American Funds 2025 Fund Quote

CCDTX Fund  USD 15.07  0.08  0.53%   

Performance

Very Weak

 
Weak
 
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Odds Of Distress

Low

 
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Low
American Funds is trading at 15.07 as of the 20th of March 2025; that is 0.53 percent decrease since the beginning of the trading day. The fund's open price was 15.15. American Funds has about a 22 % chance of experiencing some form of financial distress in the next two years of operation but has generated negative returns over the last 90 days. The performance scores are derived for the period starting the 20th of December 2024 and ending today, the 20th of March 2025. Click here to learn more.
The fund normally invests a greater portion of its assets in fixed income, equity-income and balanced funds as it approaches and passes its target date. The advisor attempts to achieve its investment objectives by investing in a mix of American Funds in different combinations and weightings. More on American Funds 2025

Moving together with American Mutual Fund

  0.79RNEBX New World FundPairCorr
  0.81AMFCX American MutualPairCorr
  0.8AMFFX American MutualPairCorr
  0.77RNCCX American Funds IncomePairCorr

American Mutual Fund Highlights

Fund ConcentrationAmerican Funds, Large Blend Funds, Target-Date 2025 Funds, Target-Date 2025, American Funds (View all Sectors)
Update Date31st of March 2025
Expense Ratio Date1st of January 2023
Fiscal Year EndOctober
NameAmerican Funds 2025 Target Date Retirement Fund Class C
American Funds 2025 [CCDTX] is traded in USA and was established 20th of March 2025. American Funds is listed under American Funds category by Fama And French industry classification. The fund is listed under Target-Date 2025 category and is part of American Funds family. This fund currently has accumulated 31.81 B in assets under management (AUM) with no minimum investment requirementsAmerican Funds 2025 is currently producing year-to-date (YTD) return of 1.69% with the current yeild of 0.02%, while the total return for the last 3 years was 4.6%.
Check American Funds Probability Of Bankruptcy

Instrument Allocation

Sector Allocation

Investors will always prefer to have their portfolios divercified against different sectors. The broad sector allocation increases the possibility of making a profit or at least avoiding a loss. However, this may also reduce the expected return on American Mutual Fund. Generally, it depends on diversification level and type but usually, the broader the sector allocation, the less risk can be expected from holding American Mutual Fund, and the less return is expected.
Institutional investors that are interested in enforcing a sector tilt in their portfolio can use exchange-traded funds, such as American Funds 2025 Mutual Fund, as a low-cost alternative to building a custom portfolio. So, using sector ETFs to diversify your portfolio can be a profitable strategy. However, no matter what sectors are desirable at a given time, no single industry should ever make up more than 20 percent of your stock portfolio.

Top American Funds 2025 Mutual Fund Constituents

RWIGXCapital World GrowthMutual FundWorld Large-Stock Blend
RBFGXBond Fund OfMutual FundIntermediate Core Bond
RBOGXIntermediate Bond FundMutual FundShort-Term Bond
RCWGXCapital World BondMutual FundWorld Bond
RFNGXAmerican Funds FundamentalMutual FundLarge Blend
RGBGXAmerican Funds GlobalMutual FundWorld Allocation
RGVGXUs Government SecuritiesMutual FundIntermediate Government
RICGXInvestment Of AmericaMutual FundLarge Blend
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American Funds 2025 Risk Profiles

American Funds Against Markets

Other Information on Investing in American Mutual Fund

American Funds financial ratios help investors to determine whether American Mutual Fund is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in American with respect to the benefits of owning American Funds security.
Money Flow Index
Determine momentum by analyzing Money Flow Index and other technical indicators
Performance Analysis
Check effects of mean-variance optimization against your current asset allocation