AMERICAN FUNDS INCOME FUND OF AMER A - LOAD EQUITY FUND Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / LOAD EQUITY FUND
Price per share
$27.47
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
45,105
Total reported value
$1,241,578
% of total 13F portfolios
0%
Share change
-4,080
Value change
-$80,177
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 45,105 shares of AMERICAN FUNDS INCOME FUND OF AMER A - LOAD EQUITY FUND.

Institutional Holders of AMERICAN FUNDS INCOME FUND OF AMER A - LOAD EQUITY FUND across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 45,105 $1,241,578 -$80,177 $27.47 3
2025 Q2 49,185 $1,310,244 +$450,492 $26.64 5
2025 Q1 32,284 $819,595 -$385,715 $25.39 3
2024 Q4 49,108 $1,198,858 +$7,028 $24.42 5
2024 Q3 48,820 $1,266,615 -$130,784 $25.96 5
2024 Q2 64,747 $1,559,672 +$264,500 $24.10 7
2024 Q1 52,566 $1,272,029 +$194,284 $24.27 4
2023 Q4 46,841 $1,097,264 +$483,584 $23.44 7
2023 Q3 10,488 $229,024 -$18,692 $21.86 2
2023 Q2 13,020 $295,585 -$2,284 $22.75 4
2023 Q1 13,106 $297,081 -$63,035 $22.71 4
2022 Q4 14,103 $319,000 -$107,554 $22.71 3
2022 Q3 19,376 $416,000 +$134,165 $21.48 4
2022 Q2 12,274 $284,000 -$147,000 $23.13 3
2022 Q1 17,016 $431,000 -$71,000 $25.33 1
2021 Q4 19,758 $511,000 -$432,452 $25.88 2
2021 Q3 36,822 $933,000 -$250,000 $25.34 4
2021 Q2 38,039 $982,000 +$35,000 $25.82 4
2021 Q1 37,786 $937,000 +$237,600 $24.80 2
2020 Q4 28,772 $677,000 -$574,003 $23.53 2
2020 Q3 127,986 $1,252,550 -$67,986 $10.95 2
2020 Q2 129,298 $1,270,448 +$67,551 $21.02 3
2020 Q1 124,682 $1,105,304 -$117,000 $9.67 2
2019 Q4 128,682 $1,446,545 -$114,372 $23.13 4
2019 Q3 64,942 $1,477,000 -$245,104 $22.74 1
2019 Q2 77,997 $1,755,000 -$348,170 $22.50 3
2019 Q1 93,512 $2,069,000 -$936,545 $22.25 4
2018 Q4 139,530 $2,878,000 +$919,030 $20.61 7
2018 Q3 92,600 $2,147,935 +$36,396 $23.19 4
2018 Q2 91,033 $2,068,197 -$40,410 $22.72 5
2018 Q1 92,826 $2,112,257 -$573,336 $22.76 4
2017 Q4 117,494 $2,746,000 -$580,486 $23.37 5
2017 Q3 142,512 $3,309,000 +$192,521 $23.22 7
2017 Q2 224,530 $5,065,690 -$230,484 $22.56 6
2017 Q1 236,245 $5,268,227 -$929,521 $22.30 7
2016 Q4 279,236 $6,050,000 +$2,133,183 $21.67 9
2016 Q3 180,797 $3,885,000 -$38,381,203 $21.50 6
2016 Q2 169,896 $42,224,000 +$1,378,031 $21.24 6
2016 Q1 103,491 $2,140,000 -$314,152 $20.70 5
2015 Q4 119,811 $2,423,698 -$350,163 $20.23 7
2015 Q3 136,506 $2,706,297 +$147,066 $19.83 8
2015 Q2 128,104 $2,711,954 -$1,171,126 $21.18 6
2015 Q1 181,715 $3,929,000 +$426,714 $21.62 8
2014 Q4 162,110 $3,497,000 +$1,980,200 $21.57 6
2014 Q3 70,344 $1,509,000 +$187,882 $21.45 5
2014 Q2 61,245 $1,331,780 -$484,801 $21.75 4
2014 Q1 84,185 $1,769,954 +$705,066 $21.02 6