CNLAX Holdings — American Funds Inflation Linked Bond Fund

All 159 reported holdings of American Funds Inflation Linked Bond Fund (CNLAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United States Treasury7.55%$996.39M
United States Treasury5.59%$737.37M
United States Treasury5.19%$684.62M
United States Treasury4.80%$633.43M
United States Treasury4.57%$602.34M
United States Treasury4.01%$529.40M
United States Treasury3.85%$507.55M
United States Treasury3.84%$506.32M
United States Treasury3.10%$408.57M
United States Treasury3.10%$408.34M
United States Treasury2.88%$380.46M
United States Treasury2.68%$353.08M
United States Treasury2.65%$349.27M
United States Treasury2.42%$319.57M
United States Treasury2.32%$306.47M
Riskless Issuer2.26%$298.71M
Capital Group Central Cash Fund2.14%$282.31M
United States Treasury2.07%$273.27M
United States Treasury2.05%$270.61M
United States Treasury2.01%$265.04M
United States Treasury1.91%$251.72M
United States Treasury1.91%$251.61M
United States Treasury1.74%$229.47M
United States Treasury1.61%$212.52M
United States Treasury1.52%$200.22M
United States Treasury1.45%$191.82M
United States Treasury1.25%$164.82M
United States Treasury1.22%$160.78M
United States Treasury1.18%$155.91M
United States Treasury1.12%$148.33M
Japan (government Of)1.12%$147.13M
United States Treasury1.10%$144.91M
United States Treasury0.86%$113.22M
United States Treasury0.84%$111.22M
United States Treasury0.80%$106.05M
United States Treasury0.76%$100.49M
United States Treasury0.73%$96.81M
United States Treasury0.67%$88.52M
United States Treasury0.67%$88.27M
United States Treasury0.58%$76.53M
United States Treasury0.51%$67.45M
United States Treasury0.48%$63.67M
United States Treasury0.43%$56.60M
United States Treasury0.33%$43.49M
Ford Motor Credit Company LLC0.27%$36.13M
Affirm Master Trust Afrmt_25-2-A0.24%$31.86M
Morgan Stanley0.22%$29.12M
Irv 2025-200p0.22%$28.84M
Charter Communications Operating LLC0.21%$28.20M
Bristol-Myers Squibb Co.0.21%$27.30M
Unitedhealth Group, Inc.0.19%$25.64M
Cvs Health Corp.0.19%$25.40M
European Union0.19%$25.37M
Verizon Communications, Inc.0.19%$25.16M
Spain (kingdom Of)0.17%$22.83M
Amgen, Inc.0.17%$22.82M
Oracle Corp.0.17%$22.50M
Sba Tower Trust0.17%$22.19M
Boeing Co/the0.17%$22.08M
Cleveland-Cuyahoga Cnty Ohio Port Auth0.16%$21.12M
Ford Motor Co.0.16%$20.96M
Mexico (united Mexican States) (government)0.16%$20.57M
Meta Platforms, Inc.0.14%$17.99M
Clast 2025-1a0.13%$17.78M
Kookmin Bank0.13%$17.18M
Southern California Edison Co.0.13%$17.15M
Houston Galleria Mall Trust 2025-Hglr0.13%$16.54M
Own Equipment Fund Ii LLC 25-1m0.12%$16.37M
America Movil Sab De Cv0.12%$16.31M
Morgan Stanley0.12%$16.29M
Qatar Energy0.12%$15.51M
Boeing Co/the0.11%$14.86M
Motherson Global Investments Bv0.11%$14.68M
Public Finance Authority Wisconsin0.11%$14.09M
State Board Of Administration Finance Corp.0.11%$13.92M
Hungary (republic Of)0.09%$12.04M
United Kingdom Of Great Britain And Northern Ireland (government)0.09%$12.02M
Boeing Co/the0.09%$11.73M
Fasst 2025-Pc10.09%$11.39M
Lg Energy Solution Ltd.0.08%$11.03M
Seaco_20-10.08%$10.91M
Hungary (republic Of)0.08%$10.89M
China Huaneng Group Hong Kong Treasury Management Holding Ltd.0.08%$10.53M
Lyb International Finance Iii LLC0.08%$10.37M
Qatar Energy0.08%$10.16M
Towd Point Mortgage Trust Tpmp_20-40.08%$10.02M
Verizon Communications, Inc.0.08%$10.02M
Hertz Vehicle Financing Iii LLC Hertz_25-60.08%$9.92M
Morgan Stanley0.07%$9.80M
Global Sc Finance Vii Srl0.07%$9.35M
Hertz Vehicle Financing LLC Hertz_21-20.07%$8.73M
Qatar Energy0.06%$8.26M
First National Master Note Trust Fnmnt_25-10.06%$7.90M
Fordf 2025-10.06%$7.83M
Mre 2026-1a0.06%$7.74M
Hana Bank0.06%$7.66M
University Of California0.06%$7.65M
Sfast 2025-2a0.05%$7.02M
Boca 2025-Boca0.05%$6.87M
Bank Of America Corp.0.05%$6.69M
Charter Communications Operating LLC0.05%$6.45M
Hertz Vehicle Financing LLC Hertz_21-20.04%$5.87M
Synchrony Card Issuance Trust0.04%$5.73M
Morgan Stanley0.04%$5.54M
Hertz Vehicle Financing Iii LLC Hertz_25-50.04%$5.34M
Petronas Capital Ltd.0.04%$5.31M
Petronas Capital Ltd.0.04%$5.09M
Boeing Co/the0.04%$4.98M
Alphabet, Inc.0.04%$4.87M
Edison International0.04%$4.74M
Gcar 2026-2a0.03%$4.57M
Verizon Communications, Inc.0.03%$4.56M
Eart 2025-2a0.03%$4.46M
Southern California Edison Co.0.03%$4.29M
Verizon Communications, Inc.0.03%$4.06M
Tal Advantage Vii LLC Tal_20-1a0.03%$4.04M
Suttonpark Structured Settlements Spss_2021-10.03%$3.99M
Charter Communications Operating LLC0.03%$3.95M
Obx 2025-Nqm80.03%$3.86M
Cf Hippolyta Issuer LLC Sort_20-10.03%$3.85M
Mcas 2025-010.03%$3.66M
Sdr 2024-Dsny0.03%$3.55M
Nelnet Student Loan Trust Nslt_21-A0.03%$3.42M
New Economy Assets - Phase I Issuer LLC Usre_21-10.03%$3.31M
United States Treasury0.02%$3.16M
Textainer Marine Containers Iv Ltd. Tcml_20-20.02%$3.12M
Triton Container Finance LLC Tcf_20-10.02%$3.08M
Navient Private Education Loan Trust Navsl_21-C0.02%$2.93M
Charter Communications Operating LLC0.02%$2.92M
Sccu 2026-1a0.02%$2.84M
Pkair 2026-10.02%$2.75M
Cf Hippolyta Issuer LLC Sort_21-10.02%$2.62M
United States Treasury0.02%$2.60M
Southern California Edison Co.0.02%$2.55M
Sfast 2025-2a0.02%$2.50M
Clarus 2026-1a0.02%$2.40M
Tmx Group Ltd.0.02%$2.22M
Avis Budget Rental Car Funding Aesop_25-10.01%$1.89M
United States Treasury0.01%$1.74M
Arroyo Mortgage Trust Arrw_22-10.01%$1.72M
Triton Container Finance LLC Tcf_20-10.01%$1.69M
Lyb International Finance Iii LLC0.01%$1.69M
Charter Communications Operating LLC0.01%$1.57M
Seaco_20-10.01%$1.51M
Wlake 2025-P10.01%$1.19M
Eurex Clearing AG0.01%$1.09M
Stacr 2025-Dna20.01%$1.06M
Japan Exchange Group, Inc.0.01%$915.25K
Lyb International Finance Iii LLC0.01%$871.29K
Hertz Vehicle Financing LLC Hertz_21-20.01%$818.64K
Cf Hippolyta Issuer LLC Sort_20-10.00%$603.08K
Lyb International Finance Iii LLC0.00%$579.63K
Wef 2024-1a0.00%$572.38K
Asx Ltd.0.00%$515.50K
Southern California Edison Co.0.00%$131.73K
Petroleos Mexicanos0.00%$1.72K
United States Treasury0.00%$338
Cme Chicago Mercantile Exchange-0.03%$-3.77M
Cdx High Grade Issuer-0.11%$-14.73M

CNLAX overview: performance, fees, allocation and SEC filings