American Funds Growth and Income Portfolio (Class A | Fund 51 | GAIOX) seeks to provide long-term growth of capital while providing current income.
American Funds Growth and Income Portfolio Class R-1(RGNAX) $19.10 -0.17(-0.88%) Mar 6, 2025 Showing chart data for 1 month Mar 6, 2025 Created with Highcharts 11.4.8Feb 10Feb 12Feb 18Feb 20Feb 24Feb 26Feb 28Mar 04Mar 06Highcharts.com ...
American Funds Growth and Income Portfolio Class R-6(RGNGX) $19.99 -0.02(-0.10%) Feb 14, 2025 Showing chart data for 1 month Feb 14, 2025 Created with Highcharts 11.4.8Jan 22Jan 24Jan 28Jan 30Feb 03Feb 05Feb 07Feb 11Feb 13Highcharts.com ...
强大的American Funds Growth and Income Portfolio Class C(GAITX)基金走势图表工具,展现历史和最新的American Funds Growth and Income Portfolio Class C基金净值,并可做专业的行情走势分析。
American Funds Global Growth Portfolio (Class A | Fund 55 | PGGAX) seeks to provide long-term growth of capital.
The fund strives for the balanced accomplishment of three objectives current income growth of capital and conservation of principal. The fund invests primarily in common stocks of companies that are likely to participate in the growth of the American economy and whose dividends appear to be sustainabl...
Here's a look at which Charles Schwab mutual funds possess a coveted four- or five-star Morningstar rating. Tony DongJan. 30, 2025 7 of the Best Growth Funds to Buy Investors favoring capital preservation and growth over income may find these growth funds appealing. Tony DongJan. 29, 2025...
The fund company says of its various target-date funds, “Depending on the proximity to its target date, the fund will seek to achieve the following objectives to varying degrees: growth, income and conservation of capital.” Role in Portfolio The fund can serve as the main holding for som...
Portfoliomerkmale Per 31-Jan-2025 Per 31-Jan-2025 Fonds Index Aktiver Anteil (%) 81,16 -- Anzahl der Positionen 35 504 Kurs-Cashflow-Verhältnis (NTM) 24,10 25,96 Kurs-Gewinn-Verhältnis (NTM) 23,68 22,12 Dividendenrendite (%) 1,23 1,23 Portfoliomanager A...
Share Class I2 (EUR) ISIN LU0249548461 Daily NAV 18.43 EUR (As of 14/02/2025) NAV Change 0.01 NAV Change (%) 0.05% Fund Net Assets (Mil) 26,125.69 USD (As of 31/01/2025) Your Balance of Income and Stability Investors need a way to generate regular income without high risks to ...