American Funds The Growth Fund of America® Class R-6
NASDAQ
Closed
Jul 17, 2026
Day's Range
85.1152 wk Range
71.59Key Statistics
Symbol
RGAGX
Name
American Funds The Growth Fund of America® Class R-6
Currency
USD
Exchange
NASDAQ
High
85.11000
Low
85.11000
Open
‪85.11‬
Last
‪85.11‬
Market Cap
292.03B
Pe Ratio
‪32.24‬
Volume
0
Average Volume
0
Dividend Yield
‪18.54%‬
Change
-1.23
Percent Change
-1.42
Timestamp
2026-07-17
Close
85.11000
Today Range Start
‪85.11‬
Today Range End
‪85.11‬
52 Week Range Start
‪71.59‬
52 Week Range End
‪91.27‬
Type
Funds
Country
United States
Historical Data - RGAGX - American Funds The Growth Fund of America® Class R-6
Historical Data
Market Cap - RGAGX - American Funds The Growth Fund of America® Class R-6
Market Cap
2026-04-27
292.03B
2026-04-24
292.03B
2026-04-23
291.96B
2026-04-22
291.96B
2026-04-21
290.75B
2026-04-20
290.75B
2026-04-17
291.89B
2026-04-16
287.99B
2026-04-15
284.91B
2026-04-14
284.91B
Dividend - RGAGX - American Funds The Growth Fund of America® Class R-6
Dividend
2025-12-17
8.8550
Earnings - RGAGX - American Funds The Growth Fund of America® Class R-6
Earnings
Profile - RGAGX - American Funds The Growth Fund of America® Class R-6
Profile
Mic Code
XNAS
Employees
0
American Funds The Growth Fund of America® Class R-6 is a large-cap growth mutual fund managed by Capital Research and Management Company. Its primary objective is long-term growth of capital, achieved by investing mainly in common stocks of companies believed to offer superior growth opportunities. The fund holds a diversified portfolio, typically investing in hundreds of securities across sectors, with a significant focus on technology, healthcare, consumer discretionary, and communication services. Up to 25% of its assets may be allocated to non-U.S. issuers, providing a layer of international exposure alongside its core domestic holdings. The fund is managed using a multiple-portfolio manager system, dividing assets among several managers to leverage different investment perspectives and reduce individual manager risk. Key holdings frequently include industry leaders such as Meta Platforms, Microsoft, Amazon, and NVIDIA. Class R-6 shares, designed for retirement plans and institutional investors, feature a competitive expense ratio and no sales charge. With its history dating back to 1973, the fund is positioned as a core long-term growth holding for investors seeking diversified access to high-growth potential equities within a risk-managed framework.
Profile Details
Type
Mutual Fund
Address
San Francisco, CA 94105-1409
Country
United States
Phone
(415) 421-9360
