RANAX Mutual Fund

NAV$8.92

Fund Essentials - as of Mar 31, 2026

Net Assets
$564,850
Expense Ratio
1.40%
Dividend Yield (Current)
3.36%
Holdings
2,543
Inception Date
Mar 18, 2016
Fund Family
American Funds
Investment Style
PRO
Asset Class
PRO
Legal Structure
PRO
Dividend Frequency
Quarterly
SEC 30-Day Yield
PRO

Performance

YTD-1.42%
1 Year+0.56%
3 Year+2.06%
5 Year-1.71%
10 Year+1.03%

Asset Allocation

Stocks: 0.04%
Bonds: 90.36%
Cash: 9.94%

Price Chart (6M)

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Top Holdings

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TickerNameWeight
CMQXXCapital Group Central Cash Fund9.94%
-Treasury (Cpi) Note 1.88% Jan 15, 20363.42%
-Wi Treasury Sec 11/55 4.625 11/15/20553.30%
T 4.75 02/15/45Us Treasury N/B 4.75 2045-02-151.13%
TII 2.375 02/15/55Tsy Infl Ix N/B 02/55 2.3751.10%
Top 10 Concentration: 23.78%Report Date: Mar 31, 2026
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Dividend Summary

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Dividend Yield (Current)
3.36%
Frequency
Quarterly
Latest Distribution
$0.04
-

Peer Comparison

Benchmark
PRO
Peer outperformance: PRO
Category rank: PRO
This Mutual Fund
PRO
Peer Avg
PRO
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Category rank, peer-average returns and outperformance, updated daily.
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RANAX Mutual Fund Overview

RANAX Mutual Fund (American Funds Strategic Bond Fund Class R-1) is managed by American Funds with $564,850 in net assets. RANAX expense ratio is 1.40%, holding 2543 positions across sectors including Other, Financials, Unknown. Inception date: 2016-03-18.

RANAX performance shows a YTD return of -1.42%. The 1-year return is 0.56% and the 5-year return is -1.71%. RANAX dividend yield stands at 3.36%, paid quarterly.

RANAX top holdings include Capital Group Central Cash Fund (9.9%), Treasury (Cpi) Note 1.88% Jan 15, 2036 (3.4%), Wi Treasury Sec 11/55 4.625 11/15/2055 (3.3%), Us Treasury N/B 4.75 2045-02-15 (1.1%), Tsy Infl Ix N/B 02/55 2.375 (1.1%). View all RANAX holdings, sector breakdown, or dividend history.

RANAX can be compared against other funds using the overlap calculator or side-by-side comparison tool. RANAX alternatives are available via the screener, along with tax-loss harvesting opportunities.