American Funds Fundamental Investors® Class A
NASDAQ
Closed
Jul 17, 2026
Day's Range
100.9452 wk Range
86.14Key Statistics
Symbol
ANCFX
Name
American Funds Fundamental Investors® Class A
Currency
USD
Exchange
NASDAQ
High
100.94000
Low
100.94000
Open
‪100.94‬
Last
‪100.94‬
Market Cap
0
Pe Ratio
‪28.28‬
Volume
0
Average Volume
0
Dividend Yield
‪7.45%‬
Change
-0.94
Percent Change
-0.92
Timestamp
2026-07-17
Close
100.94000
Today Range Start
‪100.94‬
Today Range End
‪100.94‬
52 Week Range Start
‪86.14‬
52 Week Range End
‪105.65‬
Type
Funds
Country
United States
Historical Data - ANCFX - American Funds Fundamental Investors® Class A
Historical Data
Dividend - ANCFX - American Funds Fundamental Investors® Class A
Dividend
2026-06-16
1.7370
Earnings - ANCFX - American Funds Fundamental Investors® Class A
Earnings
Profile - ANCFX - American Funds Fundamental Investors® Class A
Profile
Mic Code
XNAS
Employees
0
American Funds Fundamental Investors® Class A is a large blend mutual fund designed to pursue long-term growth of capital and income. Managed by Capital Group, the fund primarily invests in common stocks of companies that are assessed to offer superior growth prospects, with a significant portion having a track record of paying dividends. Its portfolio is diversified across U.S. and non-U.S. equities, with over 200 holdings spanning sectors such as information technology, industrials, financials, consumer discretionary, and healthcare. As of May 2025, the fund's assets are substantial, exceeding $144 billion, and its largest sector exposure is to information technology. The fund employs a multi-manager approach, enabling a mix of investment styles within a disciplined framework. Regular dividends are distributed quarterly, supplemented by capital gains distributions, supporting its growth-and-income objective. With a history dating back to 1978, the fund has established a prominent role in the market as a core holding for investors seeking balanced equity exposure across domestic and international markets, while maintaining a below-average expense ratio and moderate portfolio turnover.
Profile Details
Type
Mutual Fund
Address
San Francisco, CA 94120-7650
Country
United States
