Mutual Fund ticker :
NASDAQ
GBLCX
AS OF
Jan 06, closing price
Price
$37.97
Change
-$0.05 (-0.13%)
Net Assets
$26.6b
GBLCX
Mutual Fund ticker :
NASDAQ
Intraday data for
Jan 06, closing price
Price
$37.97
Change
-$0.05 (-0.13%)
Net Assets
$26.6b

(GBLCX) Mutual Fund Forecast and AI Recommendations

Category WorldAllocation

American Funds Global Balanced C (GBLCX) Mutual Fund Stock Prediciton and Price Targets

Mutual Fund market charts, price targets, analyst ratings and a financial calendar
Category WorldAllocation
A.I.dvisor found
American Funds Global Balanced C Dividends
GBLCX paid dividends on September 27, 2021
American Funds Global Balanced C GBLCX Stock Dividends
А quarterly dividend of $0.10 per share was paid with a record date of September 27, 2021, and an ex-dividend date of September 24, 2021. The ex-dividend date is usually set several business days before the record date. If a stock is purchased on its ex-dividend date or after, the next dividend payment will not be received. Instead, the dividends are repossessed by to the seller. If the stocks are purchased before the ex-dividend date, the buyer will receive the dividends.
A.I.dvisor
published General Information

General Information

Profile
Fundamentals
Details
Category World Allocation
Address American Funds Global Balanced FundOne Market Steuart Tower, Suite 1800San Francisco
Web www.americanfunds.com
GBLCX

Select Mutual Fund attributes to show

Net Assets 26.6B
Fund Existence 11 years
Turnover 83.00
Total Expense Ratio 1.58
Front Load N/A
Manager N/A
Manager Tenure N/A
Min. Initial Investment 250
Min. Initial Investment IRA 250
Morningstar Category World Allocation
Administrative Fee N/A
Annual Report Gross Expense Ratio 1.58
Assets in Top Ten Holdings 4.609B
Average Credit Quality 9
Average Effective Duration 7.45
Average Effective Maturity 9.26
Fund of Funds No
Fund Share Class Net Assets 404M
Fund Type OpenEnd
Index Fund No
Management Fee 0.44
Modified Duration 7.82
No Load Fund No
Number of Long Holdings 719.00
Number of Net Holdings 719.00
Number of Short Holdings N/A
Prospectus Acquired Expense Ratio N/A
Weighting Top Ten Holdings 18%
Gain YTD -1.120
Annual Yield % from dividends 0.96
Returns for 1 year 2.14
Returns for 3 years 27.51
Returns for 5 years 29.99
Returns for 10 years 64.41
Group International Stock Funds
Category World Allocation
Total Expense Ratio 1.58
Min. Initial Investment 250.00 USD
Fund Existence 11 years
Turnover 83
Front Load N/A
Net Assets 26.62b USD
Manager Tenure N/A
Group International Stock Funds
Category World Allocation
Capitalization 0.00 USD
P/E Ratio
Total Cash 0.00 USD
Projected Growth
Total Debt 0.00 USD
Revenue 0.00 USD
Risk (Beta)
Dividend Yield
Total Cash/Share
Total Debt/Equity
Revenue/Share 0.00USD as % of share price
Group International Stock Funds
Category World Allocation
Net Assets 0.00 USD
Fund Existence
Turnover
Capitalization
Yield
Total Expense Ratio
Investment Style
Risk (Beta)
Group International Stock Funds
Category World Allocation
Market Capitalization 0.00 USD
Volume 0.00 USD