American Funds Global Insight Fund

American Funds Global Insight Fund · 21 share classes

Actively managed global equity fund
One fund, 21 share classes:RGLGXCGVYXRGLFXRGLEXRGLDXRGLHXAGVTXRGLBXRGLAXAGVHXAGVGXAGVEXAGVDXAGVFXCGVTXCGVFXCGVEXCGVBXRGLJXCGVGXCGVHX
$20.58B NAV
191 positions · as of 2026-04-30 · filed 2026-06-26

Fund classification

Classified from what the fund holds · as of 2026 Q2

American Funds Global Insight Fund is an actively managed global equity fund.

Asset class
Equity
Region
Global
Management
Actively managed
Fund type
Open-end fund

Fund profile

As filed in the prospectus · 2025 Q4

The funds investment objective is to provide prudent growth of capital and conservation of principal.

Strategy · summarised

The fund invests in common stocks worldwide selected for attributes associated with long-term growth and resilience, including strong management, participation in growing markets, solid balance sheets, and potential for above-average earnings or cash flow growth. It maintains at least 40% of assets outside the United States (or 30% if market conditions are unfavorable, or the MSCI World Index weight of non-U.S. companies minus 5%, whichever is lower), with up to 10% in emerging markets. The portfolio is divided into segments managed by multiple individual portfolio managers. Because performance depends on the investment adviser's judgments about which companies represent attractive opportunities, results will diverge from any benchmark.

Expenses
0.45% 1.61%across 21 share classes
Share classGrossNet
RGLGX0.45%0.45%
CGVYX0.80%
RGLFX0.51%0.51%
RGLEX0.80%0.80%
RGLDX1.17%1.10%
RGLHX1.24%1.24%
AGVTX0.81%
RGLBX1.53%1.53%
RGLAX1.51%
AGVHX0.45%
AGVGX0.56%
AGVEX0.82%
AGVDX1.56%
AGVFX0.83%
CGVTX0.85%
CGVFX0.87%
CGVEX1.08%
CGVBX1.61%
RGLJX0.71%0.60%
CGVGX0.57%
CGVHX0.50%

Net is what a holder pays after the adviser's contractual waiver; gross is before it. A waiver can expire.

Portfolio turnover 35.00% · as of 2025 Q4

Allocation

Asset groups · long / short shown separately, never netted · 2026 Q2

100.02%
of net assets
Stocks96.07%
Cash & short-term3.95%

Sector allocation

The same holdings as Allocation above, grouped by market sector instead of asset type · as of 2026 Q2

100%
of net assets
International43.2%
Information Technology16.1%
Industrials8.0%
Communication Services7.0%
10 smaller25.7%

Government, Securitized and Cash are non-corporate buckets; International is foreign holdings we don’t sector-classify, and Other is the residual (held funds, unresolved names).

Latest quarter

What changed since the fund's previous filing

2026Q2 vs 2026Q1: 17 new11 exited

Largest new: GLENCORE PLC, VEOLIA ENVIRONNEMENT SA, TOKIO MARINE HOLDINGS INC, JAPAN POST BANK CO LTD, MRK, COMPAGNIE DE SAINT-GOBAIN SA, WHEATON PRECIOUS METALS CORP, ROCHE HOLDING AG

Largest exited: ACCENTURE PLC, MTU AERO ENGINES AG, WOLTERS KLUWER NV, TMUS, FLUTTER ENTERTAINMENT PLC, AMADEUS IT GROUP SA, TERUMO CORP, RECRUIT HOLDINGS CO LTD

Return profile

Chart:

Total return as filed — price change plus distributions reinvested · trailing figures to Apr 2026

Share class1-year3-year5-yearVolWorst fall
+25.82%+54.50%+52.68%13.63%-8.62%
+25.39%+52.82%+49.87%13.65%-8.71%
+25.70%+54.20%+52.21%13.61%-8.62%
+25.38%+52.90%+50.00%13.63%-8.70%
+25.00%+51.56%+47.79%13.64%-8.77%
+24.93%+51.19%+47.27%13.65%-8.79%
+25.67%+53.94%+51.81%13.63%-8.62%
+24.44%+49.56%+44.79%13.64%-8.85%
+24.57%+50.14%+46.31%13.64%-8.80%
+25.82%+54.47%+52.55%13.63%-8.62%
+25.66%+53.96%+51.82%13.66%-8.63%
+25.32%+52.75%+49.80%13.62%-8.71%
+24.41%+49.40%+44.35%13.60%-8.89%
+25.32%+52.64%+49.53%13.63%-8.71%
+25.63%+53.78%+51.42%13.68%-8.63%
+25.59%+53.64%+51.27%13.63%-8.67%
+25.12%+51.84%+48.28%13.63%-8.78%
+24.39%+49.21%+44.06%13.64%-8.89%
+25.60%+53.82%+51.36%13.63%-8.64%
+25.68%+53.87%+51.59%13.64%-8.65%
+25.74%+54.19%+52.17%13.65%-8.60%

These classes hold the same portfolio, so the 8.62pp spread over 5 years is the cost difference between them — roughly 1.72pp a year — not a difference in what they own.

Cumulative return· May 2023 – Apr 2026

Holdings

By % of NAV · equity positions carry filed share counts · every resolvable issuer links to its company page

Issuer%NAVValue
BROADCOM INCAVGO5.00%$1.03B
CAPITAL GROUP CENTRAL CASH FUNDCMQXX3.95%$812.08M
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM3.78%$778.84M
ALPHABET INCGOOGL3.55%$730.16M
MICROSOFT CORPMSFT3.23%$665.02M
APPLE INCAAPL2.86%$589.05M
ASML HOLDING NV2.46%$505.54M
NVIDIA CORPNVDA2.09%$429.48M
JPMORGAN CHASE & COJPM2.09%$429.25M
AMAZON.COM INCAMZN1.96%$402.48M
Showing 10 of 191Sign in to see more

Reported price is the fund's own reported value divided by its own reported shares at 2026-04-30 — not a live quote, and not what the fund paid.

Top 10 positions are 30.96% of net assets, top 25 51.36%, across 189 issuers.

See more of this fund's book

More positions with filed share counts, and the quarter-over-quarter change list rather than the largest few — free with an account, no card required.

Sign in free