0000051931-23-001252.txt : 20231130 0000051931-23-001252.hdr.sgml : 20231130 20231130113429 ACCESSION NUMBER: 0000051931-23-001252 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231130 DATE AS OF CHANGE: 20231130 EFFECTIVENESS DATE: 20231130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SMALLCAP WORLD FUND INC CENTRAL INDEX KEY: 0000858744 IRS NUMBER: 954253845 FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-05888 FILM NUMBER: 231454598 BUSINESS ADDRESS: STREET 1: 6455 IRVINE CENTER DRIVE CITY: IRVINE STATE: CA ZIP: 92618 BUSINESS PHONE: 213-486-9501 MAIL ADDRESS: STREET 1: 333 S HOPE ST - 55TH FLOOR CITY: LOS ANGELES STATE: CA ZIP: 90071 FORMER COMPANY: FORMER CONFORMED NAME: SMALLCAP FUND INC DATE OF NAME CHANGE: 19900205 0000858744 S000009599 SMALLCAP WORLD FUND INC C000026249 Class A SMCWX C000026250 Class R-1 RSLAX C000026251 Class R-2 RSLBX C000026252 Class R-3 RSLCX C000026253 Class R-4 RSLEX C000026254 Class R-5 RSLFX C000026256 Class C SCWCX C000026257 Class F-1 SCWFX C000026258 Class 529-A CSPAX C000026260 Class 529-C CSPCX C000026261 Class 529-E CSPEX C000026262 Class 529-F-1 CSPFX C000068590 Class F-2 SMCFX C000077882 Class R-6 RLLGX C000148446 Class R-2E RSEBX C000164808 Class R-5E RSLDX C000180011 Class F-3 SFCWX C000189498 Class 529-T TWSFX C000189499 Class T TSFFX C000224599 Class 529-F-2 FSWFX C000224600 Class 529-F-3 FSFWX N-CSR 1 scwf_ncsr.htm N-CSR

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

Certified Shareholder Report of

Registered Management Investment Companies

 

Investment Company Act File Number: 811-05888

 

SMALLCAP World Fund, Inc.

(Exact Name of Registrant as Specified in Charter)

 

6455 Irvine Center Drive

Irvine, California 92618

(Address of Principal Executive Offices)

 

Registrant's telephone number, including area code: (949) 975-5000

 

Date of fiscal year end: September 30

 

Date of reporting period: September 30, 2023

 

Hong T. Le

SMALLCAP World Fund, Inc.

6455 Irvine Center Drive

Irvine, California 92618

(Name and Address of Agent for Service)

 
 

  

ITEM 1 – Reports to Stockholders

 

 

SMALLCAP World Fund®
 
Annual report
for the year ended
September 30, 2023

 

 

We believe small
companies around
the world can provide
opportunities for
investors


 

 

SMALLCAP World Fund seeks to provide you with long-term growth of capital.

 

This fund is one of more than 40 offered by Capital Group, home of American Funds, one of the nation’s largest mutual fund families. For over 90 years, Capital Group 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 F-2 shares. Class A share results are shown at net asset value unless otherwise indicated. If a sales charge (maximum 5.75%) had been deducted from Class A shares, 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. Prices and returns will vary, so investors may lose money. Investing for short periods makes losses more likely. For current information and month-end results, refer to capitalgroup.com.

 

Refer to page 4 for Class F-2 and Class A share results with relevant sales charges deducted and fund expenses. For other share class results, refer to capitalgroup.com and americanfundsretirement.com.

 

Investment results assume all distributions are reinvested and reflect applicable fees and expenses. When applicable, results reflect fee waivers and/or expense reimbursements, without which they would have been lower. Refer to capitalgroup.com for more information.

 

Investing outside the United States may be subject to risks, such as currency fluctuations and political instability. These risks may be heightened in connection with investments in developing countries. Investing in small-capitalization stocks can involve greater risk than is customarily associated with investing in stocks of larger, more established companies. 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.

 

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

 

Contents

 

1 Letter to investors
   
4 The value of a long-term perspective
   
6 Investment portfolio
   
28 Financial statements
   
53 Board of directors and other officers

 

Fellow investors:

 

In a period characterized by market volatility and geopolitical turmoil, SMALLCAP World Fund generated a return of 13.64% (F-2 shares) for the fund’s fiscal year ended September 30, 2023. Over the same 12-month period, the fund’s primary benchmark index, the MSCI All Country World Small Cap Index — an unmanaged measure of small capitalization companies from around the world — climbed 15.24%.

 

Over the last 12 months, the U.S. Federal Reserve maintained its hawkish stance — unrelenting in its goal to tame inflation. Thus far the U.S. economy has proved resilient in the face of higher interest rates, though we caution that much can change over the next 6–12 months. We believe the fund is well-positioned to weather any forthcoming volatility.

 

Although the fund modestly lagged its benchmark for the 12-month period ended September 30, 2023, it recorded positive relative returns over the five-year, ten-year and lifetime periods. As always, our focus remains on delivering long-term growth of capital to fund investors by finding compelling opportunities among some of the fastest growing and most innovative companies in the world.

 

The year in review

In our many decades of fund management, we have refined our playbook for how to position the portfolio during both up- and down-market cycles. Times of market uncertainty are nothing new for this fund, or its portfolio managers. We have weathered periods of significant market distress, such as the dot-com bubble, global financial crisis, Brexit and most recently the Russia-Ukraine war. Throughout these tumultuous times, our focus has always been on finding differentiated companies that offer long-term capital appreciation.

 

Results at a glance

 

For periods ended September 30, 2023, with all distributions reinvested

 

   Cumulative
total returns
  Average annual total returns
   1 year  5 years  10 years  Lifetime1
             
SMALLCAP World Fund (Class F-2 shares2)   13.64%   4.36%   7.17%   9.29%
SMALLCAP World Fund (Class A shares)   13.31    4.08    6.89    9.02 
MSCI All Country World Small Cap Index3    15.24    3.53    6.16    7.65 

 

1 Lifetime returns are as of April 30, 1990, the inception date of Class A shares.
2 Class F-2 shares were first offered on August 1, 2008. Class F-2 share results prior to the date of first sale are hypothetical based on the results of the original share class of the fund without a sales charge, adjusted for typical estimated expenses. Visit capitalgroup.com for more information on specific expense adjustments and the actual dates of first sale.
3 The MSCI All Country World Small Cap Index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Results reflect dividends net of withholding taxes. Because the index was not in existence when the fund’s Class A shares were first sold, cumulative returns through May 31, 1994, reflect the returns of the S&P Developed <$1.2 Billion Index. MSCI source: MSCI. S&P source: S&P Dow Jones Indices LLC.

 

Past results are not predictive of results in future periods.

 

SMALLCAP World Fund 1
 

Our investment professionals have pressure-tested their investment theses to focus on the highest conviction holdings. We are confident that we are in a strong position as a result of this exercise and our deep fundamental research capabilities, our discipline and our rigorous investment process.

 

This year, the U.S. Federal Reserve continued its battle against inflation — raising interest rates seven times since September 2022. We are seeing early signs of inflation cooling off — with the year-on-year consumer price index (CPI) dropping from 9% last year to 3% as of August 2023. To date, the U.S. consumer has proven largely immune to higher real interest rates thanks to a healthy labor market and pent-up demand for goods and services post-COVID.

 

That said, cracks are beginning to emerge as the economy works its way through the remnants of COVID-era financial stimulus. While wage growth has been strong and enduring labor markets offered a supportive backdrop for the economy, we expect this will increasingly impact profit margins for companies. For example, there are signs that some segments of the consumer are seeing the cumulative impacts of inflation, along with using up accumulated savings from stimulus during COVID — dollar stores are examples of this.

 

In March 2023, the U.S. passed a small banking crisis relatively quickly, and we are seeing stabilization after significant government intervention. While the fund did not have a large exposure to regional banks, there was unfortunately some impact — for example our holding of Silicon Valley Bank (SVB). Fortunately, this holding was significantly smaller than prior years as we had reduced this holding before the crisis set in. Our investment analysts are doing deep work on the sector to find potential opportunities over the next few years.

 

Meanwhile, a reshoring theme has emerged globally following the supply chain issues seen exiting the COVID-19 pandemic. Companies that were once reliant on single sources for production are taking a more cautious approach to building out supply chains. What some are now referring to as a ‘renaissance’ of U.S. manufacturing is beginning to take shape, in part due to reshoring incentives included in the U.S. Inflation Reduction Act.

 

Outside of the U.S., a strong U.S. dollar continues to present a currency headwind for total returns, particularly for emerging market companies. In Europe, the Russia-Ukraine war continues to shape European policies related to food and energy security, as well as climate change mitigation. In China, structural headwinds, including a weak real estate market, weigh on the country’s economic recovery. In India, economic reforms, government investment in infrastructure, technology and manufacturing are giving way to a period of booming economic growth for the region.

 

Among sector highlights, communication services and information technology have been two of the best returning sectors year to date. Utilities and real estate are two of the worst returning sectors.

 

How the fund responded

Among our top 20 holdings, 95% had positive absolute returns over the fiscal year period, with an average return of 42.48%. The holdings in the portfolio reflect our conviction in the opportunity for long-term value creation by these companies.

 

U.S. ground transportation company Saia (up 109.82%), asset management company Ares Management (up 66.05%) and building materials company TopBuild (up 52.69%) were among the largest contributors to the fund’s 12-month relative return, as of September 30, 2023. U.S. semiconductor manufacturer Wolfspeed (down 63.14%), healthcare oncology company Novocure (down 78.74%) and pet insurance company Trupanion (down 52.55%) were among the largest detractors.

 

We take a bottom-up approach to our security selection, relying on fundamental research and analysis to assess the potential for a company or issuer to generate long-term value. Real estate and financial securities were the strongest contributors to relative returns, while healthcare and information technology detracted most.

 

Our holdings span 39 countries, as we identify compelling and differentiated opportunities across the globe. The fund

 

Past results are not predictive of results in future periods.

 

2 SMALLCAP World Fund
 

saw the strongest contributions from our U.S. and Greece holdings, while our holdings in Japan and China were the largest detractors on a relative return basis. U.S. companies comprised 43.6% of the fund’s holdings, with the balance split across countries in Europe (21.7%), Asia-Pacific (21.1%) and other countries including Canada and Latin America (6.3%).

 

The fund ended the fiscal year with 7.3% of its assets held in cash and other short-term securities. We leverage our liquidity to capitalize on investment opportunities and to help mitigate the effects of market volatility.

 

The road ahead

We are confident that our commitment to deep, fundamental research will arm our investment professionals with the insights necessary to make informed investment decisions.

 

Despite geopolitical volatility, we are continuing to find compelling investment opportunities across the globe. We will monitor the strength of the U.S. economy and the impact of rising rates on companies and the economy overall. Ultimately, we believe good companies and agile management teams with strong product and service offerings should be able to successfully navigate this environment.

 

India is one of the fastest growing economies in the world — and a region where we see potential for significant secular growth. Government reforms, an infrastructure boom and expanding manufacturing capacity are creating meaningful growth opportunities for this economy. We have positioned the portfolio to potentially benefit from these tailwinds.

 

Globally, we are finding that the rise of artificial intelligence has so far primarily benefited mega-cap companies. We are assessing the opportunities, and threats, to smaller companies based on this emerging theme.

 

We are confident in the opportunities the SMALLCAP World Fund provides to its investors — including access to our global research team of over 100 investment professionals that are out meeting with companies every day to identify the innovators and standard-setters shaping our future. Our collective depth of experience and resources support our commitment to identifying differentiated companies that we believe can support superior long-term outcomes for our clients.

 

Finally, co-president of the fund, Jonathan Knowles, would like to extend his sincere gratitude to shareholders for their support during his 23-year tenure as a portfolio manager on SMALLCAP World Fund. Jonathan is one of the longest standing portfolio managers on the fund and has made significant contributions to the fund’s growth and success over the last two decades.

 

Jonathan’s retirement at year end 2023 comes as a part of the fund’s long-term succession planning, and our deep bench of experienced investment professionals will help position the fund for future success.

 

We thank you for the trust you have placed in us, and your continued support of the SMALLCAP World Fund. We look forward to reporting to you again in six months.

 

Cordially,

 

Julian N. Abdey

Co-President

 

Jonathan Knowles

Co-President

 

Gregory W. Wendt

Co-President

 

November 7, 2023

 

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

 

Past results are not predictive of results in future periods.

 

SMALLCAP World Fund 3
 

The value of a long-term perspective

 

Fund results shown are for Class F-2 shares and Class A shares. Class A share results reflect deduction of the maximum sales charge of 5.75% on the $10,000 investment1; thus, the net amount invested was $9,425. 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. Prices and returns will vary, so investors may lose money. For current information and month-end results, refer to capitalgroup.com.

 

Class F-2 shares were first offered on August 1, 2008. Class F-2 share results prior to the date of first sale are hypothetical based on the results of the original share class of the fund without a sales charge, adjusted for typical estimated expenses. Refer to capitalgroup.com for more information on specific expense adjustments and the actual dates of first sale.

 

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

 

1 As outlined in the prospectus, the sales charge is reduced for accounts (and aggregated investments) of $25,000 or more and is eliminated for purchases of $1 million or more. There is no sales charge on dividends or capital gain distributions that are reinvested in additional shares.
2 Includes reinvested dividends and reinvested capital gain distributions.
3 The MSCI All Country World Small Cap Index is unmanaged and, therefore, has no expenses. Investors cannot invest directly in an index. Results reflect dividends net of withholding taxes. Because the index was not in existence when the fund’s Class A shares were first sold, cumulative returns through May 31, 1994, reflect the returns of the S&P Developed <$1.2 Billion Index. MSCI source: MSCI. S&P source: S&P Dow Jones Indices LLC.
4 For the period April 30, 1990, commencement of operations, through September 30, 1990.

 

 

4 SMALLCAP World Fund
 

How a hypothetical $10,000 investment has grown

This chart shows how a hypothetical $10,000 investment in SMALLCAP World Fund’s Class F-2 and Class A shares grew from April 30, 1990 — the fund’s inception — through September 30, 2023, the end of the fund’s latest fiscal year. In the case of F-2 shares, the $10,000 would have grown to $194,781 with all distributions reinvested. In the case of A shares, the $10,000 would have grown to $168,950 with all distributions reinvested, even after deducting the maximum 5.75% sales charge.

 

 

SMALLCAP World Fund 5
 

Investment portfolio September 30, 2023

 

Sector diversification Percent of net assets

 

 

 

Country diversification by domicile  Percent of
net assets
United States   43.59%
Eurozone*   8.89 
India   7.26 
Japan   6.67 
United Kingdom   5.20 
Sweden   3.50 
Canada   3.34 
Switzerland   2.53 
China   1.77 
Other countries   9.99 
Short-term securities & other assets less liabilities   7.26 
* Countries using the euro as a common currency; those represented in the fund’s portfolio are Austria, Belgium, Finland, France, Germany, Greece, Ireland, Italy, the Netherlands, Slovenia and Spain.

 

Common stocks 91.60%  Shares   Value
(000)
 
Industrials 21.08%        
Saia, Inc.1,2   1,982,584   $790,357 
Diploma PLC1   10,722,439    391,737 
Comfort Systems USA, Inc.1   2,278,965    388,358 
Interpump Group SpA1   7,903,927    362,114 
IMCD NV   2,500,730    316,099 
ATS Corp.1,2   7,339,577    312,874 
AZEK Co., Inc. (The), Class A1,2   9,089,023    270,308 
BayCurrent Consulting, Inc.   7,161,700    239,295 
BELIMO Holding AG   486,885    230,773 
Chart Industries, Inc.2,3   1,259,370    212,985 
Arcosa, Inc.1   2,953,614    212,365 
XPO, Inc.2   2,842,812    212,244 
Crane Co.   2,375,716    211,059 
VAT Group AG   553,191    196,988 
NIBE Industrier AB, Class B   29,398,225    191,578 
Stericycle, Inc.2   4,223,425    188,829 
Wizz Air Holdings PLC1,2   7,274,650    169,301 
EnPro Industries, Inc.1   1,363,052    165,188 
International Container Terminal Services, Inc.   44,009,076    160,803 
TransDigm Group, Inc.2   190,000    160,195 
Willscot Mobile Mini Holdings Corp., Class A2   3,841,326    159,761 
Visional, Inc.1,2,3   3,127,230    157,084 
Regal Rexnord Corp.   1,087,715    155,413 
TFI International, Inc. (CAD denominated)   1,095,482    140,693 
TFI International, Inc.   68,200    8,757 
Trelleborg AB, Class B   5,782,697    143,498 
Carel Industries SpA1   5,962,851    142,928 
Armstrong World Industries, Inc.   1,984,953    142,917 
Hensoldt AG   4,722,320    139,317 
Kadant, Inc.1   611,789    137,989 
Grupo Aeroportuario del Centro Norte, SAB de CV, Series B   12,071,262    131,009 
Harmonic Drive Systems, Inc.1,3   5,827,850    129,347 
RS Group PLC   13,957,409    124,706 
Japan Airport Terminal Co., Ltd.   2,887,481    122,208 
ESCO Technologies, Inc.   1,156,662    120,802 
ICF International, Inc.1   978,476    118,210 
Cleanaway Waste Management, Ltd.   75,279,081    116,754 
KEI Industries, Ltd.   3,635,766    115,608 
Watsco, Inc.   300,000    113,316 
Enerpac Tool Group Corp., Class A1   4,228,689    111,764 
Rumo SA   23,640,000    107,323 
Graco, Inc.   1,374,000    100,137 
Simpson Manufacturing Co., Inc.   657,421    98,488 
   
6 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Industrials (continued)        
Spirax-Sarco Engineering PLC   848,200   $98,083 
Aalberts NV, non-registered shares   2,671,457    97,427 
TechnoPro Holdings, Inc.   4,377,700    95,167 
ManpowerGroup, Inc.   1,296,206    95,038 
Builders FirstSource, Inc.2   760,228    94,641 
Japan Elevator Service Holdings Co., Ltd.1   6,371,800    93,511 
Johns Lyng Group, Ltd.1,3   20,870,434    87,549 
Masco Corp.   1,625,000    86,856 
DO & CO AG, non-registered shares1,3   779,520    85,526 
Copa Holdings, SA, Class A   948,945    84,570 
dip Corp.1   3,341,000    82,216 
Boyd Group Services, Inc.   450,912    80,183 
Daiseki Co., Ltd.1,3   2,982,764    79,732 
Fluidra, SA, non-registered shares   3,910,877    79,504 
Atkore, Inc.2   527,221    78,656 
InPost SA2   6,770,486    78,491 
Addtech AB, Class B   4,900,774    78,102 
Polycab India, Ltd.   1,202,370    77,401 
Munters Group AB   5,990,533    76,651 
Dürr AG   2,792,092    75,835 
Lifco AB, Class B   4,195,000    73,383 
Weir Group PLC (The)   3,166,528    73,070 
Sulzer AG   751,946    71,817 
Titagarh Rail Systems, Ltd.1   7,600,000    69,102 
Volution Group PLC1   15,684,638    68,931 
Reliance Worldwide Corp., Ltd.   27,363,812    68,278 
Ceridian HCM Holding, Inc.2   979,310    66,446 
Arcadis NV, non-registered shares   1,470,359    66,019 
First Advantage Corp.   4,627,382    63,812 
SHO-BOND Holdings Co., Ltd.   1,591,700    62,549 
CSW Industrials, Inc.   350,667    61,451 
Textron, Inc.   780,000    60,949 
Concentrix Corp.   743,748    59,582 
Azelis Group NV   3,007,672    59,147 
MSC Industrial Direct Co., Inc., Class A   600,000    58,890 
Instalco AB1   19,200,011    56,884 
Zhejiang Weixing New Building Materials Co., Ltd., Class A   22,352,304    56,327 
Voltronic Power Technology Corp.   1,142,000    56,074 
IMI PLC   2,879,957    54,775 
FTI Consulting, Inc.2   303,152    54,085 
JGC Holdings Corp.   3,883,300    53,995 
Kingspan Group PLC   724,000    53,974 
AutoStore Holdings, Ltd.2   37,936,409    53,321 
Adecco Group AG   1,294,035    53,080 
Upwork, Inc.2   4,597,398    52,226 
Matson, Inc.   579,528    51,416 
Hexcel Corp.   760,647    49,549 
CCR SA, ordinary nominative shares   19,207,630    49,256 
Marlowe PLC1,2,3   6,904,878    49,092 
Lyft, Inc., Class A2   4,535,000    47,799 
International Consolidated Airlines Group SA (CDI)2   26,494,000    47,701 
GVS SpA2   8,720,038    47,140 
NORMA Group SE, non-registered shares1   2,500,979    46,393 
CG Power and Industrial Solutions, Ltd.   8,314,344    44,168 
AirTAC International Group   1,454,000    44,156 
Loomis AB   1,629,000    43,743 
ALS, Ltd.   5,866,962    43,171 
Alfen NV2,3   1,018,335    42,858 
Montana Aerospace AG1,2   3,398,632    41,774 
IDEX Corp.   200,000    41,604 
Engcon AB, Class B3   6,013,176    40,709 
Miura Co., Ltd.   2,010,747    40,462 
Fiverr International, Ltd.2   1,652,293    40,432 
Cargotec OYJ, Class B, non-registered shares   952,937    40,054 
Applied Industrial Technologies, Inc.   252,055    38,970 
Melrose Industries PLC   6,786,734    38,678 
Vicor Corp.2   604,239    35,584 
MSA Safety, Inc.   224,300    35,361 
UFP Industries, Inc.   333,295    34,129 
   
SMALLCAP World Fund 7
 
Common stocks (continued)  Shares   Value
(000)
 
Industrials (continued)        
GMS, Inc.2   532,000   $34,032 
Trex Co., Inc.2   535,600    33,009 
MISUMI Group, Inc.   2,082,594    32,516 
Centre Testing International Group Co., Ltd.   12,715,436    32,488 
DL E&C Co., Ltd.   1,354,400    31,256 
Sinoseal Holding Co., Ltd., Class A   5,298,624    29,904 
SIS, Ltd.2   5,544,711    28,729 
L&T Technology Services, Ltd.   520,280    28,587 
LIXIL Corp.3   2,434,500    28,339 
Judges Scientific PLC   254,629    27,407 
XP Power, Ltd.   939,012    26,994 
Sun Country Airlines Holdings, Inc.2   1,816,363    26,955 
Controladora Vuela Compañía de Aviación, SAB de CV, Class A (ADR), ordinary participation certificates2   2,557,800    17,367 
Controladora Vuela Compañía de Aviación, SAB de CV, Class A, ordinary participation certificates2,3   11,941,586    8,120 
Computer Age Management Services, Ltd.   765,815    23,118 
Ventia Services Group Pty, Ltd.   12,643,253    22,874 
Generac Holdings, Inc.2   207,989    22,662 
BWX Technologies, Inc.   301,745    22,625 
TELUS International (Cda), Inc., subordinate voting shares2   2,778,650    21,173 
Fasadgruppen Group AB1,3   3,969,905    20,911 
Indutrade AB   1,080,000    19,934 
Advanced Drainage Systems, Inc.   174,684    19,884 
NTG Nordic Transport Group AS2   387,000    19,819 
Bombardier, Inc., Class B2,3   562,403    19,610 
Howden Joinery Group PLC   2,134,273    19,071 
Antares Vision SpA2,3   5,066,015    18,353 
Hefei Meyer Optoelectronic Technology, Inc., Class A   6,317,709    18,153 
INVISIO Communications AB   950,000    17,133 
Grupa Pracuj SA3   1,300,000    16,924 
Norva24 Group AB1,2   9,330,000    16,410 
MonotaRO Co., Ltd.   1,511,100    16,169 
Midac Holdings Co., Ltd.3   1,245,600    15,865 
Grafton Group PLC   1,437,900    15,808 
Burckhardt Compression Holding AG   28,900    15,695 
easyJet PLC2   3,000,000    15,574 
Haitian International Holdings, Ltd.   6,902,791    14,589 
Einride AB1,2,4,5   438,277    14,502 
Oshkosh Corp.   150,000    14,314 
EuroGroup Laminations SpA2   3,078,119    13,601 
APM Human Services International, Ltd.3   11,267,629    13,376 
Storskogen Group AB, Class B   17,030,921    12,271 
Green Landscaping Group AB2   1,977,759    12,210 
Chemring Group PLC   3,577,719    12,109 
Fluence Energy, Inc., Class A2,3   505,532    11,622 
Valmet OYJ3   357,836    8,163 
Guangzhou Baiyun International Airport Co., Ltd., Class A2   4,385,349    6,724 
SITC International Holdings Co., Ltd.   3,740,000    6,279 
Pyrum Innovations AG2   128,274    5,540 
APi Group Corp.2   132,549    3,437 
Ceres Power Holdings PLC2,3   831,946    3,174 
         13,424,363 
           
Consumer discretionary 18.16%          
TopBuild Corp.1,2   2,415,039    607,624 
Evolution AB   4,940,540    497,848 
Tube Investments of India, Ltd.1   11,627,785    418,011 
Floor & Decor Holdings, Inc., Class A2   4,046,400    366,199 
Dollarama, Inc.   5,010,000    345,176 
YETI Holdings, Inc.1,2   6,938,646    334,582 
Wyndham Hotels & Resorts, Inc.   3,466,022    241,027 
Toll Brothers, Inc.   2,992,358    221,315 
Wayfair, Inc., Class A2,3   3,648,801    221,008 
Light & Wonder, Inc.2   2,904,204    207,157 
Melco Resorts & Entertainment, Ltd. (ADR)2   20,752,500    205,242 
Thor Industries, Inc.   2,155,644    205,066 
MakeMyTrip, Ltd.1,2   4,465,728    180,951 
   
8 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Consumer discretionary (continued)        
DraftKings, Inc., Class A2   5,948,367   $175,120 
Adient PLC2   4,559,301    167,326 
Cavco Industries, Inc.1,2   588,800    156,421 
WH Smith PLC1   9,210,322    150,890 
Jumbo SA   5,421,500    149,129 
Boot Barn Holdings, Inc.1,2   1,787,200    145,103 
Pets at Home Group PLC1   33,906,432    137,997 
CAVA Group, Inc.2,3   2,585,308    79,188 
CAVA Group, Inc.2   1,993,092    58,606 
KB Home   2,957,918    136,892 
IDP Education, Ltd.   9,871,877    135,375 
Five Below, Inc.2   804,402    129,428 
Helen of Troy, Ltd.2   1,076,247    125,447 
Domino’s Pizza Enterprises, Ltd.   3,704,647    125,438 
Watches of Switzerland Group PLC1,2   19,161,446    124,322 
Lennar Corp., Class A   1,058,458    118,791 
Lennar Corp., Class B   21,169    2,164 
Domino’s Pizza Group PLC1   26,295,118    120,592 
Games Workshop Group PLC   917,600    118,246 
Moncler SpA   2,015,000    116,962 
Inchcape PLC   12,645,629    116,413 
Pool Corp.   317,700    113,133 
Polaris, Inc.   1,085,000    112,992 
Jack in the Box, Inc.1   1,606,607    110,952 
Fox Factory Holding Corp.2   1,115,190    110,493 
Mattel, Inc.2   4,700,000    103,541 
Skyline Champion Corp.2   1,590,000    101,315 
Century Communities, Inc.   1,512,000    100,971 
Kindred Group PLC (SDR)   10,981,856    100,204 
Kontoor Brands, Inc.   2,222,981    97,611 
Lottomatica Group SpA2   10,430,989    97,115 
Norwegian Cruise Line Holdings, Ltd.2,3   5,883,204    96,955 
Bright Horizons Family Solutions, Inc.2   1,058,300    86,209 
MRF, Ltd.   65,827    84,868 
Asbury Automotive Group, Inc.2   361,691    83,214 
M.D.C. Holdings, Inc.   2,001,000    82,501 
DPC Dash, Ltd.1,2   9,965,586    81,980 
Jiumaojiu International Holdings, Ltd.3   59,901,531    81,217 
Malibu Boats, Inc., Class A1,2   1,649,000    80,834 
LGI Homes, Inc.2   796,562    79,250 
Skechers USA, Inc., Class A2   1,600,000    78,320 
Williams-Sonoma, Inc.   500,000    77,700 
Golden Entertainment, Inc.1   2,254,271    77,051 
Auction Technology Group PLC1,2   9,694,672    76,877 
Levi Strauss & Co., Class A3   5,625,378    76,393 
HUGO BOSS AG   1,185,764    75,068 
Salvatore Ferragamo SpA3   5,447,036    72,149 
NOK Corp.3   5,287,000    70,146 
XPEL, Inc.2   908,496    70,054 
Installed Building Products, Inc.   550,259    68,722 
Domino’s Pizza, Inc.   176,500    66,856 
ABC-Mart, Inc.   3,659,100    65,993 
Shoei Co., Ltd.1,3   4,291,700    65,655 
Nien Made Enterprise Co., Ltd.   6,770,000    65,064 
Entain PLC   5,635,173    64,140 
Murphy USA, Inc.   175,000    59,803 
Victoria PLC1,2   9,200,079    58,453 
Ermenegildo Zegna NV3   3,859,068    53,718 
D.R. Horton, Inc.   490,000    52,660 
Devyani International, Ltd.2   20,193,144    52,102 
FIGS, Inc., Class A2,3   8,569,561    50,560 
International Game Technology PLC   1,647,850    49,963 
Steven Madden, Ltd.   1,564,271    49,697 
On Holding AG, Class A2   1,742,200    48,468 
Dometic Group AB   7,346,736    46,438 
Musti Group OYJ1   2,400,537    45,510 
B&M European Value Retail SA   6,257,481    44,703 
Zalando SE, non-registered shares2   1,822,072    44,541 
Darden Restaurants, Inc.   303,300    43,439 
   
SMALLCAP World Fund 9
 
Common stocks (continued)  Shares   Value
(000)
 
Consumer discretionary (continued)        
Meritage Homes Corp.   353,400   $43,253 
Flutter Entertainment PLC2   259,095    42,290 
MGM China Holdings, Ltd.2   32,026,400    41,706 
Beazer Homes USA, Inc.1,2   1,659,813    41,346 
Brunello Cucinelli SpA   532,326    40,462 
Compagnie Plastic Omnium SA   2,472,513    40,209 
Trainline PLC2   11,779,700    39,900 
RH2   150,000    39,654 
Momo.com, Inc.   2,413,964    37,564 
Advance Auto Parts, Inc.   668,816    37,407 
Mazda Motor Corp.3   3,264,000    37,006 
Cairn Homes PLC   31,452,000    36,301 
Nifco, Inc.3   1,388,900    35,913 
Six Flags Entertainment Corp.2   1,514,000    35,594 
Puuilo OYJ   4,124,072    35,121 
Modine Manufacturing Co.2   746,986    34,175 
Ariston Holding NV   5,157,220    33,591 
Tsuburaya Fields Holdings, Inc.3   2,444,600    33,466 
ThredUp, Inc., Class A2,3   8,064,000    32,337 
Lojas Renner SA   11,564,503    30,829 
Haichang Ocean Park Holdings, Ltd.2,3   206,153,000    30,760 
Camping World Holdings, Inc., Class A3   1,429,309    29,172 
Dowlais Group PLC   22,085,556    28,867 
AcadeMedia AB1   5,891,036    25,156 
OneSpaWorld Holdings, Ltd.2,3   2,150,518    24,129 
Genda, Inc.2,3   1,531,700    23,584 
Central Automotive Products, Ltd.   907,800    22,620 
Macy’s, Inc.   1,900,000    22,059 
MasterCraft Boat Holdings, Inc.1,2   975,083    21,666 
Persimmon PLC   1,630,523    21,346 
Planet Fitness, Inc., Class A2   430,000    21,147 
Snow Peak, Inc.1,3   2,661,400    21,058 
Leslie’s, Inc.2   3,472,671    19,655 
OneWater Marine, Inc., Class A2   754,805    19,338 
Peloton Interactive, Inc., Class A2   3,817,528    19,279 
Caesars Entertainment, Inc.2   400,000    18,540 
MIPS AB   543,100    18,302 
Barratt Developments PLC   3,315,285    17,785 
Bapcor, Ltd.   3,949,347    17,332 
Traeger, Inc.2   6,195,000    16,912 
Bowlero Corp., Class A2   1,748,497    16,821 
Vail Resorts, Inc.   71,000    15,754 
Pet Valu Holdings, Ltd.3   850,263    15,268 
Bafang Electric (Suzhou) Co., Ltd., Class A   1,847,270    14,497 
Melco International Development, Ltd.2   16,697,000    13,358 
Bosideng International Holdings, Ltd.   28,180,000    12,038 
Elior Group SA2,3   5,807,012    11,856 
Nordstrom, Inc.3   760,000    11,354 
First Watch Restaurant Group, Inc.2   557,265    9,635 
Balkrishna Industries, Ltd.   311,475    9,583 
Royal Caribbean Cruises, Ltd.2   78,017    7,189 
Goodyear Tire & Rubber Co.2   558,712    6,945 
StockX, Inc.2,4,5   161,790    6,329 
Global-E Online, Ltd.2   155,659    6,186 
BARK, Inc.2,3   4,500,000    5,400 
Brilliant Earth Group, Inc., Class A2,3   929,849    2,743 
BNN Technology PLC1,2,4   19,007,000    6 
         11,568,441 
           
Information technology 14.48%          
eMemory Technology, Inc.1   5,351,334    334,789 
Smartsheet, Inc., Class A1,2   7,136,561    288,745 
Global Unichip Corp.   6,698,000    283,935 
Fabrinet, non-registered shares2   1,625,726    270,878 
ALTEN SA, non-registered shares1   1,845,267    242,196 
MKS Instruments, Inc.   2,749,084    237,906 
Kulicke and Soffa Industries, Inc.1   4,699,380    228,531 
MongoDB, Inc., Class A2   610,302    211,079 
   
10 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Information technology (continued)        
Socionext, Inc.1,3   2,031,700   $200,355 
Pegasystems, Inc.   3,984,489    172,967 
Rogers Corp.1,2   1,275,857    167,737 
Confluent, Inc., Class A2   5,589,060    165,492 
SUMCO Corp.   12,685,758    164,987 
GitLab, Inc., Class A2,3   3,479,717    157,353 
Globant SA2   790,705    156,441 
Wolfspeed, Inc.2   4,071,388    155,120 
Maruwa Co., Ltd.1,3   989,700    155,017 
Softcat PLC   8,662,767    154,074 
Nordic Semiconductor ASA1,2   14,835,969    152,246 
Coforge, Ltd.   2,388,685    146,531 
Novanta, Inc.2   944,834    135,527 
SHIFT, Inc.2   712,000    130,590 
Vitec Software Group AB, Class B   2,750,283    129,028 
Dexerials Corp.1,3   5,161,500    127,286 
Insight Enterprises, Inc.2   824,385    119,948 
Keywords Studios PLC1   6,321,174    119,168 
Endava PLC, Class A (ADR)2   2,072,736    118,871 
Tanla Platforms, Ltd.1   9,190,777    114,798 
Money Forward, Inc.1,2   3,525,387    113,730 
DoubleVerify Holdings, Inc.2   3,938,963    110,094 
Technoprobe SpA2   13,838,685    108,564 
SINBON Electronics Co., Ltd.   10,132,092    101,676 
Semtech Corp.1,2   3,800,646    97,867 
RingCentral, Inc., Class A2   3,289,000    97,453 
Bytes Technology Group PLC1   15,860,989    96,273 
MACOM Technology Solutions Holdings, Inc.2   1,140,000    93,001 
Teradata Corp.2   2,022,331    91,045 
LEM Holding SA   40,600    90,659 
Credo Technology Group Holding, Ltd.2   5,630,737    85,869 
ASMPT, Ltd.   9,602,100    85,759 
Lumentum Holdings, Inc.2   1,831,236    82,735 
SentinelOne, Inc., Class A2   4,609,245    77,712 
Alkami Technology, Inc.2   4,047,846    73,752 
CCC Intelligent Solutions Holdings, Inc.2   5,503,900    73,477 
Tokyo Seimitsu Co., Ltd.   1,422,200    71,188 
PAR Technology Corp.1,2,3   1,840,057    70,916 
Mastek, Ltd.1   2,448,446    70,773 
Megaport, Ltd.1,2   9,161,000    70,009 
Taiyo Yuden Co., Ltd.3   2,569,200    69,531 
INFICON Holding AG   56,590    69,023 
Power Integrations, Inc.   845,786    64,542 
Monday.com, Ltd.2   405,134    64,505 
SES-imagotag SA2,3   539,018    62,646 
Viavi Solutions, Inc.2   6,830,000    62,426 
Topicus.com, Inc., subordinate voting shares2   934,543    61,732 
Reply SpA   656,489    61,629 
Accton Technology Corp.   4,009,000    61,234 
Disco Corp.   314,100    57,681 
VisEra Technologies Co., Ltd.   8,951,906    57,630 
Qorvo, Inc.2   574,004    54,800 
Alteryx, Inc., Class A2   1,450,000    54,650 
Hamamatsu Photonics KK   1,289,450    54,214 
Tri Chemical Laboratories, Inc.1,3   2,580,900    53,455 
Silicon Laboratories, Inc.2   444,450    51,507 
Lumine Group, Inc., subordinate voting shares1,2   3,410,506    50,520 
CDW Corp.   250,000    50,440 
Kainos Group PLC   3,586,180    50,176 
SiTime Corp.2   400,406    45,746 
Nova, Ltd.2   368,546    41,439 
Riskified, Ltd., Class A2   9,194,367    41,191 
Okta, Inc., Class A2   500,000    40,755 
Lagercrantz Group AB, Class B   3,645,733    36,840 
Clearwater Analytics Holdings, Inc., Class A2   1,900,962    36,765 
Aspen Technology, Inc.2   175,140    35,774 
Noventiq Holdings PLC (GDR)1,2,4,7   17,110,290    34,599 
Noventiq Holdings PLC (GDR)1,2,4   16,060    32 
Cognex Corp.   800,000    33,952 
   
SMALLCAP World Fund 11
 
Common stocks (continued)  Shares   Value
(000)
 
Information technology (continued)        
BlackLine, Inc.2   595,000   $33,005 
Unity Software, Inc.2   1,016,503    31,908 
BE Semiconductor Industries NV   316,188    30,917 
GFT Technologies SE   1,103,638    30,780 
Clear Secure, Inc., Class A   1,600,000    30,464 
Kingboard Laminates Holdings, Ltd.   42,869,026    30,097 
Impinj, Inc.2   546,350    30,066 
Bentley Systems, Inc., Class B   584,744    29,331 
Guidewire Software, Inc.2   325,092    29,258 
Xiamen Faratronic Co., Ltd., Class A   2,157,156    28,626 
Trimble, Inc.2   530,000    28,546 
Dock, Ltd.2,4,5   4,318,937    28,419 
Halma PLC   1,200,000    28,192 
Kingdee International Software Group Co., Ltd.2   22,888,264    28,074 
SmartCraft ASA, Class A1,2   13,721,780    27,278 
JustSystems Corp.3   1,284,000    25,728 
Nayax, Ltd.2   1,075,000    24,901 
EPAM Systems, Inc.2   92,260    23,590 
Flex, Ltd.2   864,808    23,333 
OVH Groupe SAS2,3   2,539,030    23,002 
Alarm.com Holdings, Inc.2   351,000    21,460 
Vanguard International Semiconductor Corp.   10,085,394    21,269 
HPSP Co., Ltd.   935,751    21,073 
Zuken, Inc.3   866,100    21,042 
Nemetschek SE   339,710    20,756 
Amano Corp.3   934,300    20,660 
Dye & Durham, Ltd.3   2,107,271    20,619 
Net One Systems Co., Ltd.   988,000    18,749 
Alphawave IP Group PLC2,3   11,641,692    16,219 
Hirose Electric Co., Ltd.3   134,800    15,607 
ON Semiconductor Corp.2   167,850    15,602 
Perficient, Inc.2   235,032    13,599 
Soitec2   72,600    12,045 
Crane NXT, Co.   213,886    11,886 
Sinch AB2   6,146,143    10,733 
LandMark Optoelectronics Corp.   2,561,000    9,293 
Zebra Technologies Corp., Class A2   36,300    8,586 
Parade Technologies, Ltd.   277,000    8,511 
Procore Technologies, Inc.2   125,600    8,204 
Kingboard Holdings, Ltd.   3,573,331    7,961 
HashiCorp, Inc., Class A2   340,285    7,769 
Applied Digital Corp.2   1,221,830    7,624 
Lotes Co., Ltd.   293,000    7,477 
Entegris, Inc.   79,014    7,420 
Lime Technologies AB   284,166    6,810 
ams OSRAM AG, non-registered shares2   1,399,108    6,557 
Riken Keiki Co., Ltd.3   147,900    5,961 
Cherry SE2,3   1,135,396    5,648 
Basler AG, non-registered shares3   454,707    4,707 
Sensirion Holding AG2,3   57,416    4,591 
JFrog, Ltd.2   178,400    4,524 
AAC Technologies Holdings, Inc.   2,629,000    4,472 
Patreon, Inc., Class B2,4,5   189,951    3,978 
Yotpo, Ltd.2,4,5   2,620,102    3,563 
Foursquare Labs, Inc., Series A2,4,5   1,970,385    2,364 
Crayon Group Holding ASA2   325,771    2,010 
E Ink Holdings, Inc.   195,000    1,091 
CEVA, Inc.2   50,000    969 
         9,220,505 
           
Health care 12.15%          
Molina Healthcare, Inc.2   2,157,786    707,516 
Max Healthcare Institute, Ltd.1   49,569,337    338,657 
Haemonetics Corp.1,2   3,070,964    275,097 
agilon health, Inc.2,3   13,114,300    232,910 
CONMED Corp.1   2,190,972    220,960 
Insulet Corp.2   1,369,795    218,469 
Legend Biotech Corp. (ADR)2   3,148,299    211,471 
   
12 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Health care (continued)        
DexCom, Inc.2   2,210,000   $206,193 
Ensign Group, Inc. (The)   2,162,158    200,929 
Centene Corp.2   2,825,674    194,632 
Bachem Holding AG3   2,364,046    174,286 
Penumbra, Inc.2   713,902    172,700 
Xenon Pharmaceuticals, Inc.1,2   4,721,264    161,278 
Vaxcyte, Inc.2   3,044,396    155,203 
iRhythm Technologies, Inc.2   1,506,397    141,993 
Glenmark Pharmaceuticals, Ltd.   13,666,546    140,949 
Shockwave Medical, Inc.2   585,000    116,474 
Amvis Holdings, Inc.1   6,536,451    113,761 
Asahi Intecc Co., Ltd.   6,170,000    110,869 
Integra LifeSciences Holdings Corp.2   2,749,228    104,993 
Amplifon SpA   3,472,757    102,845 
Tandem Diabetes Care, Inc.1,2   4,783,896    99,362 
Ventyx Biosciences, Inc.2   2,727,852    94,738 
Laurus Labs, Ltd.   19,122,368    90,485 
Hypera SA, ordinary nominative shares   12,076,774    89,232 
Structure Therapeutics, Inc.2,5   4,280,694    67,628 
Structure Therapeutics, Inc. (ADR)2   425,647    21,461 
DiaSorin Italia SpA   935,771    85,187 
SCHOTT Pharma AG & Co. KGaA, non-registered shares2   2,457,319    82,201 
Karuna Therapeutics, Inc.2   478,752    80,952 
Zai Lab, Ltd. (ADR)2,3   3,099,662    75,353 
Zai Lab, Ltd.2,3   1,822,200    4,436 
Hapvida Participações e Investimentos SA2   84,767,396    79,261 
Andlauer Healthcare Group, Inc., subordinate voting shares3   2,564,404    78,032 
Revance Therapeutics, Inc.1,2   6,730,357    77,197 
Guardant Health, Inc.2   2,595,519    76,931 
Zentalis Pharmaceuticals, Inc.1,2   3,810,758    76,444 
Nakanishi, Inc.   3,078,400    71,932 
ICON PLC2   281,109    69,223 
Zealand Pharma A/S2   1,443,433    62,438 
Exact Sciences Corp.2   890,000    60,716 
BONESUPPORT Holding AB1,2   5,204,426    60,470 
NovoCure, Ltd.2   3,433,386    55,449 
EBOS Group, Ltd.   2,697,484    54,792 
Pacific Biosciences of California, Inc.2   6,503,749    54,306 
Ascendis Pharma AS (ADR)2   579,165    54,233 
Netcare, Ltd.1   73,590,762    52,520 
Ambu AS, Class B, non-registered shares2,3   5,031,783    52,342 
Denali Therapeutics, Inc.2   2,483,554    51,236 
Jeisys Medical, Inc.1,2   5,703,950    50,581 
Masimo Corp.2   514,728    45,131 
Encompass Health Corp.   669,983    44,996 
Surgical Science Sweden AB1,2   3,271,137    44,990 
Silk Road Medical, Inc.1,2   2,966,730    44,471 
Glaukos Corp.2   550,322    41,412 
CRISPR Therapeutics AG2,3   902,543    40,966 
Genus PLC   1,559,867    39,835 
KRKA, dd, Novo mesto   335,262    38,803 
Poly Medicure, Ltd.   2,313,077    38,156 
Ionis Pharmaceuticals, Inc.2   839,463    38,078 
Aster DM Healthcare, Ltd.2   8,926,092    35,243 
Ocumension Therapeutics1,2   35,965,500    35,083 
Bangkok Chain Hospital PCL   62,859,600    33,841 
Innovent Biologics, Inc.2   6,938,500    33,704 
10x Genomics, Inc., Class A2   793,300    32,724 
SKAN Group AG   383,510    32,520 
Fisher & Paykel Healthcare Corp., Ltd.   2,510,000    32,467 
Olink Holding AB (ADR)2,3   2,158,455    31,837 
IDEAYA Biosciences, Inc.2   1,178,740    31,802 
XVIVO Perfusion AB2   1,261,000    31,654 
Virbac SA   114,331    30,902 
Shandong Pharmaceutical Glass Co., Ltd., Class A   7,943,502    30,213 
Globus Medical, Inc., Class A2   574,500    28,524 
Medmix AG   1,113,977    28,234 
Indivior PLC2   1,284,920    27,797 
Axonics, Inc.2   488,000    27,387 
   
SMALLCAP World Fund 13
 
Common stocks (continued)  Shares   Value
(000)
 
Health care (continued)        
CompuGroup Medical SE & Co. KGaA   691,730   $27,115 
R1 RCM, Inc.2   1,740,000    26,222 
AbCellera Biologics, Inc.2,3   5,480,000    25,208 
Angelalign Technology, Inc.3   4,071,200    25,196 
RayzeBio, Inc.2,3   1,103,100    24,489 
Alnylam Pharmaceuticals, Inc.2   137,700    24,387 
BridgeBio Pharma, Inc.2,5   965,653    24,191 
Incyte Corp.2   396,000    22,877 
Immunovant, Inc.2   590,500    22,669 
Arrowhead Pharmaceuticals, Inc.2   822,929    22,112 
Chemed Corp.   42,000    21,827 
CUC, Inc.2,3   1,231,400    20,444 
Inhibrx, Inc.2   1,080,571    19,829 
Biohaven, Ltd.2   749,881    19,504 
J. B. Chemicals & Pharmaceuticals, Ltd.   1,063,422    18,974 
Sosei Group Corp.2,3   1,841,200    18,459 
Natera, Inc.2   396,421    17,542 
Evotec SE, non-registered shares2   867,078    17,329 
Pliant Therapeutics, Inc.2,3   912,467    15,822 
Phreesia, Inc.2   807,600    15,086 
Galapagos NV2   424,039    14,625 
SUNWELS Co., Ltd.3   738,900    14,582 
Classys, Inc.   495,238    13,808 
AS ONE Corp.3   343,500    12,537 
Nordhealth AS, Class A1,2   5,120,000    11,907 
Sysmex Corp.3   220,300    10,506 
Doximity, Inc., Class A2   489,000    10,377 
Schrodinger, Inc.2   340,000    9,612 
Seer, Inc., Class A2   4,102,472    9,067 
Tecan Group AG   26,838    9,038 
Option Care Health, Inc.2   248,071    8,025 
Idorsia, Ltd.2   2,815,628    7,864 
Sana Biotechnology, Inc.2,3   1,963,378    7,598 
Cellectis SA (ADR)2,3   1,848,804    2,921 
Cellectis SA, non-registered shares2,3   760,997    1,183 
ChemoMetec A/S2   70,910    3,357 
KRY International AB, Series A2,4,5   19,744    3,257 
Precision BioSciences, Inc.1,2   6,715,043    2,292 
Hutchmed China, Ltd.2   437,610    1,479 
Creo Medical Group PLC2   1,330,000    510 
         7,735,920 
           
Financials 10.76%          
Ares Management Corp., Class A   5,174,776    532,329 
Essent Group, Ltd.1   8,604,853    406,924 
AU Small Finance Bank, Ltd.   31,937,993    274,209 
Eurobank Ergasias Services and Holdings SA2   150,674,717    232,048 
Janus Henderson Group PLC   8,199,302    211,706 
IIFL Finance, Ltd.1   27,957,465    199,491 
Cholamandalam Investment and Finance Co., Ltd.   12,992,432    188,836 
RenaissanceRe Holdings, Ltd.   952,200    188,459 
360 ONE WAM, Ltd.1   28,508,784    172,411 
Fukuoka Financial Group, Inc.   7,126,725    169,939 
Affirm Holdings, Inc., Class A2   7,197,586    153,093 
National Bank of Greece SA2   27,146,600    153,003 
Steadfast Group, Ltd.   41,209,804    149,427 
Goosehead Insurance, Inc., Class A1,2   1,908,432    142,235 
HDFC Asset Management Co., Ltd.   3,962,374    126,088 
Canara Bank   26,212,776    118,606 
VZ Holding AG   1,118,395    116,691 
AUB Group, Ltd.1   5,885,746    110,199 
Kinsale Capital Group, Inc.   257,620    106,688 
BFF Bank SpA1   10,137,902    101,268 
StepStone Group, Inc., Class A   3,032,218    95,757 
TMX Group, Ltd.   4,394,530    94,442 
Trupanion, Inc.1,2   3,297,206    92,981 
Stifel Financial Corp.   1,477,350    90,768 
Patria Investments, Ltd., Class A   5,899,745    86,018 
   
14 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Financials (continued)        
Banca Generali SpA   2,328,237   $82,265 
EVERTEC, Inc.   2,199,027    81,760 
Five-Star Business Finance, Ltd.2   8,970,345    76,166 
SiriusPoint, Ltd.2   7,250,000    73,733 
Banco del Bajio, SA   23,184,574    72,916 
Euronet Worldwide, Inc.2   918,491    72,910 
JB Financial Group Co., Ltd.   9,674,196    71,375 
Flywire Corp.2   2,227,910    71,048 
Max Financial Services, Ltd.2   6,313,461    69,172 
Wintrust Financial Corp.   872,551    65,878 
Angel One, Ltd.   2,934,353    65,029 
Remgro, Ltd.   8,174,140    64,097 
SouthState Corp.   950,972    64,057 
Hilltop Holdings, Inc.   2,000,000    56,720 
Enstar Group, Ltd.2   231,978    56,139 
PagSeguro Digital, Ltd., Class A2   6,492,200    55,898 
City Union Bank, Ltd.   36,608,696    55,806 
Selective Insurance Group, Inc.   535,682    55,266 
AssetMark Financial Holdings, Inc.2   2,177,656    54,616 
Paymentus Holdings, Inc., Class A2,3   3,224,500    53,527 
Webster Financial Corp.   1,237,479    49,883 
Radian Group, Inc.   1,961,287    49,248 
Artisan Partners Asset Management, Inc., Class A   1,277,000    47,785 
Glacier Bancorp, Inc.   1,667,581    47,526 
Bridgepoint Group PLC   18,838,770    44,225 
Capitec Bank Holdings, Ltd.   482,170    43,368 
Aptus Value Housing Finance India, Ltd.   12,325,801    43,342 
XP, Inc., Class A   1,867,000    43,034 
East West Bancorp, Inc.   796,201    41,968 
Euronext NV   585,333    40,734 
Victory Capital Holdings, Inc., Class A   1,196,000    39,875 
Regional, SAB de CV, Class A   5,154,470    37,021 
Boku, Inc.1,2,3,5   20,461,639    36,407 
Nova Ljubljanska Banka dd (GDR)   2,365,833    35,983 
Aditya Birla Capital, Ltd.2   16,067,295    34,785 
Alpha Services and Holdings SA2   26,000,000    34,510 
EFG International AG   3,000,000    34,040 
Moelis & Co., Class A   719,000    32,448 
Vontobel Holding AG   519,713    30,927 
Marqeta, Inc., Class A2   5,098,743    30,491 
AJ Bell PLC   8,000,000    26,694 
Pine Labs Pte., Ltd.2,4,5   76,998    26,630 
NMI Holdings, Inc.2   950,000    25,736 
Bolsa Mexicana de Valores, SAB de CV, Series A   13,540,000    25,413 
Tel Aviv Stock Exchange, Ltd. (The)2   4,312,024    24,765 
AvidXchange Holdings, Inc.2   2,445,867    23,187 
Norion Bank AB2   7,161,000    23,123 
Aavas Financiers, Ltd.2   1,071,578    22,424 
OneMain Holdings, Inc.   556,042    22,292 
Columbia Banking System, Inc.   1,063,800    21,595 
Virtu Financial, Inc., Class A   1,120,000    19,342 
Comerica Inc.   453,200    18,830 
Redwood Trust, Inc. REIT3   2,562,000    18,267 
Hellenic Exchanges - Athens Stock Exchange SA1   3,500,000    17,700 
Oscar Health, Inc., Class A2   2,751,000    15,323 
Premium Group Co., Ltd.3   1,290,000    13,733 
Islandsbanki hf.   16,632,054    13,435 
Linc AB2   2,358,208    13,209 
Houlihan Lokey, Inc., Class A   112,959    12,100 
PT Bank Syariah Indonesia Tbk   109,635,200    11,530 
TCS Group Holding PLC (GDR)2   694,768    10,630 
TCS Group Holding PLC (GDR)2,7   31,700    485 
Optima Bank SA   972,762    7,405 
Funding Circle Holdings PLC2   14,713,073    6,971 
Antin Infrastructure Partners SA   133,000    1,719 
Allfunds Group PLC   250,074    1,381 
         6,853,513 
   
SMALLCAP World Fund 15
 
Common stocks (continued)  Shares   Value
(000)
 
Materials 3.84%        
APL Apollo Tubes, Ltd.1   17,220,889   $336,340 
LANXESS AG1   6,907,704    175,761 
Lundin Mining Corp.   21,804,953    162,624 
Zeon Corp.1,3   15,487,700    161,880 
Materion Corp.1   1,222,543    124,589 
FUJIMI INCORPORATED1,3   5,060,400    101,615 
CCL Industries, Inc., Class B, nonvoting shares   2,262,200    94,952 
Jindal Steel & Power, Ltd.   10,041,809    84,845 
Livent Corp.2,3   4,093,522    75,362 
ATI, Inc.2   1,816,539    74,751 
Resonac Holdings Co., Ltd.   3,891,600    65,180 
Sandstorm Gold, Ltd.3   13,980,111    65,147 
Kaneka Corp.3   2,470,900    64,134 
Navin Fluorine International, Ltd.   1,381,948    62,703 
Alcoa Corp.   2,054,737    59,711 
H.B. Fuller Co.   866,200    59,430 
Tronox Holdings PLC   4,181,109    56,194 
Summit Materials, Inc., Class A   1,757,296    54,722 
PI Industries, Ltd.   1,212,000    50,425 
Yamato Kogyo Co., Ltd.3   962,000    45,968 
Kansai Paint Co., Ltd.   2,984,900    42,659 
Huhtamäki OYJ   1,275,000    41,941 
MEC Co., Ltd.1   1,605,600    39,715 
Anupam Rasayan India, Ltd.   3,104,000    33,108 
Mayr-Melnhof Karton AG, non-registered shares   226,797    30,584 
Cabot Corp.   376,156    26,056 
SOL SpA   848,834    24,032 
Gujarat Fluorochemicals, Ltd.   635,000    23,302 
Indigo Paints, Ltd.   1,214,500    21,693 
Vinati Organics, Ltd.   943,000    20,937 
Labrador Iron Ore Royalty Corp.3   822,000    19,457 
NV Bekaert SA   423,000    18,904 
Aluflexpack AG1,2,3   1,309,666    17,164 
Re:NewCell AB1,2,3   2,691,474    16,715 
Shandong Sinocera Functional Material Co., Ltd., Class A   3,764,153    14,092 
Toyo Gosei Co., Ltd.3   299,577    13,497 
Aurubis AG   168,729    12,509 
Nissan Chemical Corp.   250,000    10,627 
Gerdau SA (ADR)   2,112,075    10,075 
China Resources Cement Holdings, Ltd.   36,412,000    9,267 
Alleima AB   1,509,740    7,908 
Berger Paints India, Ltd.   1,004,217    6,875 
Sumitomo Bakelite Co., Ltd.   130,500    5,690 
         2,443,140 
           
Consumer staples 3.20%          
Emmi AG1   318,222    299,833 
Simply Good Foods Co.1,2   5,897,845    203,594 
Grocery Outlet Holding Corp.1,2   5,593,981    161,386 
Royal Unibrew A/S   1,722,194    132,606 
Varun Beverages, Ltd.   8,919,940    101,525 
Celsius Holdings, Inc.2   561,414    96,339 
Redcare Pharmacy NV, non-registered shares2   852,129    90,906 
Freshpet, Inc.2,3   1,297,356    85,470 
BJ’s Wholesale Club Holdings, Inc.2   1,106,224    78,951 
Ocado Group PLC2   10,398,813    75,656 
John B. Sanfilippo & Son, Inc.   745,776    73,683 
Scandinavian Tobacco Group A/S   3,970,636    60,505 
Performance Food Group Co.2   928,000    54,622 
Sovos Brands, Inc.2   2,116,344    47,724 
Kotobuki Spirits Co., Ltd.   2,744,000    44,352 
Milbon Co., Ltd.3   1,448,900    40,319 
Raia Drogasil SA, ordinary nominative shares   7,187,050    39,492 
Fever-Tree Drinks PLC   2,410,000    35,113 
United Spirits, Ltd.2   2,672,208    32,376 
Jonjee Hi-Tech Industrial and Commercial Holding Co., Ltd., Class A2   6,624,986    31,326 
COSMOS Pharmaceutical Corp.   287,909    29,450 
Fresh Del Monte Produce, Inc.   1,028,000    26,564 
   
16 SMALLCAP World Fund
 
Common stocks (continued)  Shares   Value
(000)
 
Consumer staples (continued)        
Bakkafrost P/F   517,500   $26,368 
Vector Group, Ltd.   2,207,896    23,492 
AAK AB   1,081,159    19,457 
Humble Group AB1,2,3   22,368,627    18,613 
Avenue Supermarts, Ltd.2   417,313    18,467 
TreeHouse Foods, Inc.2   407,606    17,763 
PZ Cussons PLC   9,688,033    16,736 
First Pacific Co., Ltd.   35,296,000    13,942 
Lotus Bakeries NV   1,605    13,036 
Century Pacific Food, Inc.   25,901,000    12,801 
Icelandic Salmon AS2   515,000    8,389 
Elders, Ltd.   1,527,040    5,671 
DocMorris AG2,3   54,100    2,995 
Beyond Meat, Inc.2,3   73,395    706 
         2,040,228 
           
Energy 2.86%          
MEG Energy Corp.2   13,234,593    257,530 
Vallourec SA1,2   13,072,036    158,894 
Gaztransport & Technigaz SA   1,215,724    149,354 
New Fortress Energy, Inc., Class A3   4,464,500    146,346 
Weatherford International2   1,320,930    119,320 
Transocean, Ltd.2   11,026,050    90,524 
United Tractors Tbk PT   46,762,900    85,380 
Northern Oil and Gas, Inc.   2,000,000    80,460 
Championx Corp.   2,025,494    72,148 
Golar LNG, Ltd.   2,905,331    70,483 
Viper Energy Partners, LP   2,389,285    66,613 
Chesapeake Energy Corp.   767,162    66,152 
Cactus, Inc., Class A   1,149,091    57,696 
Subsea 7 SA   3,601,032    49,554 
Headwater Exploration, Inc.3   9,067,000    47,797 
Helmerich & Payne, Inc.   1,043,270    43,984 
Diamond Offshore Drilling, Inc.2   2,564,331    37,644 
Borr Drilling, Ltd.2,3   2,678,727    19,019 
Borr Drilling, Ltd. (NOK denominated)2   2,511,780    17,623 
Range Resources Corp.   1,000,000    32,410 
Equitrans Midstream Corp.   3,390,447    31,769 
Aegis Logistics, Ltd.   7,636,295    30,275 
Savannah Energy PLC1,2,3,4   96,128,672    27,715 
DT Midstream, Inc.   356,000    18,840 
Pason Systems, Inc.   1,596,000    15,840 
TechnipFMC PLC   750,595    15,267 
Vista Energy, SAB de CV, Class A (ADR)2   381,548    11,595 
         1,820,232 
           
Communication services 2.75%          
Iridium Communications, Inc.   4,852,828    220,755 
Iridium Communications, Inc.7   636,132    28,938 
Lions Gate Entertainment Corp., Class B2   18,748,762    147,553 
JCDecaux SE2   8,402,087    141,968 
Indosat Tbk PT   199,203,301    126,384 
TIM SA   36,639,957    108,537 
Hemnet Group AB1   5,755,130    101,562 
JYP Entertainment Corp.   1,179,024    98,078 
Frontier Communications Parent, Inc.2   5,713,739    89,420 
Ubisoft Entertainment SA2   2,615,048    84,705 
CTS Eventim AG & Co. KGaA   1,479,072    84,177 
New York Times Co., Class A   1,900,000    78,280 
Ascential PLC2   21,822,269    55,586 
Paradox Interactive AB   2,179,420    45,723 
JOYY, Inc., Class A (ADR)   1,177,618    44,879 
IHS Holding, Ltd.2,3   6,690,192    37,130 
S4 Capital PLC1,2   43,989,266    35,999 
Rightmove PLC   5,188,789    35,366 
YouGov PLC   2,997,794    27,399 
Schibsted ASA, Class A   1,084,595    24,448 
Kadokawa Corp.   1,075,000    21,502 
   
SMALLCAP World Fund 17
 
Common stocks (continued)  Shares   Value
(000)
 
Communication services (continued)        
Trustpilot Group PLC2   16,821,394   $21,085 
Toei Animation Co., Ltd.3   228,200    20,171 
Gogo, Inc.2   1,490,155    17,777 
PLAYSTUDIOS, Inc., Class A2   4,500,000    14,310 
Megacable Holdings, SAB de CV, ordinary participation certificates, units   6,425,211    14,143 
MTN Group, Ltd.   1,458,066    8,667 
Nextdoor Holdings, Inc., Class A2,3   4,315,268    7,854 
PROTO Corp.3   633,400    5,132 
Boat Rocker Media, Inc.2,3   2,611,926    3,365 
Viaplay Group AB, Class B2,3   742,636    2,385 
         1,753,278 
           
Real estate 1.72%          
Altus Group, Ltd.1,3   3,670,044    127,050 
DigitalBridge Group, Inc., Class A   6,523,773    114,688 
Corp. Inmobiliaria Vesta, SAB de CV   28,130,095    92,796 
Corp. Inmobiliaria Vesta, SAB de CV (ADR)   253,400    8,329 
Embassy Office Parks REIT   27,077,060    97,937 
PotlatchDeltic Corp. REIT   1,876,968    85,196 
Safestore Holdings PLC   8,110,595    72,780 
Macrotech Developers, Ltd.   5,273,048    50,793 
JHSF Participações SA1   48,472,472    45,902 
ESR-Logos REIT   222,463,669    45,523 
Fibra Uno Administración REIT, SA de CV3   25,000,000    41,673 
Multiplan Empreendimentos Imobiliários SA, ordinary nominative shares   7,237,633    35,378 
Four Corners Property Trust, Inc. REIT   1,582,553    35,117 
Mindspace Business Parks REIT   9,000,000    33,856 
TAG Immobilien AG2   2,559,112    26,866 
SRE Holdings Corp.1,2,3   1,290,828    25,409 
Zillow Group, Inc., Class C, nonvoting shares2   525,000    24,234 
K-Fast Holding AB, Class B1,2   15,781,928    19,762 
LXP Industrial Trust REIT   2,175,000    19,357 
Fastighets AB Balder, Class B2,3   3,821,000    17,107 
CTP NV   1,113,342    15,936 
StorageVault Canada, Inc.   4,307,048    14,333 
Swedish Logistic Property AB, Class B2   4,739,069    11,360 
Ayala Land, Inc.   21,494,200    11,183 
Douglas Elliman, Inc.3   4,216,866    9,530 
St. Joe Co.   167,101    9,079 
Genova Property Group AB2   2,126,731    7,307 
         1,098,481 
           
Utilities 0.60%          
Black Hills Corp.   2,579,893    130,517 
ACEN Corp.   749,358,624    65,009 
SembCorp Industries, Ltd.   13,415,085    49,872 
Neoenergia SA   13,037,148    47,749 
Brookfield Infrastructure Corp., Class A, subordinate voting shares3   1,299,614    45,947 
ENN Energy Holdings, Ltd.   3,166,000    26,167 
SJW Group   242,255    14,562 
Mytrah Energy, Ltd.1,2,4   10,418,000    127 
         379,950 
           
Total common stocks (cost: $46,096,455,000)        58,338,051 
           
Preferred securities 0.91%          
Information technology 0.35%          
PsiQuantum Corp., Series D, preferred shares2,4,5   1,334,542    41,331 
Skyryse, Inc., Series B, preferred shares1,2,4,5   1,649,110    36,627 
Outreach Corp., Series G, preferred shares2,4,5   1,554,053    33,940 
Kandou Holding SA, Series D, preferred shares2,4,5   4,400,000    30,800 
SiFive, Inc., Series F, preferred shares2,4,5   3,451,632    25,922 
ANDPAD, Inc., Series D, preferred shares2,4,5   459,413    21,927 
Patreon, Inc., Series E, preferred shares2,4,5   698,208    14,621 
Patreon, Inc., Series Seed, preferred shares2,4,5   163,096    3,415 
Yotpo, Ltd., Series F, preferred shares2,4,5   8,332,809    11,333 
Yotpo, Ltd., Series B, preferred shares2,4,5   1,111,347    1,511 
Yotpo, Ltd., Series C, preferred shares2,4,5   1,057,985    1,439 
   
18 SMALLCAP World Fund
 
Preferred securities (continued)  Shares   Value
(000)
 
Information technology (continued)        
Yotpo, Ltd., Series A-1, preferred shares2,4,5   709,592   $965 
Yotpo, Ltd., Series A, preferred shares2,4,5   345,899    470 
Yotpo, Ltd., Series C-1, preferred shares2,4,5   293,302    399 
Yotpo, Ltd., Series D, preferred shares2,4,5   163,552    222 
Yotpo, Ltd., Series B-1, preferred shares2,4,5   130,625    178 
         225,100 
           
Industrials 0.22%          
Relativity Space, Inc., Series D, preferred shares2,4,5   2,143,751    45,726 
Relativity Space, Inc., Series E, preferred shares2,4,5   464,197    9,902 
Einride AB, Series B, preferred shares1,2,4,5   1,334,588    44,160 
Einride AB, Series A, preferred shares1,2,4,5   11,990    397 
ABL Space Systems Co., Series B, preferred shares2,4,5   777,162    20,199 
WorkRise Technologies, Inc., Series E, preferred shares2,4,5   95,423    19,820 
         140,204 
           
Health care 0.17%          
Laronde, Inc., Series B, 6.00% preferred shares2,4,5   1,785,714    32,375 
Rapport Therapeutics, Inc., Series B, 8.00% noncumulative preferred shares1,2,4,5   12,520,345    21,000 
InSilico Medicine Cayman TopCo, Series D, preferred shares2,4,5   605,423    19,192 
KRY International AB, Series E, preferred shares2,4,5   114,059    18,817 
ClearNote Health, Inc., Series C, 5.00% noncumulative preferred shares1,2,4,5   1,531,102    11,330 
Artiva Biotherapeutics, Inc., Series B, preferred shares2,4,5   636,364    6,720 
PACT Pharma, Inc., Series C, 8.00% noncumulative preferred shares2,4,5   4,397,107    44 
         109,478 
           
Financials 0.09%          
PPRO Holding GmbH, Series B-1, 8.00% preferred shares1,2,4,5   13,618    35,920 
Pine Labs Pte., Ltd., Series J, cumulative preferred shares2,4,5   57,100    19,748 
         55,668 
           
Real estate 0.06%          
QuintoAndar, Ltd., Series E-1, preference shares2,4,5   244,733    37,461 
           
Consumer discretionary 0.02%          
StockX, Inc., Series E-1, preferred shares2,4,5   222,222    8,693 
StockX, Inc., Series AA, preferred shares2,4,5   57,338    2,243 
StockX, Inc., Series B, preferred shares2,4,5   3,094    121 
         11,057 
           
Total preferred securities (cost: $697,327,000)        578,968 
           
Rights & warrants 0.14%          
Industrials 0.07%          
Warom Technology, Inc. Co., Class A, warrants, expire 9/30/20242,7   8,603,931    25,679 
Centre Testing International Group Co., Ltd., Class A, warrants, expire 3/20/20242,7   7,265,018    18,562 
Guangzhou Baiyun International Airport Co., Ltd., Class A, warrants, expire 8/23/20242,7   263,149    404 
Momentus, Inc., warrants, expire 5/15/20262   2,225,000    22 
         44,667 
           
Information technology 0.07%          
OPT Machine Vision Tech Co., Ltd., Class A, warrants, expire 1/27/20252,7   2,838,640    44,184 
Foursquare Labs, Inc., Series A, warrants, expire 12/4/20332,4,5   1,163,990    9 
Kandou Holding SA, warrants, expire 8/18/20282,4,5   2,257,143    6 
         44,193 
           
Total rights & warrants (cost: $117,845,000)        88,860 
           
Convertible stocks 0.09%          
Utilities 0.05%          
TAE Technologies, Inc., Series G2, 4.00% cumulative convertible preferred shares4,5   300,000    28,713 
   
SMALLCAP World Fund 19
 
Convertible stocks (continued)  Shares   Value
(000)
 
Information technology 0.04%        
Tarana Wireless, Inc., Series 6, noncumulative convertible preferred shares4,5   14,888,589   $15,922 
Tarana Wireless, Inc., Series 7, noncumulative convertible preferred shares4,5   935,103    1,000 
RealSelf, Inc., Series C, convertible preferred shares1,2,4,5   3,468,862    9,921 
         26,843 
           
Total convertible stocks (cost: $62,179,000)        55,556 
           
Convertible bonds & notes 0.00%Principal amount
(000)
      
Health care 0.00%          
ClearNote Health, Inc., convertible notes, 8.00% 10/28/20251,4,5  USD2,000    2,000 
           
Total convertible bonds & notes (cost: $2,000,000)        2,000 
           
Short-term securities 8.62%   Shares      
Money market investments 8.05%          
Capital Group Central Cash Fund 5.44%1,8   51,292,533    5,128,740 
           
Money market investments purchased with collateral from securities on loan 0.57%          
Capital Group Central Cash Fund 5.44%1,8,9   599,504    59,944 
Invesco Short-Term Investments Trust – Government & Agency Portfolio, Institutional Class 5.26%8,9   52,014,580    52,015 
BlackRock Liquidity Funds – FedFund, Institutional Shares 5.24%8,9   43,300,000    43,300 
Dreyfus Treasury Obligations Cash Management, Institutional Shares 5.23%8,9   43,300,000    43,300 
Morgan Stanley Institutional Liquidity Funds – Government Portfolio, Institutional Class 5.27%8,9   43,300,000    43,300 
Goldman Sachs Financial Square Government Fund, Institutional Shares 5.24%8,9   39,500,000    39,500 
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.29%8,9   35,900,000    35,900 
Fidelity Investments Money Market Government Portfolio, Class I 5.23%8,9   25,100,000    25,100 
RBC Funds Trust – U.S. Government Money Market Fund, RBC Institutional Class 1 5.27%8,9   17,900,000    17,900 
         360,259 
           
Total short-term securities (cost: $5,488,846,000)        5,488,999 
Total investment securities 101.36% (cost: $52,464,652,000)        64,552,434 
Other assets less liabilities (1.36)%        (864,215)
           
Net assets 100.00%       $63,688,219 

 

Investments in affiliates1

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
Common stocks 24.68%                                   
Industrials 7.34%                                   
Saia, Inc.2  $373,449   $29,281   $45,752   $15,569   $   417,810   $790,357   $ 
Diploma PLC   247,981    32,517            111,239    391,737    6,875 
Comfort Systems USA, Inc.   248,847    60,810    100,284    24,437    154,548    388,358    1,798 
Interpump Group SpA   170,547    138,838    1,727    9    54,447    362,114    1,906 
ATS Corp.2,10   149,940    55,215            107,719    312,874     
AZEK Co., Inc. (The), Class A2   94,533    124,687    89,074    23,866    116,296    270,308     
Arcosa, Inc.   220,883    299    57,411    5,433    43,161    212,365    706 
Wizz Air Holdings PLC2   124,398    19,418    17,783    (9,942)   53,210    169,301     
EnPro Industries, Inc.   123,697    5,677    17,648    339    53,123    165,188    1,538 
Visional, Inc.2,3   184,944    5,552            (33,412)   157,084     
   
20 SMALLCAP World Fund
 

Investments in affiliates1 (continued)

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
Carel Industries SpA  $112,363   $30,581   $23,627   $13,008   $10,603   $142,928   $969 
Kadant, Inc.   95,935    27,142    18,155    (1,089)   34,156    137,989    628 
Harmonic Drive Systems, Inc.3   153,146    48,120    28,454    (13,373)   (30,092)   129,347    1,090 
ICF International, Inc.   9,993    101,447            6,770    118,210    416 
Enerpac Tool Group Corp., Class A       112,313            (549)   111,764     
Japan Elevator Service Holdings Co., Ltd.   91,582    64,861    67,318    (19,096)   23,482    93,511    886 
Johns Lyng Group, Ltd.3   81,872    1,170            4,507    87,549    1,248 
DO & CO AG, non-registered shares3   51,410                34,116    85,526    867 
dip Corp.   85,046                (2,830)   82,216    1,892 
Daiseki Co., Ltd.3   10,758    79,487            (10,513)   79,732    1,057 
Titagarh Rail Systems, Ltd.       34,905            34,197    69,102    46 
Volution Group PLC   50,954                17,977    68,931    1,432 
Instalco AB   71,184    12,374    7,810    (1,411)   (17,453)   56,884    1,337 
Marlowe PLC2,3   61,893                (12,801)   49,092     
NORMA Group SE, non-registered shares       57,963            (11,570)   46,393    1,031 
Montana Aerospace AG2   34,688    976            6,110    41,774     
Fasadgruppen Group AB3   29,797    804            (9,690)   20,911    653 
Norva24 Group AB2   4,708    21,702            (10,000)   16,410     
Einride AB2,4,5   17,834    1,604            (4,936)   14,502     
Alfen NV2,3,11   109,251        17,033    14,921    (64,281)        
Antares Vision SpA2,3,11   37,577        949    (2,087)   (16,188)        
Armstrong World Industries, Inc.11   228,843    14,086    81,364    (31,150)   12,502        2,040 
BayCurrent Consulting, Inc.11   296,667    30,405    192,149    61,183    43,189        2,577 
Interface, Inc.12   42,442        48,469    (7,870)   13,897        47 
Japan Airport Terminal Co., Ltd.11   204,235    52,223    152,495    (2,325)   20,570        870 
KEI Industries, Ltd.11   79,713    10,314    25,834    8,083    43,332        143 
Midac Holdings Co., Ltd.3,11   42,395        10,397    (5,589)   (10,544)       56 
Montrose Environmental Group, Inc.12   54,645        55,334    312    377         
Pegasus Hava Tasimaciligi AS12   68,307        113,674    62,804    (17,437)        
Reliance Worldwide Corp., Ltd.11       95,873    42,965    4,493    10,877        3,044 
Skymark Airlines, Inc.12       39,196    36,719    (2,477)           170 
Upwork, Inc.2,11   24,381    78,421    41,239    (5,489)   (3,848)        
                             4,672,457      
Consumer discretionary 4.84%                                     
TopBuild Corp.2   349,352    55,625    12,958    6,279    209,326    607,624     
Tube Investments of India, Ltd.   410,555        18,971    9,846    16,581    418,011    494 
YETI Holdings, Inc.2   196,619    23,637    16,877    (13,234)   144,437    334,582     
MakeMyTrip, Ltd.2   119,017    18,521    3,986    241    47,158    180,951     
Cavco Industries, Inc.2   35,158    105,442            15,821    156,421     
WH Smith PLC   108,181    19,728    2,568    (467)   26,016    150,890    1,952 
Boot Barn Holdings, Inc.2   23,209    98,010            23,884    145,103     
Pets at Home Group PLC   96,500    3,563            37,934    137,997    5,279 
Watches of Switzerland Group PLC2   71,302    90,774            (37,754)   124,322     
Domino’s Pizza Group PLC   60,604    6,455            53,533    120,592    3,241 
Jack in the Box, Inc.   93,084    31,438            (13,570)   110,952    2,438 
DPC Dash, Ltd.2   10,835    54,898            16,247    81,980     
Malibu Boats, Inc., Class A2   40,840    43,982            (3,988)   80,834     
Golden Entertainment, Inc.   66,178    15,374            (4,501)   77,051    4,509 
Auction Technology Group PLC2   76,577    1,173            (873)   76,877     
Shoei Co., Ltd.3   44,358    35,130            (13,833)   65,655    2,235 

 

SMALLCAP World Fund 21
 

Investments in affiliates1 (continued)

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
Victoria PLC2  $33,462   $11,467   $   $   $13,524   $58,453   $ 
Musti Group OYJ   46,469        4,663    (5,825)   9,529    45,510    1,303 
Beazer Homes USA, Inc.2   16,050                25,296    41,346     
AcadeMedia AB   28,256    3,991    7,600    (1,146)   1,655    25,156    1,087 
MasterCraft Boat Holdings, Inc.2       28,281            (6,615)   21,666     
Snow Peak, Inc.3   46,400        3,182    (6,164)   (15,996)   21,058    272 
BNN Technology PLC2,4   6                6    6     
Bajaj Electricals, Ltd.12   96,037        86,795    54,712    (63,954)        
Bike24 Holding AG12   7,135        8,943    (44,529)   46,337         
Dreamfolks Services, Ltd.12   10,390    1,429    16,805    5,445    (459)       12 
Everi Holdings, Inc.12   79,809        80,660    57,018    (56,167)        
Helen of Troy, Ltd.2,11   139,040    14,056    46,938    (49,524)   68,813         
IDP Education, Ltd.11   200,438    67,700    86,596    (23,546)   (22,621)       3,786 
JOANN, Inc.12   18,068        4,531    (29,418)   15,881         
Kindred Group PLC (SDR)11   119,302    49,923    105,267    (14,690)   50,936        6,240 
Lojas Quero-Quero SA12   16,156        12,481    (20,490)   16,815         
NEXTAGE Co., Ltd.12   100,390    39,516    90,399    (43,308)   (6,199)       829 
Porch Group, Inc.12   12,420        6,554    (27,491)   21,625         
Traeger, Inc.2,11   14,732    2,892            (712)        
                             3,083,031      
Information technology 4.42%                                   
eMemory Technology, Inc.   227,400        64,416    4,997    166,808    334,789    3,924 
Smartsheet, Inc., Class A2   218,334    60,792    31,635    (1,090)   42,344    288,745     
ALTEN SA, non-registered shares   190,817    12,530            38,849    242,196    2,984 
Kulicke and Soffa Industries, Inc.   184,251        3,860    (1,904)   50,044    228,531    3,572 
Socionext, Inc.3       146,853    119,720    69,041    104,181    200,355    4,561 
Rogers Corp.2       191,503            (23,766)   167,737     
Maruwa Co., Ltd.3   36,196    104,091            14,730    155,017    387 
Nordic Semiconductor ASA2   112,390    89,268            (49,412)   152,246     
Dexerials Corp.3   116,270                11,016    127,286    2,568 
Keywords Studios PLC   130,461    36,520            (47,813)   119,168    169 
Tanla Platforms, Ltd.   87,331                27,467    114,798    445 
Money Forward, Inc.2   75,953    9,648    13,716    (6,675)   48,520    113,730     
Semtech Corp.2   17,205    85,028    17,410    (3,091)   16,135    97,867     
Bytes Technology Group PLC   70,523    33,791    24,952    (14,740)   31,651    96,273    2,682 
PAR Technology Corp.2,3   63,196        10,461    (13,982)   32,163    70,916     
Mastek, Ltd.   50,944    1,190            18,639    70,773    559 
Megaport, Ltd.2   44,425                25,584    70,009     
Tri Chemical Laboratories, Inc.3       49,744            3,711    53,455     
Lumine Group, Inc., subordinate voting shares2       43,928            6,592    50,520     
Noventiq Holdings PLC (GDR)2,4,7,10   8,810                25,789    34,599     
Noventiq Holdings PLC (GDR)2,4,10   8    6            24    32     
SmartCraft ASA, Class A2   18,628    707            7,943    27,278     
Cherry SE2,3,11   7,364        1,317    (8,744)   8,345         
Crayon Group Holding ASA2,11   50,857        48,395    (46,465)   46,013         
Credo Technology Group Holding, Ltd.2,11   90,141    33,123    84,373    37,388    9,590         
Extreme Networks, Inc.12   113,015    2,466    174,821    74,269    (14,929)        
Fabrinet, non-registered shares2,11   183,194    9,273    45,490    310    123,591         
Global Unichip Corp.11   183,868        82,524    27,104    155,487        3,243 
MotorK, Ltd.12   5,468        5,495    (11,784)   11,811         

 

22 SMALLCAP World Fund
 

Investments in affiliates1 (continued)

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
Net One Systems Co., Ltd.11  $99,485   $32,545   $111,391   $(6,443)  $4,553   $   $2,139 
Network International Holdings PLC12   108,706    45,557    198,583    2,262    42,058         
SINBON Electronics Co., Ltd.11   80,772    98,750    100,751    2,858    20,047        2,693 
TDCX, Inc., Class A12   16,688        10,696    (5,319)   (673)        
WeCommerce Holdings, Ltd., Class A12   3,060        5,475    (14,619)   17,034         
Zuken, Inc.3,11   44,123    2,294    24,219    (8,377)   7,221        315 
                             2,816,320      
Health care 2.62%                                   
Max Healthcare Institute, Ltd.   335,885    10,149    116,741    28,603    80,761    338,657    596 
Haemonetics Corp.2   303,065    5,077    85,469    9,558    42,866    275,097     
CONMED Corp.   123,341    75,096    16,140    (3,061)   41,724    220,960    1,710 
Xenon Pharmaceuticals, Inc.2   141,421    29,526            (9,669)   161,278     
Amvis Holdings, Inc.   115,541        6,689    (2,851)   7,760    113,761    131 
Tandem Diabetes Care, Inc.2   102,423    100,894            (103,955)   99,362     
Revance Therapeutics, Inc.2   170,476    14,050    8,176    1,443    (100,596)   77,197     
Zentalis Pharmaceuticals, Inc.2   14,794    69,829            (8,179)   76,444     
BONESUPPORT Holding AB2   17,459    30,987            12,024    60,470     
Netcare, Ltd.   40,809    15,130            (3,419)   52,520    2,313 
Jeisys Medical, Inc.2   2,730    30,391            17,460    50,581     
Surgical Science Sweden AB2   43,622                1,368    44,990     
Silk Road Medical, Inc.2   125,623    7,529            (88,681)   44,471     
Ocumension Therapeutics2   48,977        1,744    (7,511)   (4,639)   35,083     
Nordhealth AS, Class A2   9,375                2,532    11,907     
Precision BioSciences, Inc.2   8,730                (6,438)   2,292     
Addus HomeCare Corp.12   89,421        84,351    (2,094)   (2,976)        
Creo Medical Group PLC2,11   6,962        3,819    (21,713)   19,080         
Genus PLC11   64,841    41,556    57,254    (24,965)   15,657        1,128 
Medmix AG11   40,482    5,588    26,249    (40,247)   48,660        514 
New Horizon Health, Ltd.12   42,209        71,503    (37,752)   67,046         
                             1,665,070      
Financials 2.01%                                   
Essent Group, Ltd.   197,178    120,203            89,543    406,924    7,734 
IIFL Finance, Ltd.   99,987    27,325    2,217    926    73,470    199,491    1,367 
360 ONE WAM, Ltd.10   98,842    61,596            11,973    172,411    5,165 
Goosehead Insurance, Inc., Class A2   29,879    45,801    492    (955)   68,002    142,235     
AUB Group, Ltd.   62,367    11,503            36,329    110,199    2,393 
BFF Bank SpA       100,947            321    101,268    8,120 
Trupanion, Inc.2   190,990    12,149    11,767    (22,641)   (75,750)   92,981     
Boku, Inc.2,3,5   25,379                11,028    36,407     
Hellenic Exchanges - Athens Stock Exchange SA   10,361                7,339    17,700    591 
Aavas Financiers, Ltd.2,11   165,167    28,369    110,696    (47,690)   (12,726)        
Independent Bank Group, Inc.12   132,980    3,339    94,061    (44,244)   1,986        1,844 
Patria Investments, Ltd., Class A11   90,226    7,304    21,417    (3,727)   13,632        5,966 
Seacoast Banking Corporation of Florida12   125,663    19,495    111,167    (19,896)   (14,095)       1,541 
                             1,279,616      
Materials 1.53%                                   
APL Apollo Tubes, Ltd.   198,170    29,206            108,964    336,340    1,040 
LANXESS AG   144,010    77,794            (46,043)   175,761    7,139 
Zeon Corp.3       156,417            5,463    161,880    3,792 
Materion Corp.   9,723    102,144    9,547    930    21,339    124,589    539 

 

SMALLCAP World Fund 23
 

Investments in affiliates1 (continued)

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
FUJIMI INCORPORATED3  $25,022   $57,668   $   $   $18,925   $101,615   $2,580 
MEC Co., Ltd.       40,539            (824)   39,715    5 
Aluflexpack AG2,3   23,652                (6,488)   17,164     
Re:NewCell AB2,3   17,542    1,558    2,156    (4,069)   3,840    16,715     
Perimeter Solutions SA12   94,450    45,130    125,935    (37,110)   23,465         
Toyo Gosei Co., Ltd.3,11   28,289        22,473    (14,259)   21,940        137 
Venator Materials PLC12   7,497        3,820    (18,180)   14,503         
                             973,779      
Consumer staples 1.07%                                   
Emmi AG   247,648                52,185    299,833    5,160 
Simply Good Foods Co.2   184,598    4,908            14,088    203,594     
Grocery Outlet Holding Corp.2   196,915    9,075    18,052    (3,143)   (23,409)   161,386     
Humble Group AB2,3   9,409    6,775            2,429    18,613     
Milbon Co., Ltd.3,11   104,902    7,598    35,941    (30,476)   (5,764)       1,472 
Redcare Pharmacy NV, non-registered shares2,10,11   46,389    3,059    35,189    3,761    72,886         
Sok Marketler Ticaret AS, non-registered shares12   41,357        55,942    9,642    4,943         
Sovos Brands, Inc.2,11   71,925    4,150    73,046    28,294    16,401         
                             683,426      
Energy 0.29%                                   
Vallourec SA2   96,289    41,878            20,727    158,894     
Savannah Energy PLC2,3,4   29,272                (1,557)   27,715     
Northern Oil and Gas, Inc.11   165,940        128,799    71,427    (28,108)       5,103 
                             186,609      
Communication services 0.22%                                   
Hemnet Group AB   32,459    44,543            24,560    101,562    506 
S4 Capital PLC2       50,604            (14,605)   35,999     
Direct Marketing MIX, Inc.12   27,521    13,018    15,614    (28,215)   3,290        374 
Pebble Group PLC12   13,532        14,304    (4,473)   5,245         
                             137,561      
Real estate 0.34%                                   
Altus Group, Ltd.3   117,322    10,818    9,062    (1,923)   9,895    127,050    1,623 
JHSF Participações SA   65,466    1,028            (20,592)   45,902    4,525 
SRE Holdings Corp.2,3   27,781                (2,372)   25,409     
K-Fast Holding AB, Class B2   24,470    3,628            (8,336)   19,762     
DigitalBridge Group, Inc., Class A11   96,429    21,141    43,470    (30,748)   71,336        251 
Genova Property Group AB2,11   10,794                (3,487)        
                             218,123      
Utilities 0.00%                                   
Mytrah Energy, Ltd.2,4   116                11    127     
Total common stocks                            15,716,119      
Preferred securities 0.23%                                   
Information technology 0.06%                                   
Skyryse, Inc., Series B, preferred shares2,4,5   40,700                (4,073)   36,627     
Industrials 0.07%                                   
Einride AB, Series B, preferred shares2,4,5   60,860                (16,700)   44,160     
Einride AB, Series A, preferred shares2,4,5   547                (150)   397     
Relativity Space, Inc., Series D, preferred shares2,4,5,11   39,166                6,560         
Relativity Space, Inc., Series E, preferred shares2,4,5,11   8,481                1,421         
                             44,557      

 

24 SMALLCAP World Fund
 

Investments in affiliates1 (continued)

 

   Value of
affiliates at
10/1/2022
(000)
   Additions
(000)
   Reductions
(000)
   Net
realized
gain (loss)
(000)
   Net
unrealized
appreciation
(depreciation)
(000)
   Value of
affiliates at
9/30/2023
(000)
   Dividend
or interest
income
(000)
 
Health care 0.05%                                   
Rapport Therapeutics, Inc., Series B, 8.00% noncumulative preferred shares2,4,5  $   $21,000   $   $   $   $21,000   $ 
ClearNote Health, Inc., Series C, 5.00% noncumulative preferred shares2,4,5,10   9,814                1,516    11,330     
                             32,330      
Financials 0.05%                                   
PPRO Holding GmbH, Series B-1, 8.00% preferred shares2,4,5   57,732                (21,812)   35,920     
Total preferred securities                            149,434      
Convertible stocks 0.02%                                   
Information technology 0.02%                                   
RealSelf, Inc., Series C, convertible preferred shares2,4,5   10,163                (242)   9,921     
Convertible bonds & notes 0.00%                                   
Health care 0.00%                                   
ClearNote Health, Inc., convertible notes, 8.00% 10/28/20254,5,10       2,000                2,000    148 
Industrials 0.00%                                   
Einride AB, convertible notes, 7.00% 2/1/202312   1,895        1,500        (395)       32 
Total convertible bonds & notes                            2,000      
Short-term securities 8.15%                                   
Money market investments 8.05%                                   
Capital Group Central Cash Fund 5.44%8   4,775,818    5,545,859    5,192,959    (58)   80    5,128,740    205,840 
Money market investments purchased with collateral from securities on loan 0.10%                                   
Capital Group Central Cash Fund 5.44%8,9   290,972         231,02813              59,944    14 
Total short-term securities                            5,188,684      
Total 33.08%                 $(236,153)  $3,328,017   $21,066,158   $380,619 

 

Restricted securities5

 

   Acquisition
date(s)
  Cost
(000)
   Value
(000)
   Percent
of net
assets
 
Structure Therapeutics, Inc.2  9/29/2023  $53,466   $67,628    .11%
Einride AB, Series B, preferred shares1,2,4  3/23/2021-5/6/2021   18,753    44,160    .07 
Einride AB1,2,4  7/16/2021-2/1/2023   10,542    14,502    .02 
Einride AB, Series A, preferred shares1,2,4  10/11/2021   311    397    .0015 
Relativity Space, Inc., Series D, preferred shares2,4  11/20/2020   32,000    45,726    .07 
Relativity Space, Inc., Series E, preferred shares2,4  5/27/2021   10,600    9,902    .02 
Pine Labs Pte., Ltd.2,4  5/12/2021   28,710    26,630    .04 
Pine Labs Pte., Ltd., Series J, cumulative preferred shares2,4  5/12/2021   21,291    19,748    .03 
PsiQuantum Corp., Series D, preferred shares2,4  5/28/2021   35,000    41,331    .07 
QuintoAndar, Ltd., Series E-1, preference shares2,4  12/20/2021   50,000    37,461    .06 
Skyryse, Inc., Series B, preferred shares1,2,4  10/21/2021   40,700    36,627    .06 
Boku, Inc.1,2,3  2/11/2021-9/21/2021   48,584    36,407    .06 
PPRO Holding GmbH, Series B-1, 8.00% preferred shares1,2,4  1/28/2021   48,694    35,920    .06 
Outreach Corp., Series G, preferred shares2,4  5/27/2021   45,482    33,940    .05 
Laronde, Inc., Series B, 6.00% preferred shares2,4  8/10/2021   50,000    32,375    .05 
Kandou Holding SA, Series D, preferred shares2,4  11/17/2021-8/18/2023   30,800    30,800    .05 

 

SMALLCAP World Fund 25
 

Restricted securities5 (continued)

 

   Acquisition
date(s)
  Cost
(000)
   Value
(000)
   Percent
of net
assets
 
Kandou Holding SA, warrants, expire 8/18/20282,4  8/18/2023  $6   $6    .00%15 
TAE Technologies, Inc., Series G2, 4.00% cumulative convertible preferred shares4  7/7/2022   30,000    28,713    .05 
Dock, Ltd.2,4  10/19/2020   26,000    28,419    .04 
SiFive, Inc., Series F, preferred shares2,4  3/16/2022   25,000    25,922    .04 
BridgeBio Pharma, Inc.2  9/25/2023   26,333    24,191    .04 
KRY International AB, Series E, preferred shares2,4  5/13/2021   51,891    18,817    .03 
KRY International AB, Series A2,4  5/13/2021   8,533    3,257    .0015 
Patreon, Inc., Series E, preferred shares2,4  9/1/2020   11,944    14,621    .02 
Patreon, Inc., Class B2,4  10/26/2020-10/27/2020   3,255    3,978    .01 
Patreon, Inc., Series Seed, preferred shares2,4  9/16/2020   2,790    3,415    .0015 
ANDPAD, Inc., Series D, preferred shares2,4  6/30/2022   19,506    21,927    .03 
Rapport Therapeutics, Inc., Series B, 8.00% noncumulative preferred shares1,2,4  8/7/2023-8/31/2023   21,000    21,000    .03 
ABL Space Systems Co., Series B, preferred shares2,4  3/24/2021   35,000    20,199    .03 
Yotpo, Ltd., Series F, preferred shares2,4  2/25/2021   18,329    11,333    .02 
Yotpo, Ltd.2,4  3/16/2021   5,475    3,563    .01 
Yotpo, Ltd., Series B, preferred shares2,4  3/16/2021   2,322    1,511    .0015 
Yotpo, Ltd., Series C, preferred shares2,4  3/16/2021   2,211    1,439    .0015 
Yotpo, Ltd., Series A-1, preferred shares2,4  3/16/2021   1,483    965    .0015 
Yotpo, Ltd., Series A, preferred shares2,4  3/16/2021   723    470    .0015 
Yotpo, Ltd., Series C-1, preferred shares2,4  3/16/2021   613    399    .0015 
Yotpo, Ltd., Series D, preferred shares2,4  3/16/2021   341    222    .0015 
Yotpo, Ltd., Series B-1, preferred shares2,4  3/16/2021   273    178    .0015 
WorkRise Technologies, Inc., Series E, preferred shares2,4  3/8/2021   40,000    19,820    .03 
InSilico Medicine Cayman TopCo, Series D, preferred shares2,4  5/13/2022-7/18/2022   23,685    19,192    .03 
StockX, Inc., Series E-1, preferred shares2,4  4/15/2021   20,000    8,693    .02 
StockX, Inc.2,4  4/5/2021   14,682    6,329    .01 
StockX, Inc., Series AA, preferred shares2,4  4/5/2021   5,203    2,243    .0015 
StockX, Inc., Series B, preferred shares2,4  4/5/2021   281    121    .0015 
Tarana Wireless, Inc., Series 6, noncumulative convertible preferred shares4  2/18/2022   12,179    15,922    .03 
Tarana Wireless, Inc., Series 7, noncumulative convertible preferred shares4  6/27/2023   1,000    1,000    .0015 
ClearNote Health, Inc., Series C, 5.00% noncumulative preferred shares1,2,4  4/26/2021   15,101    11,330    .02 
ClearNote Health, Inc., convertible notes, 8.00% 10/28/20251,4  12/1/2022   2,000    2,000    .0015 
RealSelf, Inc., Series C, convertible preferred shares1,2,4  4/18/2018   19,000    9,921    .02 
Artiva Biotherapeutics, Inc., Series B, preferred shares2,4  2/24/2021   7,000    6,720    .01 
Foursquare Labs, Inc., Series A2,4  12/3/2013   20,000    2,364    .0015 
Foursquare Labs, Inc., Series A, warrants, expire 12/4/20332,4  8/22/2014   6    9    .0015 
PACT Pharma, Inc., Series C, 8.00% noncumulative preferred shares2,4  2/7/2020   9,000    44    .0015 
Total     $1,007,086   $853,801    1.34%

 

26 SMALLCAP World Fund
 

1 Affiliate of the fund or part of the same “group of investment companies” as the fund, as defined under the Investment Company Act of 1940, as amended.
2 Security did not produce income during the last 12 months.
3 All or a portion of this security was on loan. The total value of all such securities was $846,284,000, which represented 1.33% of the net assets of the fund. Refer to Note 5 for more information on securities lending.
4 Value determined using significant unobservable inputs.
5 Restricted security, other than Rule 144A securities or commercial paper issued pursuant to Section 4(a)(2) of the Securities Act of 1933. The total value of all such restricted securities was $853,801,000, which represented 1.34% of the net assets of the fund.
6 Amount less than one thousand.
7 Acquired in a transaction exempt from registration under Rule 144A or, for commercial paper, Section 4(a)(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 $152,851,000, which represented .24% of the net assets of the fund.
8 Rate represents the seven-day yield at 9/30/2023.
9 Security purchased with cash collateral from securities on loan. Refer to Note 5 for more information on securities lending.
10 This security changed its name during the reporting period.
11 Affiliated issuer during the reporting period but no longer an affiliate at 9/30/2023. Refer to the investment portfolio for the security value at 9/30/2023.
12 Affiliated issuer during the reporting period but no longer held at 9/30/2023.
13 Represents net activity. Refer to Note 5 for more information on securities lending.
14 Dividend income is included with securities lending income in the fund’s statement of operations and is not shown in this table.
15 Amount less than .01%.

 

Key to abbreviations

ADR = American Depositary Receipts

CAD = Canadian dollars

CDI = CREST Depository Interest

GDR = Global Depositary Receipts

NOK = Norwegian kroner

REIT = Real Estate Investment Trust

SDR = Swedish Depositary Receipts

USD = U.S. dollars

 

Refer to the notes to financial statements.

 

SMALLCAP World Fund 27
 

Financial statements

 

Statement of assets and liabilities  
at September 30, 2023 (dollars in thousands)

 

Assets:      
Investment securities, at value (includes $846,284 of investment securities on loan):          
Unaffiliated issuers (cost: $33,848,008)  $43,486,276      
Affiliated issuers (cost: $18,616,644)   21,066,158   $64,552,434 
Cash        5,880 
Cash denominated in currencies other than U.S. dollars (cost: $9,075)        9,074 
Receivables for:          
Sales of investments   67,279      
Sales of fund’s shares   61,027      
Dividends and interest   92,165      
Securities lending income   1,396      
Other   41    221,908 
         64,789,296 
Liabilities:          
Collateral for securities on loan        360,259 
Payables for:          
Purchases of investments   463,007      
Repurchases of fund’s shares   32,544      
Investment advisory services   32,597      
Services provided by related parties   10,293      
Directors’ deferred compensation   4,468      
Non-U.S. taxes   195,032      
Other   2,877    740,818 
Net assets at September 30, 2023       $63,688,219 
           
Net assets consist of:          
Capital paid in on shares of capital stock       $52,964,156 
Total distributable earnings        10,724,063 
Net assets at September 30, 2023       $63,688,219 

 

Refer to the notes to financial statements.

 

28 SMALLCAP World Fund
 

Financial statements (continued)

 

Statement of assets and liabilities  
at September 30, 2023 (continued) (dollars and shares in thousands, except per-share amounts)

 

Total authorized capital stock — 2,000,000 shares,
$.01 par value (1,065,122 total shares outstanding)

 

   Net assets    Shares
outstanding
   Net asset value
per share
 
Class A  $25,283,133    429,061   $58.93 
Class C   348,580    7,307    47.70 
Class T   12    *   59.82 
Class F-1   446,428    7,704    57.95 
Class F-2   8,514,327    140,167    60.74 
Class F-3   5,017,780    83,126    60.36 
Class 529-A   1,473,237    25,421    57.95 
Class 529-C   37,014    760    48.72 
Class 529-E   49,731    901    55.22 
Class 529-T   16    *   59.65 
Class 529-F-1   9    *   59.51 
Class 529-F-2   223,020    3,764    59.25 
Class 529-F-3   10    *   59.33 
Class R-1   26,130    526    49.73 
Class R-2   427,896    8,596    49.78 
Class R-2E   30,550    538    56.77 
Class R-3   611,221    11,127    54.93 
Class R-4   584,528    10,006    58.42 
Class R-5E   166,209    2,787    59.64 
Class R-5   288,390    4,652    61.99 
Class R-6   20,159,998    328,679    61.34 

 

* Amount less than one thousand.

 

Refer to the notes to financial statements.

 

SMALLCAP World Fund 29
 

Financial statements (continued)

 

Statement of operations  
for the year ended September 30, 2023 (dollars in thousands)

 

Investment income:        
Income:        
Dividends (net of non-U.S. taxes of $48,817; also includes $380,439 from affiliates)  $896,815      
Securities lending income (net of fees)   25,949      
Interest (includes $180 from affiliates)   9,267   $932,031 
Fees and expenses*:          
Investment advisory services   385,210      
Distribution services   81,910      
Transfer agent services   55,022      
Administrative services   19,044      
529 plan services   1,113      
Reports to shareholders   2,287      
Registration statement and prospectus   2,050      
Directors’ compensation   733      
Auditing and legal   221      
Custodian   6,242      
State and local taxes   1      
Other   1,021    554,854 
Net investment income        377,177 
           
Net realized loss and unrealized appreciation:          
Net realized loss on:          
Investments (net of non-U.S. taxes of $30,856):          
Unaffiliated issuers   (151,506)     
Affiliated issuers   (236,153)     
Currency transactions   (8,340)   (395,999)
Net unrealized appreciation on:          
Investments (net of non-U.S. taxes of $191,530):          
Unaffiliated issuers   4,170,341      
Affiliated issuers   3,328,017      
Currency translations   332    7,498,690 
Net realized loss and unrealized appreciation        7,102,691 
Net increase in net assets resulting from operations       $7,479,868 

 

* Additional information related to class-specific fees and expenses is included in the notes to financial statements.

 

Statements of changes in net assets  
  (dollars in thousands)

 

   Year ended September 30, 
   2023   2022 
Operations:        
Net investment income  $377,177   $66,217 
Net realized loss   (395,999)   (453,940)
Net unrealized appreciation (depreciation)   7,498,690    (29,397,182)
Net increase (decrease) in net assets resulting from operations   7,479,868    (29,784,905)
           
Distributions paid to shareholders   (90,904)   (6,882,670)
           
Net capital share transactions   719,111    11,033,527 
           
Total increase (decrease) in net assets   8,108,075    (25,634,048)
           
Net assets:          
Beginning of year   55,580,144    81,214,192 
End of year  $63,688,219   $55,580,144 

 

Refer to the notes to financial statements.

 

30 SMALLCAP World Fund
 

Notes to financial statements

 

1. Organization

 

SMALLCAP World Fund, Inc. (the “fund”) is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end, diversified management investment company. The fund seeks to provide long-term growth of capital. Shareholders approved a proposal to reorganize the fund from a Maryland corporation to a Delaware statutory trust. The reorganization may be completed in the next year; however, the fund reserves the right to delay the implementation.

 

The fund has 21 share classes consisting of six retail share classes (Classes A, C, T, F-1, F-2 and F-3), seven 529 college savings plan share classes (Classes 529-A, 529-C, 529-E, 529-T, 529-F-1, 529-F-2 and 529-F-3) 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 5.75% for Class A; up to 3.50% for Class 529-A   None (except 1.00% for certain redemptions within 18 months of purchase without an initial sales charge)   None
Classes C and 529-C   None   1.00% for redemptions within one year of purchase   Class C converts to Class A after eight years and Class 529-C converts to Class 529-A after five years
Class 529-E   None   None   None
Classes T and 529-T*   Up to 2.50%   None   None
Classes F-1, F-2, F-3, 529-F-1, 529-F-2 and 529-F-3   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 T and 529-T shares are not available for purchase.

 

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 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), realized gains and losses and unrealized appreciation and depreciation are allocated daily among the various share classes based on their relative net assets. Class-specific fees and expenses, such as distribution, transfer agent and administrative services, are charged directly to the respective share class.

 

Distributions paid to shareholders — Income dividends and capital gain distributions are recorded on the ex-dividend date.

 

SMALLCAP World Fund 31
   

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 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 per share is calculated once daily as of the close of regular trading on the New York Stock Exchange, normally 4 p.m. New York time, each day the New York Stock Exchange is open.

 

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, including depositary receipts, 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 evaluated prices obtained from third-party 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 & loans; 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

 

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. The Capital Group Central Cash Fund (“CCF”), a fund within the Capital Group Central Fund Series (“Central Funds”), is valued based upon a floating net asset value, which fluctuates with changes in the value of CCF’s portfolio securities. The underlying securities are valued based on the policies and procedures in CCF’s statement of additional information.

 

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 the fund’s investment adviser and approved by the board of directors 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, dealer or broker quotes, 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 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.

 

32 SMALLCAP World Fund
   

Processes and structure — The fund’s board of directors has designated 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 “Committee”) to administer, implement and oversee the fair valuation process and to make fair value decisions. The Committee regularly reviews its own fair value decisions, as well as decisions made under its standing instructions to the investment adviser’s valuation team. The Committee reviews changes in fair value measurements from period to period, pricing vendor information and market data, and may, as deemed appropriate, update the fair valuation guidelines to better reflect the results of back testing and address new or evolving issues. Pricing decisions, processes and controls over security valuation are also subject to additional internal reviews facilitated by the investment adviser’s global risk management group. The Committee reports changes to the fair valuation guidelines to the board of directors. The fund’s board and audit committee also regularly review reports that describe fair value determinations and methods.

 

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 table presents the fund’s valuation levels as of September 30, 2023 (dollars in thousands):

 

   Investment securities
   Level 1   Level 2   Level 3   Total 
Assets:                    
Common stocks:                    
Industrials  $6,447,636   $6,962,225   $14,502   $13,424,363 
Consumer discretionary   7,258,389    4,303,723    6,329    11,568,441 
Information technology   4,719,023    4,428,527    72,955    9,220,505 
Health care   5,249,738    2,482,925    3,257    7,735,920 
Financials   3,657,232    3,169,651    26,630    6,853,513 
Materials   883,070    1,560,070        2,443,140 
Consumer staples   909,786    1,130,442        2,040,228 
Energy   1,301,437    491,080    27,715    1,820,232 
Communication services   812,941    940,337        1,753,278 
Real estate   662,662    435,819        1,098,481 
Utilities   238,775    141,048    127    379,950 
Preferred securities           578,968    578,968 
Rights & warrants   22    88,829    9    88,860 
Convertible stocks           55,556    55,556 
Convertible bonds & notes           2,000    2,000 
Short-term securities   5,488,999            5,488,999 
Total  $37,629,710   $26,134,676   $788,048   $64,552,434 

 

The following table reconciles the valuation of the fund’s Level 3 investment securities and related transactions for the year ended September 30, 2023 (dollars in thousands):

 

   Beginning
value at
10/1/2022
   Transfers
into
Level 3*
   Purchases   Sales   Net
realized
gain
   Unrealized
depreciation
   Transfers
out of
Level 3*
   Ending
value at
9/30/2023
 
Investment securities  $898,553   $29,272   $41,404   $(149,943)  $2,140   $(22,414)  $(10,964)  $788,048 
                                         
Net unrealized depreciation during the year on Level 3 investment securities held at September 30, 2023   $(99,713)

 

* Transfers into or out of Level 3 are based on the beginning market value of the quarter in which they occurred. These transfers are the result of changes in the availability of pricing sources and/or in the observability of significant inputs used in valuing the securities.
  Net realized gain and unrealized depreciation are included in the related amounts on investments in the fund’s statement of operations.

 

SMALLCAP World Fund 33
   

Unobservable inputs — Valuation of the fund’s Level 3 securities is 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 following table provides additional information used by the fund’s investment adviser to fair value the fund’s Level 3 securities (dollars in thousands):

 

   Value at
9/30/2023
   Valuation
techniques
  Unobservable
inputs
  Range
(if applicable)
  Weighted
average
*    Impact to
valuation from
an increase in
input
           EV/Gross Profit multiple  17.1x  17.1x  Increase
           EV/Sales multiple  2.1x - 7.2x  4.7x  Increase
        Market comparable companies  Net adjustment (decrease) based on movement of market comparables  36% - 71%  50%  Decrease
Common stocks  $151,515      DLOM  24% - 30%  28%  Decrease
        Market approach  Transaction price  Not applicable  Not applicable  Not applicable
          Discount to last trade price  10%  10%  Decrease
      Transaction  Transaction price  Not applicable  Not applicable  Not applicable
        Estimated recovery value  Expected proceeds  Not applicable  Not applicable  Not applicable
        Transaction  Transaction price  Not applicable  Not applicable  Not applicable
          Discount to transaction price  10% - 25%  14%  Decrease
          Discount for uncertainty  6% - 20%  10%  Decrease
        Discounted cash flow  WACC  10% - 20%  14%  Decrease
          Risk discount  10% - 95%  44%  Decrease
        Market comparable companies  EV/Sales multiple  2.1x - 14.7x  9.6x  Increase
          EV/Gross Profit multiple  13.8x - 17.1x  16.2x  Increase
          Price/Sales multiple  7.7x  7.7x  Increase
Preferred securities   578,968     Net adjustment (decrease) based on movement of market comparables  31% - 71%  55%  Decrease
          Net adjustment (increase) based on movement of market comparables  1% - 37%  15%  Increase
          DLOM  15% - 30%  20%  Decrease
        Inputs to market comparables and discounted cash flow  Weight ascribed to market comparables  50%  50%  Not applicable
          Weight ascribed to discounted cash flow  50%  50%  Not applicable
        Estimated recovery value  Expected proceeds  Not applicable  Not applicable  Not applicable
Rights & warrants   9   Black-Scholes  Underlying share price  Not applicable  Not applicable  Not applicable
        Implied volatility  30%  30%  Increase
      Estimated recovery value  Expected proceeds  Not applicable  Not applicable  Not applicable
Convertible stocks   55,556   Market comparable companies  EV/Sales multiple  5.6x  5.6x  Increase
        DLOM  16%  16%  Decrease
      Discounted cash flow  WACC  20%  20%  Decrease
      Transaction  Transaction price  Not applicable  Not applicable  Not applicable
Convertible bonds & notes   2,000   Transaction  Transaction price  Not applicable  Not applicable  Not applicable
Total  $788,048                

 

* Weighted average is by relative fair value.
This column represents the directional change in fair value of the Level 3 securities that would result in an increase from the corresponding input. Significant increases and decreases in these inputs in isolation could result in significantly higher or lower fair value measurements.

 

Key to abbreviations

DLOM = Discount for lack of marketability

EV = Enterprise value

WACC = Weighted average cost of capital

 

34 SMALLCAP World Fund
   

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 or companies; overall market changes; local, regional or global political, social or economic instability; governmental, governmental agency or central bank responses to economic conditions; changes in inflation rates; and currency exchange rate, interest rate and commodity price fluctuations.

 

Economies and financial markets throughout the world are highly interconnected. Economic, financial or political events, trading and tariff arrangements, wars, terrorism, cybersecurity events, natural disasters, public health emergencies (such as the spread of infectious disease), bank failures and other circumstances in one country or region, including actions taken by governmental or quasi-governmental authorities in response to any of the foregoing, could have impacts on global economies or markets. As a result, whether or not the fund invests in securities of issuers located in or with significant exposure to the countries affected, the value and liquidity of the fund’s investments may be negatively affected by developments in other countries and regions.

 

Issuer risks — The prices of, and the income generated by, securities held by the fund may decline in response to various factors directly related to the issuers of such securities, including reduced demand for an issuer’s goods or services, poor management performance, major litigation, investigations or other controversies related to the issuer, changes in the issuer’s financial condition or credit rating, changes in government regulations affecting the issuer or its competitive environment and strategic initiatives such as mergers, acquisitions or dispositions and the market response to any such initiatives. An individual security may also be affected by factors relating to the industry or sector of the issuer or the securities markets as a whole, and conversely an industry or sector or the securities markets may be affected by a change in financial condition or other event affecting a single issuer.

 

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

 

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

 

Investing outside the U.S. — Securities of issuers domiciled outside the U.S. or with significant operations or revenues outside the U.S., and securities tied economically to countries outside the U.S., may lose value because of adverse political, social, economic or market developments (including social instability, regional conflicts, terrorism and war) in the countries or regions in which the issuers are domiciled, operate or generate revenue or to which the securities are tied economically. These securities may also lose value due to changes in foreign currency exchange rates against the U.S. dollar and/or currencies of other countries. Issuers of these securities may be more susceptible to actions of foreign governments, such as nationalization, currency blockage or the imposition of price controls, sanctions, or punitive taxes, each of which could adversely impact the value of these securities. Securities markets in certain countries may be more volatile and/or less liquid than those in the U.S. Investments outside the U.S. may also be subject to different regulatory, legal, accounting, auditing, financial reporting and recordkeeping requirements, 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, which could impact the liquidity of the fund’s portfolio. The risks of investing outside the U.S. may be heightened in connection with investments in emerging markets.

 

SMALLCAP World Fund 35
   

Investing in emerging markets — Investing in emerging markets may involve risks in addition to and greater than those generally associated with investing in the securities markets of developed countries. For instance, emerging market countries tend to have less developed political, economic and legal systems than those in developed countries. Accordingly, the governments of these countries may be less stable and more likely to intervene in the market economy, for example, by imposing capital controls, nationalizing a company or industry, placing restrictions on foreign ownership and on withdrawing sale proceeds of securities from the country, and/or imposing punitive taxes that could adversely affect the prices of securities. Information regarding issuers in emerging markets may be limited, incomplete or inaccurate, and such issuers may not be subject to regulatory, accounting, auditing, and financial reporting and recordkeeping standards comparable to those to which issuers in more developed markets are subject. The fund’s rights with respect to its investments in emerging markets, if any, will generally be governed by local law, which may make it difficult or impossible for the fund to pursue legal remedies or to obtain and enforce judgments in local courts. In addition, the economies of these countries may be dependent on relatively few industries, may have limited access to capital and may be more susceptible to changes in local and global trade conditions and downturns in the world economy. Securities markets in these countries can also be relatively small and have substantially lower trading volumes. As a result, securities issued in these countries may be more volatile and less liquid, more vulnerable to market manipulation, and more difficult to value, than securities issued in countries with more developed economies and/or markets. Less certainty with respect to security valuations may lead to additional challenges and risks in calculating the fund’s net asset value. Additionally, emerging markets are more likely to experience problems with the clearing and settling of trades and the holding of securities by banks, agents and depositories that are less established than those in developed countries.

 

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

 

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

 

5. Certain investment techniques

 

Securities lending — The fund has entered into securities lending transactions in which the fund earns income by lending investment securities to brokers, dealers or other institutions. Each transaction involves three parties: the fund, acting as the lender of the securities, a borrower, and a lending agent that acts as an intermediary.

 

Securities lending transactions are entered into by the fund under a securities lending agent agreement with the lending agent. The lending agent facilitates the exchange of securities between the fund and approved borrowers, ensures that securities loans are properly coordinated and documented, marks-to-market the value of collateral daily, secures additional collateral from a borrower if it falls below preset terms, and may reinvest cash collateral on behalf of the fund according to agreed parameters. The lending agent provides indemnification to the fund against losses resulting from a borrower default. Although risk is mitigated by the collateral and indemnification, the fund could experience a delay in recovering its securities and a potential loss of income or value if a borrower fails to return securities, collateral investments decline in value or the lending agent fails to perform.

 

The borrower is required to post highly liquid assets, such as cash or U.S. government securities, as collateral for the loan in an amount at least equal to the value of the securities loaned. Investments made with cash collateral are recognized as assets in the fund’s investment portfolio. The same amount is recorded as a liability in the fund’s statement of assets and liabilities. While securities are on loan, the fund will continue to receive the equivalent of the interest, dividends or other distributions paid by the issuer, as well as a portion of the interest on the investment of the collateral. Additionally, although the fund does not have the right to vote on securities while they are on loan, the fund has a right to consent on corporate actions and a right to recall loaned securities to vote. A borrower is obligated to return loaned securities at the conclusion of a loan or, during the pendency of a loan, on demand from the fund.

 

As of September 30, 2023, the total value of securities on loan was $846,284,000, and the total value of collateral received was $885,064,000. Collateral received includes cash of $360,259,000 and U.S. government securities of $524,805,000. Investment securities purchased from cash collateral are disclosed in the fund’s investment portfolio as short-term securities. Securities received as collateral are not recognized as fund assets. The contractual maturity of cash collateral received under the securities lending agreement is classified as overnight and continuous.

 

36 SMALLCAP World Fund
   

6. Taxation and distributions

 

Federal income taxation — The fund complies with the requirements under Subchapter M of the Internal Revenue Code applicable to regulated investment companies 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 year ended September 30, 2023, 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 year, the fund did not incur any significant interest or penalties.

 

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

 

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. As a result of rulings from European courts, the fund filed for additional reclaims related to prior years. These reclaims are recorded when the amount is known and there are no significant uncertainties on collectability. During the year ended September 30, 2023, the fund recognized $373,000 in reclaims (net of $12,000 in fees and the effect of realized gain or loss from currency translations) and $51,000 in interest related to European court rulings, which is included in dividend income and interest income, respectively, in the fund’s statement of operations. Gains realized by the fund on the sale of securities in certain countries, if any, may be subject to non-U.S. taxes. The fund generally records an estimated deferred tax liability based on unrealized gains to provide for potential non-U.S. taxes payable upon the sale of these securities.

 

Distributions — Distributions determined on a tax basis may differ from net investment income and net realized gains for financial reporting purposes. These differences are due primarily to different treatment for items such as currency gains and losses; short-term capital gains and losses; capital losses related to sales of certain securities within 30 days of purchase; unrealized appreciation of certain investments in securities outside the U.S.; cost of investments sold; net capital losses; non-U.S. taxes on capital gains 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 fund may also designate a portion of the amount paid to redeeming shareholders as a distribution for tax purposes.

 

During the year ended September 30, 2023, the fund reclassified $3,042,000 from total distributable earnings to capital paid in on shares of capital stock to align financial reporting with tax reporting.

 

As of September 30, 2023, the tax basis components of distributable earnings, unrealized appreciation (depreciation) and cost of investments were as follows (dollars in thousands):

 

Undistributed ordinary income  $456,639 
Capital loss carryforward*   (1,200,474)
Gross unrealized appreciation on investments   16,836,093 
Gross unrealized depreciation on investments   (5,171,375)
Net unrealized appreciation on investments   11,664,718 
Cost of investments   52,887,716 

 

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

 

SMALLCAP World Fund 37
   

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

 

   Year ended September 30, 2023   Year ended September 30, 2022 
Share class  Ordinary
income
   Long-term
capital gains
   Total
distributions
paid
   Ordinary
income
   Long-term
capital gains
   Total
distributions
paid
 
Class A  $   $   $   $   $3,186,223   $3,186,223 
Class C                   69,187    69,187 
Class T                   2    2 
Class F-1                   66,368    66,368 
Class F-2   16,318        16,318        892,658    892,658 
Class F-3   14,319        14,319        458,716    458,716 
Class 529-A                   189,038    189,038 
Class 529-C                   8,227    8,227 
Class 529-E                   7,066    7,066 
Class 529-T                   2    2 
Class 529-F-1                   1    1 
Class 529-F-2   477        477        23,295    23,295 
Class 529-F-3                   1    1 
Class R-1                   3,472    3,472 
Class R-2                   67,127    67,127 
Class R-2E                   4,067    4,067 
Class R-3                   85,499    85,499 
Class R-4                   81,892    81,892 
Class R-5E   270        270        16,013    16,013 
Class R-5   773        773        39,887    39,887 
Class R-6   58,747        58,747        1,683,929    1,683,929 
Total  $90,904   $   $90,904   $   $6,882,670   $6,882,670 

 

  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. At the beginning of the year, these fees were based on a series of decreasing annual rates beginning with 0.800% on the first $1 billion of daily net assets and decreasing to 0.585% on such assets in excess of $71 billion. On September 13, 2022, the fund’s board of directors approved an amended investment advisory and service agreement effective December 1, 2022, decreasing the annual rate to 0.583% on daily net assets in excess of $89 billion. For the year ended September 30, 2023, the investment advisory services fees were $385,210,000, which were equivalent to an annualized rate of 0.607% of average daily net assets.

 

38 SMALLCAP World Fund
   

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, F-3, 529-F-2, 529-F-3, R-5E, R-5 and R-6 shares. Under the plans, the board of directors 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 directors has limited the amounts that may be paid to less than the maximum allowed by the plans. All share classes with a plan may use up to 0.25% of average daily net assets to pay service fees, or to compensate AFD for paying service fees, to firms that have entered into agreements with AFD to provide certain shareholder services. The remaining amounts available to be paid under each plan are paid to dealers to compensate them for their sales activities.

 

Share class   Currently approved limits  Plan limits
Class A  0.30%  0.30%
Class 529-A  0.30   0.50 
Classes 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 T, F-1, 529-T, 529-F-1 and R-4  0.25   0.50 

 

For Class A and 529-A shares, distribution-related expenses include the reimbursement of dealer and wholesaler commissions paid by AFD for certain shares sold without a sales charge. These share classes reimburse AFD for amounts billed within the prior 15 months but only to the extent that the overall annual expense limits are not exceeded. As of September 30, 2023, there were no unreimbursed expenses subject to reimbursement for Class A or 529-A shares.

 

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 all share classes. Administrative services are provided by CRMC and its affiliates to help assist third parties providing non-distribution services to fund shareholders. These services include providing in-depth information on the fund and market developments that impact fund investments. Administrative services also include, but are not limited to, coordinating, monitoring and overseeing third parties that provide services to fund shareholders. The agreement provides the fund the ability to charge an administrative services fee at the annual rate of 0.05% of the average daily net assets attributable to each share class of the fund. Currently the fund pays CRMC an administrative services fee at the annual rate of 0.03% of the average daily net assets attributable to each share class of the fund for CRMC’s provision of administrative services.

 

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 CollegeAmerica 529 college savings plan. The fees are based on the combined net assets invested in Class 529 and ABLE shares of the American Funds. Class ABLE shares are offered on other American Funds by Virginia529 through ABLEAmerica®, a tax-advantaged savings program for individuals with disabilities. Virginia529 is not considered a related party to the fund.

 

The quarterly fees are based on a series of decreasing annual rates beginning with 0.09% on the first $20 billion of the combined net assets invested in the American Funds and decreasing to 0.03% on such assets in excess of $75 billion. The fees for any given calendar quarter are accrued and calculated on the basis of the average net assets of Class 529 and ABLE shares of the American Funds for the last month of the prior calendar quarter. For the year ended September 30, 2023, the 529 plan services fees were $1,113,000, which were equivalent to 0.060% of the average daily net assets of each 529 share class.

 

SMALLCAP World Fund 39
   

For the year ended September 30, 2023, class-specific expenses under the agreements were as follows (dollars in thousands):

 

Share class  Distribution
services
   Transfer agent
services
   Administrative
services
   529 plan
services
 
Class A   $64,078    $38,199    $7,836    Not applicable 
Class C   3,871    572    117    Not applicable 
Class T       *   *   Not applicable 
Class F-1   1,191    884    147    Not applicable 
Class F-2   Not applicable    9,221    2,506    Not applicable 
Class F-3   Not applicable    41    1,437    Not applicable 
Class 529-A   3,492    2,104    462    $922 
Class 529-C   434    60    13    26 
Class 529-E   264    31    16    32 
Class 529-T       *   *   *
Class 529-F-1       *   *   *
Class 529-F-2   Not applicable    74    67    133 
Class 529-F-3   Not applicable    *   *   *
Class R-1   273    27    8    Not applicable 
Class R-2   3,360    1,562    134    Not applicable 
Class R-2E   184    62    9    Not applicable 
Class R-3   3,203    970    192    Not applicable 
Class R-4   1,560    635    187    Not applicable 
Class R-5E   Not applicable    250    50    Not applicable 
Class R-5   Not applicable    163    92    Not applicable 
Class R-6   Not applicable    167    5,771    Not applicable 
Total class-specific expenses   $81,910    $55,022    $19,044    $1,113 

 

* Amount less than one thousand.

 

Directors’ deferred compensation — Directors 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. Directors’ compensation of $733,000 in the fund’s statement of operations reflects $262,000 in current fees (either paid in cash or deferred) and a net increase of $471,000 in the value of the deferred amounts.

 

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

 

Investment in CCF — The fund holds shares of CCF, an institutional prime money market fund managed by CRMC. CCF invests in high-quality, short-term money market instruments. CCF is used as the primary investment vehicle for the fund’s short-term instruments. CCF shares are only available for purchase by CRMC, its affiliates, and other funds managed by CRMC or its affiliates, and are not available to the public. CRMC does not receive an investment advisory services fee from CCF.

 

Security transactions with related funds — The fund purchased investment securities from, and sold investment securities to, other funds managed by CRMC (or funds managed by certain affiliates of CRMC) under procedures adopted by the fund’s board of directors. The funds involved in such transactions are considered related by virtue of having a common investment adviser (or affiliated investment advisers), common directors and/or common officers. Each transaction was executed at the current market price of the security and no brokerage commissions or fees were paid in accordance with Rule 17a-7 of the 1940 Act. During the year ended September 30, 2023, the fund engaged in such purchase and sale transactions with related funds in the amounts of $310,916,000 and $212,479,000, respectively, which generated $57,224,000 of net realized gains from such sales.

 

Interfund lending — Pursuant to an exemptive order issued by the SEC, the fund, along with other CRMC-managed funds (or funds managed by certain affiliates of CRMC), may participate in an interfund lending program. The program provides an alternate credit facility that permits the funds to lend or borrow cash for temporary purposes directly to or from one another, subject to the conditions of the exemptive order. The fund did not lend or borrow cash through the interfund lending program at any time during the year ended September 30, 2023.

 

40 SMALLCAP World Fund
   

8. Committed line of credit

 

The fund participates with other funds managed by CRMC (or funds managed by certain affiliates of CRMC) in a $1.5 billion credit facility (the “line of credit”) to be utilized for temporary purposes to support 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. The fund did not borrow on this line of credit at any time during the year ended September 30, 2023.

 

9. Indemnifications

 

The fund’s organizational documents provide board members and officers with indemnification against certain liabilities or expenses in connection with the performance of their duties to the fund. In the normal course of business, the fund may also enter into contracts that provide general indemnifications. The fund’s maximum exposure under these arrangements is unknown since it is dependent on future claims that may be made against the fund. The risk of material loss from such claims is considered remote. Insurance policies are also available to the fund’s board members and officers.

 

10. Capital share transactions

 

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

 

   Sales*   Reinvestments of
distributions
   Repurchases*   Net (decrease)
increase
 
Share class  Amount   Shares   Amount   Shares   Amount   Shares   Amount   Shares 
 
Year ended September 30, 2023
 
Class A  $1,485,457    24,948   $       $(2,890,673)   (48,926)  $(1,405,216)   (23,978)
Class C   41,630    862            (119,351)   (2,474)   (77,721)   (1,612)
Class T                                
Class F-1   25,269    434            (93,978)   (1,610)   (68,709)   (1,176)
Class F-2   1,869,036    30,461    15,913    272    (1,647,025)   (27,089)   237,924    3,644 
Class F-3   1,461,886    24,072    14,216    244    (878,174)   (14,535)   597,928    9,781 
Class 529-A   127,535    2,177            (217,420)   (3,689)   (89,885)   (1,512)
Class 529-C   7,553    153            (20,526)   (416)   (12,973)   (263)
Class 529-E   4,159    75            (8,655)   (154)   (4,496)   (79)
Class 529-T                                
Class 529-F-1                                
Class 529-F-2   42,140    705    477    8    (35,443)   (590)   7,174    123 
Class 529-F-3                                
Class R-1   3,328    66            (4,202)   (81)   (874)   (15)
Class R-2   69,604    1,379            (105,450)   (2,107)   (35,846)   (728)
Class R-2E   7,123    125            (6,561)   (115)   562    10 
Class R-3   101,326    1,829            (154,016)   (2,791)   (52,690)   (962)
Class R-4   68,382    1,159            (144,973)   (2,471)   (76,591)   (1,312)
Class R-5E   38,759    647    270    5    (29,855)   (495)   9,174    157 
Class R-5   30,438    485    772    13    (69,340)   (1,118)   (38,130)   (620)
Class R-6   2,540,804    40,964    58,382    987    (869,706)   (13,960)   1,729,480    27,991 
Total net increase (decrease)  $7,924,429    130,541   $90,030    1,529   $(7,295,348)   (122,621)  $719,111    9,449 

 

Refer to the end of the table for footnotes.

 

SMALLCAP World Fund 41
   

   Sales*   Reinvestments of
distributions
   Repurchases*   Net increase
(decrease)
 
Share class  Amount   Shares   Amount   Shares   Amount   Shares   Amount   Shares 
                                 
Year ended September 30, 2022
 
Class A  $2,421,112    34,645   $3,146,250    40,871   $(3,690,285)   (54,443)  $1,877,077    21,073 
Class C   66,264    1,160    68,902    1,091    (167,718)   (2,984)   (32,552)   (733)
Class T                                
Class F-1   45,086    654    65,695    867    (117,196)   (1,743)   (6,415)   (222)
Class F-2   2,927,107    41,641    870,184    10,996    (2,324,879)   (34,030)   1,472,412    18,607 
Class F-3   1,624,182    23,394    457,164    5,818    (1,066,551)   (15,796)   1,014,795    13,416 
Class 529-A   168,539    2,448    189,018    2,495    (243,193)   (3,640)   114,364    1,303 
Class 529-C   10,188    176    8,226    127    (27,532)   (469)   (9,118)   (166)
Class 529-E   4,479    68    7,065    98    (9,950)   (153)   1,594    13 
Class 529-T           2                2     
Class 529-F-1           1                1     
Class 529-F-2   50,316    727    23,290    302    (34,329)   (493)   39,277    536 
Class 529-F-3           1                1     
Class R-1   5,640    100    3,379    51    (4,431)   (77)   4,588    74 
Class R-2   94,180    1,611    67,065    1,018    (162,921)   (2,679)   (1,676)   (50)
Class R-2E   8,789    130    4,067    55    (13,993)   (212)   (1,137)   (27)
Class R-3   139,524    2,147    85,413    1,184    (198,862)   (3,008)   26,075    323 
Class R-4   125,246    1,809    81,883    1,073    (197,736)   (2,848)   9,393    34 
Class R-5E   54,982    776    16,010    206    (32,097)   (463)   38,895    519 
Class R-5   45,010    629    39,865    494    (98,277)   (1,389)   (13,402)   (266)
Class R-6   5,496,061    76,309    1,675,414    20,985    (672,122)   (9,916)   6,499,353    87,378 
Total net increase (decrease)  $13,286,705    188,424   $6,808,894    87,731   $(9,062,072)   (134,343)  $11,033,527    141,812 

 

* Includes exchanges between share classes of the fund.
  Amount less than one thousand.

 

11. Investment transactions

 

The fund engaged in purchases and sales of investment securities, excluding short-term securities and U.S. government obligations, if any, of $20,104,105,000 and $16,839,007,000, respectively, during the year ended September 30, 2023.

 

42 SMALLCAP World Fund
   

Financial highlights

 

       Income (loss) from
investment operations1
   Dividends and distributions                         
Year ended  Net asset
value,
beginning
of year
   Net
investment
income
(loss)
   Net gains
(losses) on
securities
(both
realized and
unrealized)
   Total from
investment
operations
   Dividends
(from net
investment
income)
   Distributions
(from capital
gains)
   Total
dividends
and
distributions
   Net asset
value,
end
of year
   Total return2,3   Net assets,
end of
year
(in millions)
   Ratio of
expenses
to average net
assets before
reimbursement4
   Ratio of
expenses
to average net
assets after
reimbursement3,4
   Ratio of
net income
(loss)
to average
net assets3
 
Class A:                                                                 
9/30/2023  $51.99   $.25   $6.69   $6.94   $   $   $   $58.93    13.31%  $25,283    1.05%   1.05%   .42%
9/30/2022   88.19    (.04)   (28.76)   (28.80)       (7.40)   (7.40)   51.99    (35.39)   23,553    1.01    1.01    (.05)
9/30/2021   66.23    (.37)   23.60    23.23        (1.27)   (1.27)   88.19    35.35    38,095    1.02    1.02    (.44)
9/30/2020   55.24    (.15)   13.63    13.48        (2.49)   (2.49)   66.23    24.98    27,781    1.06    1.06    (.25)
9/30/2019   60.19    .05    (1.69)   (1.64)       (3.31)   (3.31)   55.24    (1.37)   23,203    1.06    1.06    .09 
Class C:                                                                 
9/30/2023   42.40    (.16)   5.46    5.30                47.70    12.48    349    1.79    1.79    (.34)
9/30/2022   73.86    (.46)   (23.60)   (24.06)       (7.40)   (7.40)   42.40    (35.86)   378    1.75    1.75    (.81)
9/30/2021   56.04    (.82)   19.91    19.09        (1.27)   (1.27)   73.86    34.36    713    1.75    1.75    (1.18)
9/30/2020   47.42    (.48)   11.59    11.11        (2.49)   (2.49)   56.04    24.07    575    1.79    1.79    (.97)
9/30/2019   52.63    (.32)   (1.58)   (1.90)       (3.31)   (3.31)   47.42    (2.13)   673    1.82    1.82    (.68)
Class T:                                                                 
9/30/2023   52.73    .42    6.79    7.21    (.12)       (.12)   59.82    13.635    6    .775    .775    .705 
9/30/2022   89.14    .13    (29.14)   (29.01)       (7.40)   (7.40)   52.73    (35.21)5    6    .765    .765    .195 
9/30/2021   66.78    (.18)   23.81    23.63        (1.27)   (1.27)   89.14    35.645    6    .795    .795    (.21)5 
9/30/2020   55.54    7    13.73    13.73        (2.49)   (2.49)   66.78    25.305    6    .815    .815    5,8 
9/30/2019   60.35    .18    (1.68)   (1.50)       (3.31)   (3.31)   55.54    (1.14)5    6    .825    .825    .335 
Class F-1:                                                                 
9/30/2023   51.14    .22    6.59    6.81                57.95    13.25    446    1.08    1.08    .38 
9/30/2022   86.92    (.07)   (28.31)   (28.38)       (7.40)   (7.40)   51.14    (35.41)   454    1.05    1.05    (.10)
9/30/2021   65.31    (.39)   23.27    22.88        (1.27)   (1.27)   86.92    35.31    791    1.05    1.05    (.48)
9/30/2020   54.51    (.15)   13.44    13.29        (2.49)   (2.49)   65.31    24.96    731    1.08    1.08    (.26)
9/30/2019   59.47    .03    (1.68)   (1.65)       (3.31)   (3.31)   54.51    (1.43)   703    1.10    1.10    .05 
Class F-2:                                                                 
9/30/2023   53.55    .43    6.88    7.31    (.12)       (.12)   60.74    13.64    8,514    .77    .77    .70 
9/30/2022   90.40    .14    (29.59)   (29.45)       (7.40)   (7.40)   53.55    (35.23)   7,311    .76    .76    .20 
9/30/2021   67.69    (.15)   24.13    23.98        (1.27)   (1.27)   90.40    35.69    10,659    .76    .76    (.18)
9/30/2020   56.26    .01    13.91    13.92        (2.49)   (2.49)   67.69    25.32    6,608    .79    .79    .02 
9/30/2019   61.07    .20    (1.70)   (1.50)       (3.31)   (3.31)   56.26    (1.12)   4,909    .80    .80    .36 
Class F-3:                                                                 
9/30/2023   53.22    .50    6.83    7.33    (.19)       (.19)   60.36    13.75    5,018    .66    .66    .82 
9/30/2022   89.80    .22    (29.40)   (29.18)       (7.40)   (7.40)   53.22    (35.14)   3,904    .65    .65    .32 
9/30/2021   67.18    (.07)   23.96    23.89        (1.27)   (1.27)   89.80    35.83    5,382    .66    .66    (.08)
9/30/2020   55.80    .07    13.80    13.87        (2.49)   (2.49)   67.18    25.44    3,065    .68    .68    .12 
9/30/2019   60.54    .25    (1.68)   (1.43)       (3.31)   (3.31)   55.80    (1.02)   2,153    .70    .70    .46 
Class 529-A:                                                                 
9/30/2023   51.14    .23    6.58    6.81                57.95    13.27    1,473    1.08    1.08    .39 
9/30/2022   86.91    (.05)   (28.32)   (28.37)       (7.40)   (7.40)   51.14    (35.40)   1,378    1.04    1.04    (.08)
9/30/2021   65.29    (.38)   23.27    22.89        (1.27)   (1.27)   86.91    35.31    2,227    1.04    1.04    (.47)
9/30/2020   54.51    (.16)   13.43    13.27        (2.49)   (2.49)   65.29    24.95    1,662    1.09    1.09    (.28)
9/30/2019   59.47    .02    (1.67)   (1.65)       (3.31)   (3.31)   54.51    (1.43)   1,337    1.12    1.12    .03 

 

Refer to the end of the table for footnotes.

 

SMALLCAP World Fund 43
 

Financial highlights (continued)

 

       Income (loss) from
investment operations1
   Dividends and distributions                         
Year ended  Net asset
value,
beginning
of year
   Net
investment
income
(loss)
   Net gains
(losses) on
securities
(both
realized and
unrealized)
   Total from
investment
operations
   Dividends
(from net
investment
income)
   Distributions
(from capital
gains)
   Total
dividends
and
distributions
   Net asset
value,
end
of year
   Total creturn2,3   Net assets,
end of
year
(in millions)
   Ratio of
expenses
to average net
assets before
reimbursement4
   Ratio of
expenses
to average net
assets after
reimbursement3,4
   Ratio of
net income
(loss)
to average
net assets3
 
Class 529-C:                                                                 
9/30/2023  $43.33   $(.20)  $5.59   $5.39   $   $   $   $48.72    12.39%  $37    1.86%   1.86%   (.40)%
9/30/2022   75.34    (.51)   (24.10)   (24.61)       (7.40)   (7.40)   43.33    (35.90)   44    1.81    1.81    (.87)
9/30/2021   57.17    (.86)   20.30    19.44        (1.27)   (1.27)   75.34    34.30    89    1.79    1.79    (1.22)
9/30/2020   48.35    (.49)   11.80    11.31        (2.49)   (2.49)   57.17    24.02    86    1.84    1.84    (.99)
9/30/2019   53.60    (.34)   (1.60)   (1.94)       (3.31)   (3.31)   48.35    (2.17)   185    1.86    1.86    (.72)
Class 529-E:                                                                 
9/30/2023   48.83    .11    6.28    6.39                55.22    13.04    50    1.27    1.27    .19 
9/30/2022   83.48    (.19)   (27.06)   (27.25)       (7.40)   (7.40)   48.83    (35.53)   48    1.25    1.25    (.29)
9/30/2021   62.89    (.53)   22.39    21.86        (1.27)   (1.27)   83.48    35.04    81    1.26    1.26    (.68)
9/30/2020   52.68    (.26)   12.96    12.70        (2.49)   (2.49)   62.89    24.70    62    1.28    1.28    (.47)
9/30/2019   57.73    (.09)   (1.65)   (1.74)       (3.31)   (3.31)   52.68    (1.64)   58    1.31    1.31    (.17)
Class 529-T:                                                                 
9/30/2023   52.59    .39    6.76    7.15    (.09)       (.09)   59.65    13.555    6    .835    .835    .645 
9/30/2022   88.95    .10    (29.06)   (28.96)       (7.40)   (7.40)   52.59    (35.24)5    6    .815    .815    .155 
9/30/2021   66.67    (.22)   23.77    23.55        (1.27)   (1.27)   88.95    35.605    6    .845    .845    (.26)5 
9/30/2020   55.49    (.03)   13.70    13.67        (2.49)   (2.49)   66.67    25.215    6    .855    .855    (.05)5 
9/30/2019   60.32    .15    (1.67)   (1.52)       (3.31)   (3.31)   55.49    (1.17)5    6    .875    .875    .285 
Class 529-F-1:                                                                 
9/30/2023   52.48    .34    6.74    7.08    (.05)       (.05)   59.51    13.485    6    .905    .905    .565 
9/30/2022   88.82    .06    (29.00)   (28.94)       (7.40)   (7.40)   52.48    (35.28)5    6    .875    .875    .095 
9/30/2021   66.57    (.29)   23.81    23.52        (1.27)   (1.27)   88.82    35.605    6    .805    .805    (.42)5 
9/30/2020   55.41    (.03)   13.68    13.65        (2.49)   (2.49)   66.57    25.21    181    .86    .86    (.05)
9/30/2019   60.26    .15    (1.69)   (1.54)       (3.31)   (3.31)   55.41    (1.22)   146    .88    .88    .27 
Class 529-F-2:                                                                 
9/30/2023   52.24    .43    6.71    7.14    (.13)       (.13)   59.25    13.65    223    .75    .75    .72 
9/30/2022   88.37    .14    (28.87)   (28.73)       (7.40)   (7.40)   52.24    (35.22)   190    .76    .76    .21 
9/30/20219,10   65.50    (.16)   24.30    24.14        (1.27)   (1.27)   88.37    37.1111    274    .8012    .8012    (.21)12 
Class 529-F-3:                                                                 
9/30/2023   52.32    .44    6.72    7.16    (.15)       (.15)   59.33    13.66    6    .73    .73    .74 
9/30/2022   88.45    .17    (28.90)   (28.73)       (7.40)   (7.40)   52.32    (35.19)   6    .71    .71    .25 
9/30/20219,10   65.50    (.09)   24.31    24.22        (1.27)   (1.27)   88.45    37.2311    6    .7612    .7112    (.12)12 
Class R-1:                                                                 
9/30/2023   44.18    (.14)   5.69    5.55                49.73    12.52    26    1.75    1.75    (.28)
9/30/2022   76.62    (.45)   (24.59)   (25.04)       (7.40)   (7.40)   44.18    (35.86)   24    1.74    1.74    (.77)
9/30/2021   58.09    (.85)   20.65    19.80        (1.27)   (1.27)   76.62    34.35    36    1.75    1.75    (1.18)
9/30/2020   49.08    (.50)   12.00    11.50        (2.49)   (2.49)   58.09    24.07    28    1.79    1.79    (.98)
9/30/2019   54.32    (.33)   (1.60)   (1.93)       (3.31)   (3.31)   49.08    (2.12)   24    1.82    1.82    (.68)

 

Refer to the end of the table for footnotes.

 

44 SMALLCAP World Fund
 

Financial highlights (continued)

 

       Income (loss) from
investment operations1
   Dividends and distributions                         
Year ended  Net asset
value,
beginning
of year
   Net
investment
income
(loss)
   Net gains
(losses) on
securities
(both
realized and
unrealized)
   Total from
investment
operations
   Dividends
(from net
investment
income)
   Distributions
(from capital
gains)
   Total
dividends
and
distributions
   Net asset
value,
end
of year
   Total return2,3   Net assets,
end of
year
(in millions)
   Ratio of
expenses
to average net
assets before
reimbursement4
   Ratio of
expenses
to average net
assets after
reimbursement3,4
   Ratio of
net income
(loss)
to average
net assets3
 
Class R-2:                                                                 
9/30/2023  $44.23   $(.15)  $5.70   $5.55   $   $   $   $49.78    12.50%  $428    1.76%   1.76%   (.29)%
9/30/2022   76.71    (.48)   (24.60)   (25.08)       (7.40)   (7.40)   44.23    (35.87)   412    1.76    1.76    (.81)
9/30/2021   58.16    (.85)   20.67    19.82        (1.27)   (1.27)   76.71    34.37    719    1.75    1.75    (1.17)
9/30/2020   49.12    (.49)   12.02    11.53        (2.49)   (2.49)   58.16    24.09    588    1.78    1.78    (.97)
9/30/2019   54.36    (.31)   (1.62)   (1.93)       (3.31)   (3.31)   49.12    (2.12)   542    1.79    1.79    (.65)
Class R-2E:                                                                 
9/30/2023   50.29    .01    6.47    6.48                56.77    12.85    31    1.46    1.46    .01 
9/30/2022   85.92    (.34)   (27.89)   (28.23)       (7.40)   (7.40)   50.29    (35.67)   27    1.46    1.46    (.51)
9/30/2021   64.83    (.71)   23.07    22.36        (1.27)   (1.27)   85.92    34.76    48    1.46    1.46    (.88)
9/30/2020   54.34    (.38)   13.36    12.98        (2.49)   (2.49)   64.83    24.46    35    1.48    1.48    (.67)
9/30/2019   59.52    (.18)   (1.69)   (1.87)       (3.31)   (3.31)   54.34    (1.82)   28    1.50    1.50    (.34)
Class R-3:                                                                 
9/30/2023   48.59    .09    6.25    6.34                54.93    13.03    611    1.31    1.31    .16 
9/30/2022   83.16    (.23)   (26.94)   (27.17)       (7.40)   (7.40)   48.59    (35.58)   587    1.31    1.31    (.35)
9/30/2021   62.68    (.57)   22.32    21.75        (1.27)   (1.27)   83.16    34.95    978    1.31    1.31    (.73)
9/30/2020   52.54    (.28)   12.91    12.63        (2.49)   (2.49)   62.68    24.65    806    1.33    1.33    (.52)
9/30/2019   57.60    (.10)   (1.65)   (1.75)       (3.31)   (3.31)   52.54    (1.67)   757    1.34    1.34    (.20)
Class R-4:                                                                 
9/30/2023   51.52    .27    6.63    6.90                58.42    13.35    585    1.01    1.01    .45 
9/30/2022   87.46    (.04)   (28.50)   (28.54)       (7.40)   (7.40)   51.52    (35.38)   583    1.01    1.01    (.05)
9/30/2021   65.68    (.35)   23.40    23.05        (1.27)   (1.27)   87.46    35.37    987    1.01    1.01    (.43)
9/30/2020   54.78    (.12)   13.51    13.39        (2.49)   (2.49)   65.68    25.03    835    1.02    1.02    (.21)
9/30/2019   59.71    .06    (1.68)   (1.62)       (3.31)   (3.31)   54.78    (1.37)   791    1.04    1.04    .11 
Class R-5E:                                                                 
9/30/2023   52.58    .40    6.76    7.16    (.10)       (.10)   59.64    13.56    166    .81    .81    .66 
9/30/2022   88.94    .11    (29.07)   (28.96)       (7.40)   (7.40)   52.58    (35.24)   138    .81    .81    .17 
9/30/2021   66.64    (.19)   23.76    23.57        (1.27)   (1.27)   88.94    35.63    188    .80    .80    (.22)
9/30/2020   55.44    (.01)   13.70    13.69        (2.49)   (2.49)   66.64    25.28    84    .82    .82    (.02)
9/30/2019   60.26    .18    (1.69)   (1.51)       (3.31)   (3.31)   55.44    (1.16)   39    .84    .84    .32 
Class R-5:                                                                 
9/30/2023   54.65    .47    7.02    7.49    (.15)       (.15)   61.99    13.68    288    .71    .71    .75 
9/30/2022   92.04    .18    (30.17)   (29.99)       (7.40)   (7.40)   54.65    (35.18)   288    .70    .70    .25 
9/30/2021   68.86    (.11)   24.56    24.45        (1.27)   (1.27)   92.04    35.77    510    .71    .71    (.13)
9/30/2020   57.16    .06    14.13    14.19        (2.49)   (2.49)   68.86    25.40    406    .72    .72    .09 
9/30/2019   61.94    .22    (1.69)   (1.47)       (3.31)   (3.31)   57.16    (1.06)   376    .74    .74    .40 
Class R-6:                                                                 
9/30/2023   54.08    .50    6.95    7.45    (.19)       (.19)   61.34    13.76    20,160    .66    .66    .82 
9/30/2022   91.12    .23    (29.87)   (29.64)       (7.40)   (7.40)   54.08    (35.15)   16,261    .65    .65    .33 
9/30/2021   68.15    (.06)   24.30    24.24        (1.27)   (1.27)   91.12    35.84    19,437    .66    .66    (.07)
9/30/2020   56.56    .08    14.00    14.08        (2.49)   (2.49)   68.15    25.47    11,166    .67    .67    .14 
9/30/2019   61.31    .26    (1.70)   (1.44)       (3.31)   (3.31)   56.56    (1.02)   8,031    .69    .69    .47 

 

Refer to the end of the table for footnotes.

 

SMALLCAP World Fund 45
 

Financial highlights (continued)

 

   Year ended September 30,
   2023   2022   2021   2020   2019 
Portfolio turnover rate for all share classes13   29%   32%   30%   38%   39%

 

1 Based on average shares outstanding.
2 Total returns exclude any applicable sales charges, including contingent deferred sales charges.
3 This column reflects the impact, if any, of certain reimbursements from CRMC. During one of the years shown, CRMC reimbursed a portion of transfer agent services fees for Class 529-F-3 shares.
4 Ratios do not include expenses of any Central Funds. The fund indirectly bears its proportionate share of the expenses of any Central Funds.
5 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.
6 Amount less than $1 million.
7 Amount less than $.01.
8 Amount less than .01%.
9 Based on operations for a period that is less than a full year.
10 Class 529-F-2 and 529-F-3 shares began investment operations on October 30, 2020.
11 Not annualized.
12 Annualized.
13 Rates do not include the fund’s portfolio activity with respect to any Central Funds.

 

Refer to the notes to financial statements.

 

46 SMALLCAP World Fund
 

Report of Independent Registered Public Accounting Firm

 

To the Shareholders and Board of Directors of SMALLCAP World Fund, Inc.:

 

Opinion on the Financial Statements and Financial Highlights

 

We have audited the accompanying statement of assets and liabilities of SMALLCAP World Fund, Inc. (the “Fund”), including the investment portfolio, as of September 30, 2023, the related statement of operations for the year then ended, the statements of changes in net assets for each of the two years in the period then ended, the financial highlights for each of the five years in the period then ended, and the related notes. In our opinion, the financial statements and financial highlights present fairly, in all material respects, the financial position of the Fund as of September 30, 2023, and the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

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

 

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements and financial highlights are free of material misstatement, whether due to error or fraud. The Fund is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Fund’s internal control over financial reporting. Accordingly, we express no such opinion.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements and financial highlights, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements and financial highlights. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements and financial highlights. Our procedures included confirmation of securities owned as of September 30, 2023, by correspondence with the custodian and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

/s/ Deloitte & Touche LLP

 

Costa Mesa, California
November 7, 2023

 

We have served as the auditor of one or more American Funds investment companies since 1956.

 

SMALLCAP World Fund 47
 
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 (April 1, 2023, through September 30, 2023).

 

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 titled “Expenses paid during period” to estimate the expenses you paid on your account during this period.

 

Hypothetical example for comparison purposes:

The second line of each share class in the table on the following 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, F-3, 529-F-1, 529-F-2 and 529-F-3 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.

 

48 SMALLCAP World Fund
 

Expense example (continued)

 

   Beginning
account value
4/1/2023
  Ending
account value
9/30/2023
  Expenses paid
during period*
  Annualized
expense ratio
Class A – actual return  $1,000.00   $986.74   $5.23    1.05%
Class A – assumed 5% return   1,000.00    1,019.80    5.32    1.05 
Class C – actual return   1,000.00    983.08    8.95    1.80 
Class C – assumed 5% return   1,000.00    1,016.04    9.10    1.80 
Class T – actual return   1,000.00    988.08    3.79    .76 
Class T – assumed 5% return   1,000.00    1,021.26    3.85    .76 
Class F-1 – actual return   1,000.00    986.37    5.43    1.09 
Class F-1 – assumed 5% return   1,000.00    1,019.60    5.52    1.09 
Class F-2 – actual return   1,000.00    988.14    3.84    .77 
Class F-2 – assumed 5% return   1,000.00    1,021.21    3.90    .77 
Class F-3 – actual return   1,000.00    988.71    3.29    .66 
Class F-3 – assumed 5% return   1,000.00    1,021.76    3.35    .66 
Class 529-A – actual return   1,000.00    986.72    5.33    1.07 
Class 529-A – assumed 5% return   1,000.00    1,019.70    5.42    1.07 
Class 529-C – actual return   1,000.00    982.67    9.19    1.85 
Class 529-C – assumed 5% return   1,000.00    1,015.79    9.35    1.85 
Class 529-E – actual return   1,000.00    985.54    6.37    1.28 
Class 529-E – assumed 5% return   1,000.00    1,018.65    6.48    1.28 
Class 529-T – actual return   1,000.00    987.77    4.09    .82 
Class 529-T – assumed 5% return   1,000.00    1,020.96    4.15    .82 
Class 529-F-1 – actual return   1,000.00    987.58    4.53    .91 
Class 529-F-1 – assumed 5% return   1,000.00    1,020.51    4.61    .91 
Class 529-F-2 – actual return   1,000.00    988.30    3.69    .74 
Class 529-F-2 – assumed 5% return   1,000.00    1,021.36    3.75    .74 
Class 529-F-3 – actual return   1,000.00    988.16    3.59    .72 
Class 529-F-3 – assumed 5% return   1,000.00    1,021.46    3.65    .72 
Class R-1 – actual return   1,000.00    983.16    8.70    1.75 
Class R-1 – assumed 5% return   1,000.00    1,016.29    8.85    1.75 
Class R-2 – actual return   1,000.00    983.21    8.70    1.75 
Class R-2 – assumed 5% return   1,000.00    1,016.29    8.85    1.75 
Class R-2E – actual return   1,000.00    984.73    7.26    1.46 
Class R-2E – assumed 5% return   1,000.00    1,017.75    7.38    1.46 
Class R-3 – actual return   1,000.00    985.48    6.47    1.30 
Class R-3 – assumed 5% return   1,000.00    1,018.55    6.58    1.30 
Class R-4 – actual return   1,000.00    986.84    5.03    1.01 
Class R-4 – assumed 5% return   1,000.00    1,020.00    5.11    1.01 
Class R-5E – actual return   1,000.00    987.90    4.04    .81 
Class R-5E – assumed 5% return   1,000.00    1,021.01    4.10    .81 
Class R-5 – actual return   1,000.00    988.36    3.54    .71 
Class R-5 – assumed 5% return   1,000.00    1,021.51    3.60    .71 
Class R-6 – actual return   1,000.00    988.72    3.29    .66 
Class R-6 – assumed 5% return   1,000.00    1,021.76    3.35    .66 

 

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

 

SMALLCAP World Fund 49
 
Tax information unaudited

 

We are required to advise you of the federal tax status of certain distributions received by shareholders during the fiscal year. The fund hereby designates the following amounts for the fund’s fiscal year ended September 30, 2023:

 

Foreign taxes $0.07 per share
Foreign source income $0.51 per share
Qualified dividend income 100%
Corporate dividends received deduction 100%
U.S. government income that may be exempt from state taxation $36,875,000

 

Individual shareholders should refer to their Form 1099 or other tax information, which will be mailed in January 2024, to determine the calendar year amounts to be included on their 2023 tax returns. Shareholders should consult their tax advisors.

 

50 SMALLCAP World Fund
 

Approval of Investment Advisory and Service Agreement

 

The fund’s board has approved the continuation of the fund’s Investment Advisory and Service Agreement (the “agreement”) with Capital Research and Management Company (“CRMC”) for an additional one-year term through November 30, 2024. The board approved the agreement following the recommendation of the fund’s Contracts Committee (the “committee”), which is composed of all the fund’s independent board members. The board and the committee determined in the exercise of their business judgment 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 their interactions with CRMC and 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 they were advised by their independent counsel with respect to the matters considered. 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; the resources and systems CRMC devotes to investment management (the manner in which the fund’s assets are managed, including liquidity management), financial, investment operations, compliance, trading, proxy voting, shareholder communications, and other services; 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 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 considered the risks assumed by CRMC in providing services to the fund, including operational, business, financial, reputational, regulatory and litigation risks. 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 objective. They compared the fund’s investment results with those of other funds (including funds that currently form the basis of the Lipper index for the category in which the fund is included) and data such as relevant market and fund indexes over various periods (including the fund’s lifetime) through March 31, 2023. They generally placed greater emphasis on investment results over longer term periods. On the basis of this evaluation and the board’s and the committee’s ongoing review of investment results, and considering the relative market conditions during certain reporting periods, 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.

 

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 other similar funds included in the comparable Lipper 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, as well as in relation to the risks assumed by the adviser in sponsoring and managing the fund, and that the fund’s shareholders receive reasonable value in return for the advisory fees and other amounts paid to CRMC by the fund.

 

SMALLCAP World Fund 51
 

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 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 that CRMC bears the cost of third-party research. The board and committee also noted that CRMC benefited from the use of commissions from portfolio transactions made on behalf of the fund to facilitate payment to certain broker-dealers for research to comply with regulatory requirements applicable to these firms, with all such amounts reimbursed by CRMC. 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 track record of investing 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. They reviewed information on the profitability of the investment adviser and its affiliates. The board and the committee also compared CRMC’s profitability and compensation data to the reported results and data of a number of 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 and CRMC’s sharing of potential economies of scale, or efficiencies, through breakpoints and other fee reductions and costs voluntarily absorbed. 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.

 

52 SMALLCAP World Fund
 

Board of directors and other officers

 

Independent directors1

 

Name and year of birth   Year first
elected
a director
of the fund2
  Principal occupation(s) during past five years   Number of
portfolios in fund
complex overseen
by director3
  Other directorships4
held by director
Joseph J. Bonner, 1955   2019   President and CEO, Solana Beach Capital LLC (real estate advisory); Global Head of Real Estate, Board Member, The Interlink Group (private merchant bank)   3   Extra Space Storage
Cecilia V. Estolano, 1966   2022   Founder and CEO of Estolano Advisors (urban planning and public policy consultancy); CEO of Better World Group (boutique environmental advocacy consultancy)   3   None
John G. Freund, MD, 1953
Chair of the Board
(Independent and Non-Executive)
  2000   Founder and former Managing Director, Skyline Ventures (a venture capital investor in health care companies); Co-Founder of Intuitive Surgical, Inc. (1995–2000); Co-Founder and former CEO of Arixa Pharmaceuticals, Inc. (2016–2020)   14   Collegium Pharmaceutical, Inc.; SI – Bone, Inc.; Sutro Biopharma, Inc.
Yvonne L. Greenstreet, 1962   2019   Chief Executive Officer, Alnylam Pharmaceuticals, Inc.   3   None
Martin E. Koehler, 1957   2021   Independent management consultant   6   None
Sharon I. Meers, 1965   2017   Co-Founder and COO, Midi Health, Inc. (a women’s telehealth company)   7   None
Kenneth M. Simril, 1965   2016   President and CEO, SCI Ingredients Holdings, Inc. (food manufacturing)   9   Bunge Limited (agricultural business and food company)
Christopher E. Stone, 1956   2007   Professor of Practice of Public Integrity, University of Oxford, Blavatnik School of Government   11   None

 

Interested directors5,6

 

Name and year of birth
position with fund
  Year first
elected
a director
or officer
of the fund2
  Principal occupation(s) during past five years
and positions held with affiliated entities or
the principal underwriter of the fund
  Number of
portfolios in fund
complex overseen
by director3
  Other directorships4
held by director
Brady L. Enright, 1967
Senior Vice President
and Director
  2004   Partner — Capital World Investors, Capital Research and Management Company; Partner — Capital World Investors, Capital Bank and Trust Company7   3   None
Anne-Marie Peterson, 1972
Director
  2019   Partner — Capital World Investors, Capital Research and Management Company   3   None

 

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

 

Refer to page 55 for footnotes.

 

SMALLCAP World Fund 53
 

Other officers6

 

Name, year of birth and
position with fund
  Year first
elected
an officer
of the fund2
  Principal occupation(s) during past five years and positions held with affiliated entities
or the principal underwriter of the fund
Julian N. Abdey, 1972
Co-President
  2014   Partner — Capital International Investors, Capital Research and Management Company; Director, The Capital Group Companies, Inc.7
Jonathan Knowles, PhD, 1961
Co-President
  2000   Partner — Capital World Investors, Capital Group Investment Management Pte. Ltd.7
Gregory W. Wendt, 1961
Co-President
  1992   Partner — Capital Research Global Investors, Capital Research and Management Company
Walt Burkley, 1966
Principal Executive Officer
  2007   Senior Vice President and Senior Counsel — Fund Business Management Group, Capital Research and Management Company; Director, Capital Research Company7; Director, Capital Research and Management Company
Michael W. Stockton, 1967
Executive Vice President
  2014   Senior Vice President — Fund Business Management Group, Capital Research and Management Company
Peter Eliot, 1971
Senior Vice President
  2018   Partner — Capital International Investors, Capital Research and Management Company
Bradford F. Freer, 1969
Senior Vice President
  2008   Partner — Capital Research Global Investors, Capital Research and Management Company
Leo Hee, 1971
Senior Vice President
  2019   Partner — Capital World Investors, Capital Group Investment Management Pte. Ltd.7
M. Taylor Hinshaw, 1973
Senior Vice President
  2023   Partner — Capital Research Global Investors, Capital Research and Management Company
Roz Hongsaranagon, 1979
Senior Vice President
  2018   Partner — Capital World Investors, Capital Research and Management Company
Akira Horiguchi, 1972   2023   Partner — Capital International Investors, Capital International K.K.7;
Senior Vice President       Partner — Capital International Investors, Capital International Sàrl7;
Senior Vice President and Director, Capital International K.K.7
Dimitrije M. Mitrinovic, 1977
Senior Vice President
  2019   Partner — Capital World Investors, Capital Research and Management Company
Aidan O’Connell, 1968
Senior Vice President
  2017   Partner — Capital Research Global Investors, Capital Research and Management Company
Samir Parekh, 1974
Senior Vice President
  2020   Partner — Capital International Investors, Capital International, Inc.7
Piyada Phanaphat, 1978
Senior Vice President
  2023   Partner — Capital World Investors, Capital International, Inc.7
Andraz Razen, 1975
Senior Vice President
  2019   Partner — Capital World Investors, Capital Research Company7

 

54 SMALLCAP World Fund
 

Other officers (continued)6

 

Name, year of birth and
position with fund
  Year first
elected
an officer
of the fund2
  Principal occupation(s) during past five years and positions held with affiliated entities
or the principal underwriter of the fund
Renaud H. Samyn, 1974
Senior Vice President
  2020   Partner — Capital Research Global Investors, Capital Group Investment Management Pte. Ltd.7
Arun Swaminathan, 1983
Senior Vice President
  2020   Partner — Capital World Investors, Capital Research and Management Company
Thatcher Thompson, 1969
Senior Vice President
  2021   Partner — Capital World Investors, Capital Research and Management Company
Shlok Melwani, 1981
Vice President
  2021   Partner — Capital Research Global Investors, Capital Research Company7
Julie E. Lawton, 1973
Secretary
  2010   Assistant Vice President — Fund Business Management Group, Capital Research and Management Company; Secretary, Capital Research Company7
Hong T. Le, 1978
Treasurer
  2018   Vice President — Investment Operations, Capital Research and Management Company
Melissa Leyva, 1976
Assistant Secretary
  2023   Associate — Fund Business Management Group, Capital Research and Management Company
Sandra Chuon, 1972
Assistant Treasurer
  2019   Vice President — Investment Operations, Capital Research and Management Company
Brian C. Janssen, 1972
Assistant Treasurer
  2016–2018, 2020   Senior Vice President — Investment Operations, Capital Research and Management Company

 

1 The term independent director refers to a director who is not an “interested person” of the fund within the meaning of the Investment Company Act of 1940.
2 Directors and officers of the fund serve until their resignation, removal or retirement.
3 Funds managed by Capital Research and Management Company or its affiliates.
4 This includes all directorships/trusteeships (other than those in the American Funds or other funds managed by Capital Research and Management Company or its affiliates) that are held by each trustee as a trustee or director of a public company or a registered investment company. Unless otherwise noted, all directorships/trusteeships are current.
5 The term interested director refers to a director who is an “interested person” within the meaning of the Investment Company Act of 1940, on the basis of their affiliation with the fund’s investment adviser, Capital Research and Management Company, or affiliated entities (including the fund’s principal underwriter).
6 All of the directors and/or officers listed, with the exception of Shlok Melwani, Samir Parekh, Arun Swaminathan and Thatcher Thompson are officers and/or directors/trustees of one or more of the other funds for which Capital Research and Management Company serves as investment adviser.
7 Company affiliated with Capital Research and Management Company.

 

SMALLCAP World Fund 55
 

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56 SMALLCAP World Fund
 

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SMALLCAP World Fund 57
 

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58 SMALLCAP World Fund
 

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SMALLCAP World Fund 59
 

Office of the fund

6455 Irvine Center Drive

Irvine, CA 92618-4518

 

Investment adviser

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

 

Transfer agent for shareholder accounts

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

 

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

 

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

 

Custodian of assets

State Street Bank and Trust Company
One Lincoln Street
Boston, MA 02111-2900

 

Counsel

Dechert LLP

One Bush Street, Suite 1600
San Francisco, CA 94104-4446

 

Independent registered public accounting firm

Deloitte & Touche LLP
695 Town Center Drive

Suite 1000

Costa Mesa, CA 92626-7188

 

Principal underwriter

American Funds Distributors, Inc.

333 South Hope Street
Los Angeles, CA 90071-1406

 

60 SMALLCAP World Fund
 

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 refer to the Capital Group website at capitalgroup.com.

 

“American Funds Proxy Voting Procedures and Principles” — which describes how we vote proxies relating to portfolio securities — is available on our 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 our website.

 

SMALLCAP World Fund files a complete list of its portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form NPORT-P. The list of portfolio holdings is available free of charge on the SEC website and on our website.

 

This report is for the information of shareholders of SMALLCAP World Fund, 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 December 31, 2023, this report must be accompanied by an American Funds statistical update for the most recently completed calendar quarter.

 

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

 

The S&P 500 Index (“Index”) is a product of S&P Dow Jones Indices LLC and/or its affiliates and has been licensed for use by Capital Group. Copyright © 2023 S&P Dow Jones Indices LLC, a division of S&P Global, and/or its affiliates. All rights reserved. Redistribution or reproduction in whole or in part is prohibited without written permission of S&P Dow Jones Indices LLC.

 

American Funds Distributors, Inc

 

The Capital Advantage®

 

Since 1931, Capital Group, home of American Funds, has helped investors pursue long-term investment success. Our consistent approach — in combination with The Capital SystemTM — has resulted in superior outcomes.

 

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 28 years of investment industry experience, including 22 years at our company, reflecting a career commitment to our long-term approach.1

 

The Capital System

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.

 

American Funds’ superior outcomes

Equity-focused funds have beaten their Lipper peer indexes in 90% of 10-year periods and 99% of 20-year periods.2 Relative to their peers, our fixed income funds have helped investors achieve better diversification through attention to correlation between bonds and equities.3 Fund management fees have been among the lowest in the industry.4

 

  1 Investment industry experience as of December 31, 2022.
  2 Based on Class F-2 share results for rolling monthly 10- and 20-year periods starting with the first 10- or 20-year period after each mutual fund’s inception through December 31, 2022. 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). Expenses differ for each share class, so results will vary. Past results are not predictive of results in future periods.
  3 Based on Class F-2 share results as of December 31, 2022. Sixteen of the 18 fixed income American Funds that have been in existence for the three-year period showed a three-year correlation lower than their respective Morningstar peer group averages. S&P 500 Index was used as an equity market proxy. Correlation based on monthly total returns. Correlation is a statistical measure of how two securities move in relation to each other. A correlation ranges from –1 to 1. A positive correlation close to 1 implies that as one security moves, either up or down, the other security will move in “lockstep,” in the same direction. A negative correlation close to –1 indicates that the securities have moved in the opposite direction.
  4 On average, our mutual fund management fees were in the lowest quintile 62% of the time, based on the 20-year period ended December 31, 2022, versus comparable Lipper categories, excluding funds of funds.

 

Class F-2 shares were first offered on August 1, 2008. Class F-2 share results prior to the date of first sale are hypothetical based on the results of the original share class of the fund without a sales charge, adjusted for typical estimated expenses. Results for certain funds with an inception date after August 1, 2008, also include hypothetical returns because those funds’ Class F-2 shares sold after the funds’ date of first offering. Refer to capitalgroup.com for more information on specific expense adjustments and the actual dates of first sale.

 

All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.

 

 

 

 

ITEM 2 – Code of Ethics

 

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

 

ITEM 3 – Audit Committee Financial Expert

 

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

 

ITEM 4 – Principal Accountant Fees and Services

 

  SCWF
     
     

Registrant:    
a)  Audit Fees:    
Audit 2022           175,000
  2023             20,000
     
b)  Audit-Related Fees:    
  2022             12,000
  2023             11,000
     
c)  Tax Fees:    
  2022             56,000
  2023             64,000
  The tax fees consist of professional services relating to the preparation of the Registrant’s tax returns.  
     
d)  All Other Fees:    
  2022  None
  2023  None
     
  Adviser and affiliates (includes only fees for non-audit services billed to the adviser and affiliates for engagements that relate directly to the operations and financial reporting of the Registrant and were subject to the pre-approval policies described below):  
a)  Audit Fees:    
  Not Applicable  
     
b)  Audit-Related Fees:    
  2022       2,114,000
  2023       1,912,000
  The audit-related fees consist of assurance and related services relating to the examination of the Registrant’s transfer agent, principal underwriter and investment adviser conducted in accordance with Statement on Standards for Attestation Engagements Number 18 issued by the American Institute of Certified Public Accountants.  
     

c)  Tax Fees:    
  2022           394,000
  2023  None
  The tax fees consist of consulting services relating to the Registrant’s investments.  
     
     
d)  All Other Fees:    
  2022  None
  2023  None
  The other fees consist of subscription services related to an accounting research tool.  
     
     
  All audit and permissible non-audit services that the Registrant’s audit committee considers compatible with maintaining the independent registered public accounting firm’s independence are required to be pre-approved by the committee.  The pre-approval requirement will extend to all non-audit services provided to the Registrant, the investment adviser, and any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to the Registrant, if the engagement relates directly to the operations and financial reporting of the Registrant. The committee will not delegate its responsibility to pre-approve these services to the investment adviser. The committee may delegate to one or more committee members the authority to review and pre-approve audit and permissible non-audit services.  Actions taken under any such delegation will be reported to the full committee at its next meeting. The pre-approval requirement is waived with respect to non-audit services if certain conditions are met. The pre-approval requirement was not waived for any of the non-audit services listed above provided to the Registrant, adviser and affiliates.  
     
  Aggregate non-audit fees paid to the Registrant’s auditors, including fees for all services billed to the Registrant, adviser and affiliates that provide ongoing services to the Registrant, were $2,577,000 for fiscal year 2022 and $1,987,000 for fiscal year 2023. The non-audit services represented by these amounts were brought to the attention of the committee and considered to be compatible with maintaining the auditors’ independence.  

 

 

 

 

 

 

ITEM 5 – Audit Committee of Listed Registrants

 

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

 

ITEM 6 – Schedule of Investments

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

There have been no material changes to the procedures by which shareholders may recommend nominees to the Registrant’s board of directors 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 directors. 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 semi-annual period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

 

ITEM 12 – Exhibits

 

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

SIGNATURES

 

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

 

  SMALLCAP WORLD FUND, INC.
   
  By __/s/ Walter R. Burkley________________
 

Walter R. Burkley,

Principal Executive Officer

   
  Date: November 30, 2023

 

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

 

 

 

By _ /s/ Walter R. Burkley_____________

Walter R. Burkley,

Principal Executive Officer

 
Date: November 30, 2023

 

 

 

By ___/s/ Hong T. Le__________________

Hong T. Le, Treasurer and

Principal Financial Officer

 
Date: November 30, 2023

 

EX-99.CODE ETH 2 scwf_coe.htm COE

Code of Ethics

 

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

 

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

 

EX-99.CERT 3 scwf_cert302.htm CERT302

 

 

 

 

 

SMALLCAP World Fund, Inc.

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

CERTIFICATION

I, Walter R. Burkley, certify that:

 

1. I have reviewed this report on Form N-CSR of SMALLCAP World Fund, Inc.;
   
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 180 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 semi-annual 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 Directors (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: November 30, 2023

 

_/s/ Walter R. Burkley___________________

Walter R. Burkley,

Principal Executive Officer

SMALLCAP World Fund, Inc.

 

 
 

 

 

 

 

 

 

SMALLCAP World Fund, Inc.

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

CERTIFICATION

I, Hong T. Le, certify that:

 

1. I have reviewed this report on Form N-CSR of SMALLCAP World Fund, Inc.;
   
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 180 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 semi-annual 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 Directors (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: November 30, 2023

 

___/s/ Hong T. Le_______

Hong T. Le, Treasurer and

Principal Financial Officer

SMALLCAP World Fund, Inc.

 

 

 

 

 

 

 

EX-99.906 CERT 4 scwf_cert906.htm CERT906

 

 

 

 

 

SMALLCAP World Fund, Inc.

6455 Irvine Center Drive

Irvine, California 92618

(949) 975-5000

 

 

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

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

WALTER R. BURKLEY, Principal Executive Officer, and HONG T. LE, Treasurer and Principal Financial Officer of SMALLCAP World Fund, Inc. (the "Registrant"), each certify to the best of her or his knowledge that:

 

1) The Registrant's periodic report on Form N-CSR for the period ended September 30, 2023 (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
   
SMALLCAP WORLD FUND, INC. SMALLCAP WORLD FUND, INC.
   
   
_/s/ Walter R. Burkley_____________________ __/s/ Hong T. Le_________________
Walter R. Burkley, Principal Executive Officer Hong T. Le, Treasurer
   
Date: November 30, 2023 Date: November 30, 2023

 

A signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to SMALLCAP WORLD FUND, INC. and will be retained by SMALLCAP WORLD FUND, INC. 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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