American Funds Preservation Portfolio Class F-1

American Funds Preservation Portfolio Class F-1

PPVFX

$9.28

Updated: 23/09/2026, 11:04:43

Market Cap
$1.84B
Sector
Financial Services
Industry
Asset Management
Country
US
Stock valuation chart
One-year closing share-price history for PPVFX
Company Profile

The primary goal of this investment vehicle is to deliver a consistent stream of income while simultaneously safeguarding the original capital invested. It achieves this by strategically allocating its assets across various fixed-income portfolios managed by American Funds. Specifically, the fund's underlying holdings are primarily focused on investments that aim to generate current income through a range of bonds and other debt instruments. These underlying funds have the flexibility to hold debt obligations guaranteed by the U.S. government, securities issued by federal agencies, and instruments backed by mortgages or other types of assets. The investment advisor foresees that including mortgage-backed securities (MBS) and asset-backed securities (ABS) will be instrumental in boosting the fund's income generation capabilities.

USD
NASDAQ
https://www.capitalgroup.com/individual/investments/mutual-funds/details/ppvfx
Asset Summaries
Latest generated summaries for PPVFX

No summaries found.

Detailed business
Structured knowledge from the latest official annual filing.
No official annual filing has completed ingestion for this company yet. The filing worker processes major-index companies incrementally and never repeats a completed fiscal year.
Full company information
Latest profile, trading, valuation, and identifier data stored for PPVFX.
Share price
$9.28
Market cap
$1.84B
Exchange
NASDAQ
Currency
USD
CEO
N/A
Employees
N/A
IPO date
24/05/2012
Beta
0.4
Last dividend
$0.00
Day range
$9.28 – $9.28
52-week range
$9.27 – $9.60
1-day performance
0.00%
1-year performance
0.11%
Current drawdown (1Y)
-3.33%
CIK
0001537151
CUSIP
02630Y760
ISIN
US02630Y7601
Created
07/12/2025, 05:49:16
Last update
23/09/2026, 11:04:43

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