AMERICAN FUNDS INSURANCE SERIES INTERNATIONAL FUND CLASS 1

Alpha 1 Year0.01 Alpha 10 Years0.23 Alpha 15 Years0.34 Alpha 20 Years0.72 Alpha 3 Years-1.88 Alpha 5 Years-1.56 Average Gain 1 Year4.75 Average Gain 10 Years3.47 Average Gain 15 Years3.64 Average Gain 20 Years3.70 Average Gain 3 Years4.49 Average Gain 5 Years4.43 Average Loss 1 Year-2.89 Average Loss 10 Years-3.57 Average Loss 15 Years-3.63 Average Loss 20 Years-3.82 Average Loss 3 Years-4.20 Average Loss 5 Years-4.21 Batting Average 1 Year58.33 Batting Average 10 Years54.17 Batting Average 15 Years50.56 Batting Average 20 Years51.25 Batting Average 3 Years50.00 Batting Average 5 Years50.00 Beta 1 Year1.08 Beta 10 Years1.02 Beta 15 Years1.01 Beta 20 Years0.96 Beta 3 Years1.08 Beta 5 Years1.06 Capture Ratio Down 1 Year117.34 Capture Ratio Down 10 Years99.86 Capture Ratio Down 15 Years99.21 Capture Ratio Down 20 Years95.30 Capture Ratio Down 3 Years118.87 Capture Ratio Down 5 Years111.20 Capture Ratio Up 1 Year107.50 Capture Ratio Up 10 Years100.62 Capture Ratio Up 15 Years100.40 Capture Ratio Up 20 Years98.31 Capture Ratio Up 3 Years107.13 Capture Ratio Up 5 Years102.30 Correlation 1 Year99.07 Correlation 10 Years96.86 Correlation 15 Years97.34 Correlation 20 Years97.29 Correlation 3 Years97.46 Correlation 5 Years97.67 High 1 Year19.45 Information Ratio 1 Year-0.31 Information Ratio 10 Years0.04 Information Ratio 15 Years0.07 Information Ratio 20 Years0.14 Information Ratio 3 Years-0.64 Information Ratio 5 Years-0.44 Low 1 Year15.41 Maximum Loss 1 Year-13.77 Maximum Loss 10 Years-33.71 Maximum Loss 15 Years-33.71 Maximum Loss 20 Years-52.36 Maximum Loss 3 Years-33.62 Maximum Loss 5 Years-33.71 Performance Current Year6.83 Performance since Inception1,055.15 Risk adjusted Return 10 Years0.03 Risk adjusted Return 3 Years-8.01 Risk adjusted Return 5 Years-0.73 Risk adjusted Return Since Inception-1.81 R-Squared (R²) 1 Year98.16 R-Squared (R²) 10 Years93.83 R-Squared (R²) 15 Years94.75 R-Squared (R²) 20 Years94.65 R-Squared (R²) 3 Years94.99 R-Squared (R²) 5 Years95.40 Sortino Ratio 1 Year1.28 Sortino Ratio 10 Years0.35 Sortino Ratio 15 Years0.60 Sortino Ratio 20 Years0.52 Sortino Ratio 3 Years-0.29 Sortino Ratio 5 Years0.36 Tracking Error 1 Year2.63 Tracking Error 10 Years3.93 Tracking Error 15 Years3.73 Tracking Error 20 Years3.96 Tracking Error 3 Years4.24 Tracking Error 5 Years4.20 Trailing Performance 1 Month-0.48 Trailing Performance 1 Week-1.69 Trailing Performance 1 Year6.44 Trailing Performance 10 Years48.33 Trailing Performance 2 Years21.74 Trailing Performance 3 Months0.62 Trailing Performance 3 Years-5.65 Trailing Performance 4 Years18.27 Trailing Performance 5 Years18.98 Trailing Performance 6 Months5.99 Trailing Return 1 Month-1.07 Trailing Return 1 Year10.81 Trailing Return 10 Years4.01 Trailing Return 15 Years6.47 Trailing Return 2 Months2.15 Trailing Return 2 Years13.05 Trailing Return 20 Years6.34 Trailing Return 3 Months0.73 Trailing Return 3 Years-2.25 Trailing Return 4 Years5.92 Trailing Return 5 Years3.68 Trailing Return 6 Months7.35 Trailing Return 6 Years3.07 Trailing Return 7 Years4.24 Trailing Return 8 Years6.59 Trailing Return 9 Months18.17 Trailing Return 9 Years4.56 Trailing Return Since Inception7.44 Trailing Return YTD - Year to Date7.35 Treynor Ratio 1 Year11.08 Treynor Ratio 10 Years2.58 Treynor Ratio 15 Years5.34 Treynor Ratio 20 Years5.06 Treynor Ratio 3 Years-4.90 Treynor Ratio 5 Years2.82

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