junior subordinated 5.95% (undated) 10,500 10,068
Citigroup Inc., Series R, junior subordinated 6.125% (undated) 11,725 11,769
Communications Sales & Leasing, Inc. 6.00% 20231 24,555 23,941
Communications Sales & Leasing, Inc. 8.25% 2023 25,563 23,838
Credit Agricole SA, convertible bonds, 6.625% 2049 21,750 20,514
Credit Agricole SA 8.375% (undated)1 12,875 14,262
Credit Agricole SA, Contingent Convertible, 8.125% (undated)1 6,925 6,980
Crescent Resources 10.25% 20171 108,419 107,741
Crown Castle International Corp. 4.875% 2022 7,650 8,206
Deutsche Bank AG, Contingent Convertible, 7.50% (undated) 13,600 11,679
Equinix, Inc. 5.875% 2026 8,650 9,130
General Motors Acceptance Corp. 7.50% 2020 8,900 9,890
Genworth Financial, Inc., junior subordinated 6.15% 2066 17,500 5,600
Goldman Sachs Group, Inc., Series M, junior subordinated 5.375% (undated) 9,175 8,923
Icahn Enterprises Finance Corp. 3.50% 2017 35,600 35,600
International Lease Finance Corp. 8.25% 2020 5,900 6,907
Iron Mountain Inc. 6.00% 20201 22,915 24,256
Iron Mountain Inc. 6.00% 2023 5,650 5,961
Iron Mountain Inc. 5.75% 2024 33,800 34,814
iStar Financial Inc. 4.00% 2017 30,600 30,065
iStar Financial Inc. 4.875% 2018 30,264 29,356
iStar Financial Inc. 5.00% 2019 30,420 29,355
iStar Financial Inc. 6.50% 2021 8,000 7,840
iStar Financial Inc., Series B, 9.00% 2017 37,965 39,626
JPMorgan Chase & Co., Series I, junior subordinated 7.90% (undated) 23,405 23,434
LeasePlan Corp NV 7.375% 20211 12,950 13,517
Liberty Mutual Group Inc., Series B, 7.00% 20671 11,185 9,871
Liberty Mutual Group Inc., Series A, 7.80% 20871 39,908 43,600
MetLife Capital Trust IV, junior subordinated 7.875% 20671 13,950 16,112
MetLife Capital Trust X, junior subordinated 9.25% 20681 12,500 16,984
Morgan Stanley 3.875% 2026 4,025 4,209
Morgan Stanley, Series J, 5.55% (undated) 1 1
MSCI Inc. 5.75% 20251 8,425 8,909
National Financial Partners Corp. 9.00% 20211 2,900 2,795
Newstar Financial Inc. 7.25% 2020 22,375 20,221
Nordea Bank AB, 5.50% (undated)1 6,125 5,966
Nordea Bank AB, 6.125% (undated)1 4,500 4,303
PNC Financial Services Group, Inc., Series O, junior subordinated 6.75% (undated) 9,830 10,763
QBE Capital Funding III LP 7.25% 20411 7,650 8,291
Rabobank Nederland NV, contingent convertible, 8.40% (undated) 2,300 2,432
Realogy Corp. 4.50% 20191 90,245 93,065
Realogy Corp. 5.25% 20211 23,250 24,122
Realogy Corp., Barclays PLC LOC, 4.40% 20162,3,4 3,740 3,686
Royal Bank of Scotland Group PLC, junior subordinated 6.99% (undated)1 15,376 16,837
Skandinaviska Enskilda, contingent convertible, 5.75% (undated) 2,100 2,042
American High-Income Trust — Page 10 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Financials (continued)
Principal amount
(000)
Value
(000)
Société Générale, Contigent Convertible, 6.00% (undated)1 $6,000 $5,298
Société Générale 8.00% 20491 3,700 3,608
Société Générale 8.25% 2049 10,050 10,163
Springleaf Finance Corp. 5.25% 2019 25,000 23,969
State Street Corp., junior subordinated, 5.25% 2049 12,850 13,076
Svenska Handelsbanken AB, convertible bonds, 5.25% 2049 2,100 2,022
UBS AG 7.125% (undated) 4,100 4,158
US Bancorp., junior subordinated 5.125% (undated) 12,610 12,925
Wells Fargo & Co., Series K, junior subordinated 7.98% (undated) 13,980 14,485
ZFS Finance (USA) Trust II, junior subordinated, 6.45% 20651 1,750 1,755
ZFS Finance (USA) Trust V, junior subordinated, 6.50% 20671 17,350 17,090
    1,351,864
Materials 8.02%    
Alcoa Inc. 5.72% 2019 2,000 2,088
Aleris International, Inc. 9.50% 20211 38,870 39,720
Algoma Steel Inc., Term Loan B, 8.75% 20192,3,4,8 14,850 2,525
ArcelorMittal 6.125% 2018 4,800 4,872
ArcelorMittal 10.85% 2019 17,825 19,875
ArcelorMittal 6.50% 2021 30,690 30,383
ArcelorMittal 6.125% 2025 9,200 8,556
ArcelorMittal 7.75% 2041 93,610 80,505
Ardagh Packaging Finance 6.25% 20191 14,050 13,971
Ardagh Packaging Finance 9.125% 20201 1,675 1,726
Ashland Inc. 4.75% 2022 6,075 6,197
Ball Corp. 4.375% 2020 16,775 17,425
Berry Plastics Corp. 5.125% 2023 13,900 14,108
BHP Billiton Finance Ltd. 6.25% 20751 8,240 8,322
BHP Billiton Finance Ltd. 6.75% 20751 6,300 6,308
Blue Cube Spinco Inc. (Olin Corp.) 9.75% 20231 5,775 6,627
Blue Cube Spinco Inc. (Olin Corp.) 10.00% 20251 4,270 4,900
CEMEX Finance LLC 7.25% 20211 3,075 3,206
CEMEX Finance LLC 9.375% 20221 7,500 8,334
CEMEX SAB de CV 6.50% 20191 5,050 5,208
CEMEX SAB de CV 7.75% 20261 18,450 19,000
Chemours Co. 6.625% 20231 44,533 36,517
Chemours Co. 7.00% 20251 38,515 31,053
First Quantum Minerals Ltd. 6.75% 20201 130,665 90,159
First Quantum Minerals Ltd. 7.00% 20211 93,032 62,797
First Quantum Minerals Ltd. 7.25% 20221 16,075 10,851
FMG Resources 4.25% 20192,3,4 15,225 12,903
FMG Resources 9.75% 20221 134,800 135,137
Freeport-McMoRan Copper & Gold Inc. 3.55% 2022 32,020 22,494
Freeport-McMoRan Inc. 6.50% 2020 16,550 13,323
Georgia Gulf Corp. 4.625% 2021 10,757 10,449
Georgia Gulf Corp. 4.875% 2023 6,300 6,178
Graphic Packaging International, Inc. 4.75% 2021 10,390 10,832
Huntsman International LLC 4.875% 2020 19,515 19,417
JMC Steel Group Inc. 8.25% 20181 99,945 89,950
LSB Industries, Inc. 7.75% 2019 12,230 11,282
Owens-Illinois, Inc. 5.00% 20221 3,920 4,023
Owens-Illinois, Inc. 5.875% 20231 17,735 18,511
Owens-Illinois, Inc. 5.375% 20251 2,940 2,951
Owens-Illinois, Inc. 6.375% 20251 10,190 10,731
American High-Income Trust — Page 11 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Materials (continued)
Principal amount
(000)
Value
(000)
Paperworks Industries Inc. 9.50% 20191 $9,946 $8,802
Platform Specialty Products Corp. 10.375% 20211 22,625 21,946
Platform Specialty Products Corp. 6.50% 20221 2,005 1,702
Platform Specialty Products Corp., Term Loan B-1, 5.50% 20202,3,4 11,659 11,306
Rayonier Advanced Materials Inc. 5.50% 20241 53,267 43,945
Reynolds Group Holdings, Ltd. 6.00% 20171 9,250 9,210
Reynolds Group Inc. 9.875% 2019 11,650 12,065
Reynolds Group Inc. 5.75% 2020 110,655 113,836
Reynolds Group Inc. 8.25% 2021 1,700 1,746
Ryerson Inc. 9.00% 2017 48,305 42,025
Ryerson Inc. 11.25% 2018 39,196 26,457
Sealed Air Corp. 4.875% 20221 3,250 3,392
Smurfit Capital Funding PLC 7.50% 2025 9,965 11,136
Standard Industries Inc. 5.125% 20211 3,425 3,523
Standard Industries Inc. 5.50% 20231 8,950 9,174
Summit Materials, Inc. 6.125% 2023 23,200 22,156
Tembec Industries Inc. 9.00% 20191 9,835 6,835
U.S. Coatings Acquisition Inc. (Flash Dutch 2 BV) 7.375% 20211 12,355 13,127
Walter Energy, Inc. 9.50% 20191,8 77,390 10,061
    1,275,858
Information technology 3.85%    
Alcatel-Lucent USA Inc. 6.45% 2029 16,200 17,253
Avago Technologies Ltd., Term Loan B, 4.25% 20222,3,4 21,325 21,247
CommScope Holding Co., Inc. 4.375% 20201 1,500 1,545
CommScope Holding Co., Inc. 5.00% 20211 13,050 13,197
CommScope Inc. 6.00% 20251 1,750 1,785
Compucom Systems Inc., 7.00% 20211 12,825 5,451
First Data Corp. 6.75% 20201 5,079 5,353
First Data Corp. 5.375% 20231 23,375 24,047
First Data Corp. 7.00% 20231 110,625 112,146
First Data Corp. 5.00% 20241 34,425 34,597
First Data Corp. 5.75% 20241 11,200 11,241
Freescale Semiconductor, Inc. 5.00% 20211 31,250 32,500
Freescale Semiconductor, Inc. 6.00% 20221 43,330 46,038
Hughes Satellite Systems Corp. 7.625% 2021 9,850 11,020
Infor (US), Inc. 6.50% 2022 13,600 12,444
Infor Inc. 5.75% 20201 22,750 23,489
Infor Software 7.125% 20211,5 3,500 2,634
Informatica Corp. 7.125% 20231 7,600 7,372
Microsemi Corp., 9.125% 20231 4,175 4,603
Microsemi Corp., Term Loan B-1-L, 5.25% 20232,3,4 9,728 9,785
Microsoft Corp. 4.45% 2045 7,350 8,146
Nuance Communications, Inc. 5.375% 20201 13,575 13,838
NXP BV and NXP Funding LLC 4.125% 20201 7,000 7,087
ON Semiconductor Corp. 5.25% 20232,3,4 12,825 12,870
Qorvo, Inc. 7.00% 20251 30,950 32,497
Serena Software, Inc., Term Loan B, 7.50% 20202,3,4 49,075 49,014
Solera Holdings, Inc. 10.50% 20241 11,250 11,334
Solera Holdings, Inc., Term Loan B, 5.75% 20232,3,4 19,600 19,602
VeriSign, Inc. 4.625% 2023 2,600 2,639
Western Digital Corp. 7.375% 20231 33,650 34,407
American High-Income Trust — Page 12 of 18

unaudited
Bonds, notes & other debt instruments
Corporate bonds & notes (continued)
Information technology (continued)
Principal amount
(000)
Value
(000)
Western Digital Corp. 10.50% 20241 $8,500 $8,527
Western Digital Corp., Term Loan B, 6.25% 20232,3,4 15,325 15,162
    612,870
Utilities 2.51%    
AES Corp. 8.00% 2017 250 269
AES Corp. 8.00% 2020 21,175 24,140
AES Corp. 7.375% 2021 35,925 40,416
AES Corp. 4.875% 2023 11,100 10,739
AES Corp. 5.50% 2024 19,825 19,478
AES Corp. 5.50% 2025 20,525 19,909
Calpine Corp. 6.00% 20221 10,000 10,581
Calpine Corp. 5.375% 2023 33,540 32,681
Calpine Corp. 7.875% 20231 3,666 3,904
Calpine Corp. 5.50% 2024 4,605 4,444
Calpine Corp. 5.875% 20241 22,450 23,685
Dominion Resources, Inc. 4.104% 2021 9,630 9,863
Dynegy Finance Inc. 6.75% 2019 19,680 19,680
Dynegy Finance Inc. 7.375% 2022 42,565 39,585
Dynegy Finance Inc. 7.625% 2024 40,680 37,120
Enel Società per Azioni 8.75% 20731 26,812 29,962
NRG Energy, Inc. 6.25% 2022 36,415 34,037
NRG Energy, Inc. 6.625% 2023 9,000 8,440
Public Service Electric and Gas Co., 3.80% 2046 3,880 3,967
Texas Competitive Electric Holdings, Term Loan Strip, 3.75% 20162,3,4 11,287 11,266
TXU, Term Loan, 3.737% 20142,3,4,8 5,802 1,659
TXU, Term Loan, 4.65% 20172,3,4,8 44,582 12,725
    398,550
Consumer staples 0.68%    
Albertson’s Holdings 7.75% 20221 2,350 2,553
Central Garden & Pet Co. 6.125% 2023 1,300 1,358
Constellation Brands, Inc. 3.875% 2019 1,250 1,316
Constellation Brands, Inc. 6.00% 2022 8,225 9,294
Constellation Brands, Inc. 4.25% 2023 3,000 3,082
Constellation Brands, Inc. 4.75% 2025 625 650
Energizer SpinCo Inc. 5.50% 20251 4,375 4,407
H.J Heinz Co. 4.875% 20251 5,233 5,772
Ingles Markets, Inc. 5.75% 2023 5,550 5,661
Kronos Acquisition Holdings Inc. 9.00% 20231 3,000 2,760
Pinnacle Foods Inc. 5.875% 20241 2,575 2,697
Post Holdings, Inc. 6.75% 20211 7,350 7,763
Post Holdings, Inc. 6.00% 20221 1,500 1,551
Post Holdings, Inc. 7.75% 20241 6,475 7,139
Post Holdings, Inc. 8.00% 20251 8,400 9,429
Reynolds American Inc. 5.85% 2045 11,620 14,178
Spectrum Brands Inc. 6.625% 2022 1,400 1,521
SUPERVALU Inc. 6.75% 2021 3,350 2,873
Tops Holding Corp. and Tops Markets, LLC 8.00% 20221 15,400 14,322
TreeHouse Foods, Inc. 6.00% 20241 8,900 9,478
    107,804
Total corporate bonds & notes   13,827,401
American High-Income Trust — Page 13 of 18

unaudited
Bonds, notes & other debt instruments
U.S. Treasury bonds & notes 0.42%
U.S. Treasury 0.42%
Principal amount
(000)
Value
(000)
U.S. Treasury 6.25% 20239 $50,000 $66,396
Total U.S. Treasury bonds & notes   66,396
Asset-backed obligations 0.29%    
AmeriCredit Automobile Receivables Trust, Series 2016-1, Class C, 2.89% 20224 3,725 3,763
Babson CLO Ltd., Series 2012-2-A, Class A-1-R, CLO, 1.858% 20231,2,4 8,165 8,144
Dryden Senior Loan Fund, Series 2012-23-RA, Class A-1-R, CLO, 1.872% 20231,2,4 2,875 2,865
Madison Park Funding Ltd., CLO, Series 2012-8-A, Class A-R, 1.87% 20221,2,4 11,489 11,460
Madison Park Funding Ltd., CLO, Series 2012-9-A, Class A-R, 1.91% 20221,2,4 10,040 10,025
Magnetite CLO Ltd. Series 2012-6-A, Class A-R, 1.884% 20231,2,4 6,110 6,100
Magnetite CLO Ltd., Series 2014-9-A, Class A-1, 2.036% 20261,2,4 1,586 1,577
Marine Park CLO Ltd., Series 2012-1-A, Class A1-AR, CLO, 1.898% 20231,2,4 2,900 2,893
    46,827
Bonds & notes of governments outside the U.S. 0.07%    
South Africa (Republic of), Series R-2023, 7.75% 2023 ZAR165,125 10,500
Municipals 0.03%    
Territory of Puerto Rico, Aqueduct and Sewer Auth., Rev. Ref. Bonds, Series 2012-A, 5.25% 2042 $7,480 4,876
Total bonds, notes & other debt instruments (cost: $15,339,288,000)   13,956,000
Convertible bonds 0.91%
Financials 0.52%
   
Banco Bilbao Vizcaya Argentaria, SA, convertible notes, 9.00% 2049 20,200 20,831
Banco Bilbao Vizcaya Argentaria, SA, contingent convertible, 6.75% (undated) 12,000 12,544
Lloyds Banking Group PLC, convertible notes, 7.50% 2049 $50,009 49,629
    83,004
Information technology 0.16%    
Liberty Media Corp., convertible notes, 3.50% 2031 48,500 25,933
Energy 0.02%    
American Energy (Permian Basin), convertible notes, 8.00% 20221,5,7 18,200 2,366
Ascent Resources Utica, LLC, convertible notes, 3.50% 20211,5,7 43,007 1,290
    3,656
Miscellaneous 0.21%    
Other convertible bonds in initial period of acquisition   32,553
Total convertible bonds (cost: $150,824,000)   145,146
Convertible stocks 1.02%
Financials 0.29%
Shares  
  278,000 28,836
Weyerhaeuser Co., Series A, 6.375% convertible preferred 327,000 16,716
    45,552
American High-Income Trust — Page 14 of 18

unaudited
Convertible stocks
Industrials 0.23%
Shares Value
(000)
CEVA Group PLC, Series A-1, 3.628% convertible preferred6,7,10 47,121 $27,095
CEVA Group PLC, Series A-2, 2.628% convertible preferred6,7,10 21,062 8,951
    36,046
Energy 0.18%    
Southwestern Energy Co., Series B, 6.25% convertible preferred 2018 1,113,450 21,835
Chesapeake Energy Corporation 5.75% convertible preferred1 33,000 5,775
Chesapeake Energy Corporation 5.75% convertible preferred 9,000 1,575
    29,185
Utilities 0.16%    
Exelon Corp., convertible preferred, units 525,100 25,851
Miscellaneous 0.16%    
Other convertible stocks in initial period of acquisition   24,595
Total convertible stocks (cost: $260,817,000)   161,229
Preferred securities 0.16%
Financials 0.16%
   
Swire Pacific Ltd. 8.84% cumulative guaranteed perpetual capital securities1 365,000 9,741
Morgan Stanley, Series I, depositary shares 334,237 8,713
Goldman Sachs Group, Inc., Series J, 5.50% depositary shares 300,000 7,500
Total preferred securities (cost: $25,520,000)   25,954
Common stocks 1.47%
Telecommunication services 0.66%
   
NII Holdings, Inc., Class B6,11 19,093,389 105,586
Consumer discretionary 0.19%    
Cooper-Standard Holdings Inc.1,7,11 448,132 30,584
Adelphia Recovery Trust, Series Arahova7,11 1,773,964 35
Adelphia Recovery Trust, Series ACC-17,11 10,643,283 25
Five Star Travel Corp.1,7,11 83,780 2
    30,646
Industrials 0.16%    
CEVA Group PLC1,6,7,11 59,168 25,146
Quad/Graphics, Inc., Class A 9,252 120
Atrium Corp.1,7,11 10,987 11
    25,277
Information technology 0.15%    
Corporate Risk Holdings I, Inc.6,7,11 2,380,355 23,256
Corporate Risk Holdings Corp.6,7,11 12,035
    23,256
American High-Income Trust — Page 15 of 18

unaudited
Common stocks
Financials 0.13%
Shares Value
(000)
Outfront Media Inc. 660,645 $13,940
American Tower Corp. 57,087 5,844
EME Reorganization Trust 41,998,595 88
    19,872
Health care 0.09%    
Rotech Healthcare Inc.6,7,11 1,916,276 14,391
Materials 0.05%    
Warrior Met Coal, LLC, Class B1,7,11 97,899 7,832
Verso Corp.11 62,170 2
    7,834
Energy 0.00%    
Gener8 Maritime, Inc.11 12,599 89
Petroplus Holdings AG7,11 3,360,000
    89
Miscellaneous 0.04%    
Other common stocks in initial period of acquisition   6,655
Total common stocks (cost: $526,631,000)   233,606
Rights & warrants 0.02%
Consumer discretionary 0.02%
   
Cooper-Standard Holdings Inc., warrants, expire 20171,7,11 48,411 2,116
Liberman Broadcasting, Inc., warrants, expire 20227,10,11 10
    2,116
Energy 0.00%    
Gener8 Maritime, Inc., warrants, expire 20171,7,11 19,483
Total rights & warrants (cost: $5,447,000)   2,116
Short-term securities 9.01% Principal amount
(000)
 
Army and Air Force Exchange Service 0.37% due 4/1/20161 $27,617 27,617
Caterpillar Financial Services Corp. 0.43%–0.51% due 5/19/2016–6/15/2016 96,800 96,727
Chevron Corp. 0.47% due 5/10/2016–5/11/20161 123,500 123,448
Coca-Cola Co. 0.40%–0.51% due 4/25/2016–7/12/20161 218,100 217,927
Federal Home Loan Bank 0.30%–0.60% due 4/22/2016–8/29/2016 627,400 627,155
Freddie Mac 0.46% due 4/13/2016 50,000 49,997
GE Capital Treasury Services (U.S.) LLC 0.30% due 4/1/2016 40,000 40,000
Paccar Financial Corp. 0.39% due 4/22/2016 60,000 59,986
Pfizer Inc 0.48% due 6/22/20161 55,900 55,845
Qualcomm Inc. 0.45% due 4/20/20161 26,200 26,195
U.S. Bank, N.A. 0.52% due 6/20/2016 22,400 22,406
United Parcel Service Inc. 0.49% due 7/1/20161 10,900 10,887
American High-Income Trust — Page 16 of 18

unaudited
Short-term securities Principal amount
(000)
Value
(000)
USAA Capital Corp. 0.36% due 4/5/2016 $30,000 $29,999
Wal-Mart Stores, Inc. 0.36% due 4/28/20161 45,000 44,988
Total short-term securities (cost: $1,432,977,000)   1,433,177
Total investment securities 100.34% (cost: $17,741,504,000)   15,957,228
Other assets less liabilities (0.34)%   (53,760)
Net assets 100.00%   $15,903,468
As permitted by U.S. Securities and Exchange Commission regulations, “Miscellaneous” securities include holdings in their first year of acquisition that have not previously been publicly disclosed.
Forward currency contracts

The fund has entered into forward currency contracts as shown in the following table. The average month-end notional amount of open forward currency contracts while held was $53,273,000.
  Settlement
date
Counterparty Contract amount Unrealized
depreciation
at 3/31/2016
(000)
Receive
(000)
Deliver
(000)
Sales:          
Euros 4/13/2016 HSBC Bank $9,105 €8,300 $(343)
South African rand 4/18/2016 Bank of America, N.A. $9,211 ZAR142,000 (373)
          $(716)
Interest rate swaps

The fund has entered into interest rate swaps as shown in the following table. The average month-end notional amount of interest rate swaps while held was $256,784,000.
Pay/receive
fixed rate
Clearinghouse Floating rate index Fixed
rate
Expiration
date
Notional
(000)
Unrealized
depreciation
at 3/31/2016
(000)
Pay LCH 3-month USD-LIBOR 1.2215% 5/8/2018 $30,000 $(228)
Pay LCH 3-month USD-LIBOR 2.197 7/22/2021 20,000 (1,025)
Pay CME 28-day MXN-TIIE 6.39 9/12/2025 MXN478,000 (840)
Pay CME 28-day MXN-TIIE 6.52 9/12/2025 478,000 (1,121)
Pay CME 28-day MXN-TIIE 6.5 9/12/2025 992,000 (2,236)
Pay CME 28-day MXN-TIIE 6.435 9/15/2025 774,000 (1,515)
Pay CME 28-day MXN-TIIE 6.485 9/16/2025 270,000 (589)
Pay CME 28-day MXN-TIIE 6.495 9/17/2025 458,000 (1,020)
Pay LCH 3-month USD-LIBOR 2.883 6/22/2045 $4,000 (693)
Pay LCH 3-month USD-LIBOR 2.2625 2/2/2046 20,000 (576)
            $(9,843)
American High-Income Trust — Page 17 of 18

unaudited
Credit default swaps

The fund has entered into credit default swaps as shown in the following table. The average month-end notional amount of credit default swaps while held was $91,675,000.
Centrally cleared credit default swaps on credit indices — sell protection
Referenced index Clearinghouse Receive
fixed rate
Expiration
date
Notional
(000)
Value
(000)
Upfront
premiums
received
(paid)
(000)
Unrealized
(depreciation)
appreciation
at 3/31/2016
(000)
CDX North American High Yield Index Series 21 ICE 5.00% 12/20/2018 $17,280 $997 $1,036 $(39)
CDX North American High Yield Index Series 22 ICE 5.00 6/20/2019 27,840 1,707 2,168 (461)
CDX North American High Yield Index Series 25 ICE 5.00 12/20/2020 137,000 3,973 (1,159) 5,132
              $4,632
    
1 Acquired in a transaction exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $7,576,091,000, which represented 47.64% of the net assets of the fund.
2 Coupon rate may change periodically.
3 Loan participations and assignments; may be subject to legal or contractual restrictions on resale. The total value of all such loans was $868,598,000, which represented 5.46% of the net assets of the fund.
4 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
5 Payment in kind; the issuer has the option of paying additional securities in lieu of cash.
6 Represents an affiliated company as defined under the Investment Company Act of 1940.
7 Valued under fair value procedures adopted by authority of the board of trustees. The total value of all such securities, including those in “Miscellaneous,“ was $255,886,000, which represented 1.61% of the net assets of the fund.
8 Scheduled interest and/or principal payment was not received.
9 A portion of this security was pledged as collateral. The total value of pledged collateral was $23,753,000, which represented .15% of the net assets of the fund.
10 Acquired through a private placement transaction exempt from registration under the Securities Act of 1933. May be subject to legal or contractual restrictions on resale. Further details on these holdings appear below.
11 Security did not produce income during the last 12 months.
    
Private placement securities Acquisition
date(s)
Cost
(000)
Value
(000)
Percent
of net
assets
CEVA Group PLC, Series A-1, 3.628% convertible preferred 5/2/2013-8/22/2014 $47,776 $27,095 .17%
CEVA Group PLC, Series A-2, 2.628% convertible preferred 5/2/2013 20,349 8,951 .06
Liberman Broadcasting, Inc., warrants, expire 2022 12/13/2012-11/26/2014 .00
Total private placement securities   $68,125 $36,046 .23 %
    
Key to abbreviations and symbol
Auth. = Authority
CLO = Collateralized Loan Obligations
CME = CME Group Inc.
ICE = Intercontinental Exchange, Inc.
LCH = LCH.Clearnet
LOC = Letter of Credit
Ref. = Refunding
Rev. = Revenue
TIIE = Equilibrium Interbank Interest Rate
€ = Euros
MXN = Mexican pesos
ZAR = South African rand
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary prospectus, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the American Funds website at americanfunds.com.
MFGEFPX-021-0516O-S49205 American High-Income Trust — Page 18 of 18

 

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) Not applicable for filing of semi-annual reports to shareholders.
   
(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 HIGH-INCOME TRUST
   
  By /s/ David C. Barclay
 

David C. Barclay, President and

Principal Executive Officer

   
  Date: May 31, 2016

 

 

 

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

 

 

By /s/ David C. Barclay

David C. Barclay, President and

Principal Executive Officer

 
Date: May 31, 2016

 

 

 

By /s/ Brian C. Janssen

Brian C. Janssen, Treasurer and

Principal Financial Officer

 
Date: May 31, 2016

EX-99.CERT 2 ahit_cert302.htm CERT302

 

 

 

 

 

American High-Income Trust

333 South Hope Street,

Los Angeles, California 90071

(213) 486-9200

 

CERTIFICATION

I, David C. Barclay, certify that:

 

1. I have reviewed this report on Form N-CSR of American High-Income Trust;
   
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: May 31, 2016

 

/s/ David C. Barclay

David C. Barclay, President and

Principal Executive Officer

American High-Income Trust

 
 

 


 

 

 

 

American High-Income Trust

333 South Hope Street,

Los Angeles, California 90071

(213) 486-9200

 

CERTIFICATION

I, Brian C. Janssen, certify that:

 

1. I have reviewed this report on Form N-CSR of American High-Income Trust;
   
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: May 31, 2016

 

/s/ Brian C. Janssen

Brian C. Janssen, Treasurer and

Principal Financial Officer

American High-Income Trust

EX-99.906 CERT 3 ahit_cert906.htm CERT906

 

 

 

 

 

American High-Income Trust

333 South Hope Street,

Los Angeles, California 90071

(213) 486-9200

 

 

 

 

 

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

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

 

DAVID C. BARCLAY, President and Principal Executive Officer, and BRIAN C. JANSSEN, Treasurer and Principal Financial Officer of American High-Income Trust (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 March 31, 2016 (the "Form N-CSR") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
   
2) The information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

 

Principal Executive Officer Principal Financial Officer
   
AMERICAN HIGH-INCOME TRUST AMERICAN HIGH-INCOME TRUST
   
   
/s/ David C. Barclay /s/ Brian C. Janssen
David C. Barclay, President Brian C. Janssen, Treasurer
   
Date: May 31, 2016 Date: May 31, 2016

 

 

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