0001145549-21-037550.txt : 20210625 0001145549-21-037550.hdr.sgml : 20210625 20210625134927 ACCESSION NUMBER: 0001145549-21-037550 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20210430 FILED AS OF DATE: 20210625 PERIOD START: 20210731 FILER: COMPANY DATA: COMPANY CONFORMED NAME: INCOME FUND OF AMERICA CENTRAL INDEX KEY: 0000050013 IRS NUMBER: 060867264 STATE OF INCORPORATION: DE FISCAL YEAR END: 0731 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-01880 FILM NUMBER: 211046637 BUSINESS ADDRESS: STREET 1: 6455 IRVINE CENTER DRIVE CITY: IRVINE STATE: CA ZIP: 92618 BUSINESS PHONE: 213-486-9501 MAIL ADDRESS: STREET 1: 333 S HOPE ST - 55TH FLOOR (GYR) CITY: LOS ANGELES STATE: CA ZIP: 90071 FORMER COMPANY: FORMER CONFORMED NAME: INCOME FUND OF AMERICA INC DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: GREAT COMPANIES OF AMERICA INC DATE OF NAME CHANGE: 19710427 FORMER COMPANY: FORMER CONFORMED NAME: GREENWICH GROWTH FUND INC DATE OF NAME CHANGE: 19701222 0000050013 S000008814 INCOME FUND OF AMERICA C000023985 Class A AMECX C000023986 Class R-1 RIDAX C000023987 Class R-2 RIDBX C000023988 Class R-3 RIDCX C000023989 Class R-4 RIDEX C000023990 Class R-5 RIDFX C000023992 Class C IFACX C000023993 Class F-1 IFAFX C000023994 Class 529-A CIMAX C000023996 Class 529-C CIMCX C000023997 Class 529-E CIMEX C000023998 Class 529-F-1 CIMFX C000068581 Class F-2 AMEFX C000077898 Class R-6 RIDGX C000148385 Class R-2E RIEBX C000164804 Class R-5E RIDHX C000179951 Class F-3 FIFAX C000189427 Class 529-T TFAAX C000189428 Class T TIAFX C000223653 Class 529-F-2 FAIFX C000223654 Class 529-F-3 FFIFX NPORT-P 1 primary_doc.xml NPORT-P false 0000050013 XXXXXXXX S000008814 C000189428 C000189427 C000023988 C000179951 C000164804 C000023993 C000023990 C000068581 C000223653 C000023987 C000023998 C000023989 C000023996 C000077898 C000023986 C000223654 C000023985 C000023994 C000148385 C000023997 C000023992 Income Fund of 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QVXH Y+4CXA^'UBNH_VPVLZ% Z)/ M!>H/M$,98+N60??(R."*]"KBQX"N;V:W&N^)M1U6RMY%DCM)$2-693E?,*C+ 5X/K[5VE !1110 4444 %%%% '__9 end NPORT-EX 3 edgar.htm
The Income Fund of America®
Investment portfolio
April 30, 2021
unaudited
Common stocks 74.87%
Financials 13.35%
  Shares Value
(000)
JPMorgan Chase & Co.   24,310,355 $3,739,176
CME Group Inc., Class A   9,803,072 1,980,122
PNC Financial Services Group, Inc.   6,575,330 1,229,258
Citigroup Inc.   12,486,500 889,538
Bank of Nova Scotia (CAD denominated)   10,290,000 655,248
Synchrony Financial   14,748,551 645,102
BlackRock, Inc.   774,576 634,610
Zurich Insurance Group AG   1,435,535 588,990
Toronto-Dominion Bank (CAD denominated)   8,463,218 581,818
The Blackstone Group Inc.   5,338,000 472,360
Manulife Financial Corp.   21,175,000 462,382
Fifth Third Bancorp   8,830,000 357,968
Progressive Corp.   3,299,105 332,352
KeyCorp   14,220,000 309,427
Apollo Global Management, Inc., Class A   5,525,000 305,919
Power Corp. of Canada, subordinate voting shares   10,016,953 291,752
American International Group, Inc.   5,645,558 273,527
Ares Management Corp., Class A   5,143,000 270,110
Münchener Rückversicherungs-Gesellschaft AG   787,700 227,899
DBS Group Holdings Ltd.   9,960,844 223,880
Regions Financial Corp.   10,069,900 219,524
B3 SA - Brasil, Bolsa, Balcao   21,402,000 202,907
Banco Santander, SA   47,000,000 181,666
Legal & General Group PLC   47,090,000 177,152
Carlyle Group Inc.   3,983,000 169,915
ING Groep NV   10,856,000 138,739
Principal Financial Group, Inc.   2,055,600 131,291
Franklin Resources, Inc.   4,053,503 121,605
DNB ASA   5,496,100 118,222
Sberbank of Russia PJSC (ADR)   5,671,000 89,262
BOC Hong Kong (Holdings) Ltd.   22,180,000 78,238
Janus Henderson Group PLC   2,224,000 76,483
Bank of America Corp.   1,660,000 67,280
National Bank of Canada   920,000 66,885
AXA SA1   2,255,000 63,778
Swedbank AB, Class A   2,677,000 47,035
Ping An Insurance (Group) Company of China, Ltd., Class H   4,254,000 46,523
China Pacific Insurance (Group) Co., Ltd., Class H   9,385,000 33,950
PICC Property and Casualty Co., Ltd., Class H   34,542,000 33,929
Truist Financial Corp.   396,000 23,487
The Bank of N.T. Butterfield & Son Ltd.   400,000 15,688
BB Seguridade Participações SA   3,300,000 13,566
St. James’s Place PLC   466,000 8,762
Jonah Energy Parent LLC2,3,4   275,936 4,139
      16,601,464
The Income Fund of America — Page 1 of 50

unaudited
Common stocks (continued)
Consumer staples 9.93%
  Shares Value
(000)
Philip Morris International Inc.   31,711,177 $3,012,562
Altria Group, Inc.   36,446,000 1,740,297
General Mills, Inc.   23,099,536 1,405,838
British American Tobacco PLC   30,673,297 1,136,132
Procter & Gamble Company   5,884,000 785,043
Kraft Heinz Company   17,629,600 727,926
Coca-Cola Company   13,341,890 720,195
Kellogg Co.   9,445,000 589,557
PepsiCo, Inc.   3,880,100 559,355
Nestlé SA   4,237,617 505,220
Archer Daniels Midland Company   5,591,200 352,972
Walgreens Boots Alliance, Inc.   6,019,500 319,635
Bunge Ltd.   1,785,000 150,690
Colgate-Palmolive Company   1,669,519 134,730
Conagra Brands, Inc.   2,548,100 94,509
Kimberly-Clark Corp.   571,000 76,126
Scandinavian Tobacco Group A/S2   2,240,000 40,793
      12,351,580
Information technology 8.21%      
Microsoft Corp.   11,602,554 2,925,932
Taiwan Semiconductor Manufacturing Company, Ltd.2   113,988,500 2,465,790
Taiwan Semiconductor Manufacturing Company, Ltd. (ADR)   1,855,000 216,553
Broadcom Inc.   5,635,812 2,571,057
Texas Instruments Inc.   3,120,000 563,191
QUALCOMM Inc.   1,922,000 266,774
Tokyo Electron Ltd.   569,400 251,747
Intel Corp.   4,300,000 247,379
Cisco Systems, Inc.   4,220,000 214,840
Vanguard International Semiconductor Corp.2   38,129,886 164,038
International Business Machines Corp.   800,000 113,504
NortonLifeLock Inc.   3,528,359 76,248
Western Union Company   2,910,121 74,965
Globalwafers Co., Ltd.2   1,600,000 49,914
      10,201,932
Health care 7.76%      
Pfizer Inc.   59,855,000 2,313,396
Gilead Sciences, Inc.   21,194,650 1,345,224
AstraZeneca PLC   11,927,800 1,270,883
Novartis AG   10,558,120 901,299
CVS Health Corp.   8,763,349 669,520
Johnson & Johnson   4,085,000 664,752
Amgen Inc.   2,261,410 541,924
GlaxoSmithKline PLC   23,097,000 427,307
Merck & Co., Inc.   5,490,732 409,059
Bristol-Myers Squibb Company   5,685,000 354,858
Takeda Pharmaceutical Company, Ltd.   5,469,000 181,900
AbbVie Inc.   1,500,000 167,250
Bayer AG   2,344,000 151,669
Sanofi1   913,000 95,792
Viatris Inc.4   5,433,074 72,260
Rotech Healthcare Inc.2,3,4,5,6   543,172 58,391
The Income Fund of America — Page 2 of 50

unaudited
Common stocks (continued)
Health care (continued)
  Shares Value
(000)
Advanz Pharma Corp. Ltd.4,6   961,943 $16,161
Advanz Pharma Corp. Ltd.4   223,343 3,752
      9,645,397
Industrials 7.07%      
Lockheed Martin Corp.   4,468,500 1,700,532
Emerson Electric Co.   9,984,565 903,503
BAE Systems PLC   102,661,383 717,693
Norfolk Southern Corp.   2,332,453 651,314
PACCAR Inc.   6,470,200 581,542
Honeywell International Inc.   2,517,500 561,503
AB Volvo, Class B   19,230,000 469,872
United Parcel Service, Inc., Class B   2,190,000 446,453
Kone OYJ, Class B   5,280,500 414,810
Hubbell Inc.   1,835,000 352,338
ManpowerGroup Inc.   2,722,832 329,163
Illinois Tool Works Inc.   1,385,200 319,233
Raytheon Technologies Corp.   3,211,174 267,298
ACS, Actividades de Construcción y Servicios, SA   5,982,748 195,140
Watsco, Inc.   665,000 194,752
General Dynamics Corp.   800,000 152,184
Deutsche Post AG   1,746,861 102,813
Johnson Controls International PLC   1,533,000 95,567
Caterpillar Inc.   400,000 91,244
Cummins Inc.   300,000 75,612
Associated Materials Group Inc.2,3,4,5   8,173,633 67,351
Inwido AB4   1,850,000 32,387
Singapore Technologies Engineering Ltd.   8,496,000 24,644
Intrum AB1   700,000 24,104
Coor Service Management Holding AB   1,750,000 14,801
      8,785,853
Real estate 6.59%      
Crown Castle International Corp. REIT   10,261,688 1,940,075
Digital Realty Trust, Inc. REIT   9,204,000 1,420,269
Gaming and Leisure Properties, Inc. REIT5   16,512,095 767,647
Iron Mountain Inc. REIT   13,695,000 549,443
MGM Growth Properties LLC REIT, Class A5   10,906,300 392,845
Prologis, Inc. REIT   2,796,000 325,818
Public Storage REIT   1,138,000 319,960
VICI Properties Inc. REIT   9,950,000 315,415
Camden Property Trust REIT   2,580,285 310,873
American Tower Corp. REIT   842,000 214,516
Shimao Group Holdings Ltd.   71,784,000 207,929
Lamar Advertising Co. REIT, Class A   2,003,322 198,409
Longfor Group Holdings Ltd.   27,806,000 173,435
Douglas Emmett, Inc. REIT   4,750,000 159,315
Federal Realty Investment Trust REIT   1,400,000 157,976
Extra Space Storage Inc. REIT   983,000 146,162
CIFI Holdings (Group) Co. Ltd.   160,670,437 143,756
Mid-America Apartment Communities, Inc. REIT   875,000 137,664
Simon Property Group, Inc. REIT   1,000,000 121,740
Boston Properties, Inc. REIT   795,496 86,987
Regency Centers Corp. REIT   1,012,264 64,441
Brookfield Property Partners LP   950,000 17,091
The Income Fund of America — Page 3 of 50

unaudited
Common stocks (continued)
Real estate (continued)
  Shares Value
(000)
Selvaag Bolig ASA   1,912,218 $14,036
Samhallsbyggnadsbolaget i Norden AB, Class B   3,544,000 13,514
      8,199,316
Utilities 5.53%      
DTE Energy Company5   10,531,043 1,474,557
Enel SpA   146,898,535 1,460,025
Brookfield Infrastructure Partners LP5   16,483,823 887,523
Duke Energy Corp.   7,746,365 779,981
AES Corp.   22,406,000 623,335
Public Service Enterprise Group Inc.   5,973,000 377,255
Southern Co.   4,859,400 321,547
Dominion Energy, Inc.   2,967,000 237,063
Entergy Corp.   2,045,100 223,509
Guangdong Investment Ltd.   72,294,000 111,311
National Grid PLC   6,866,922 86,357
Engie SA4   5,286,200 78,615
Xcel Energy Inc.   939,000 66,951
CMS Energy Corp.   929,700 59,863
Iberdrola, SA, non-registered shares4   2,493,114 33,675
American Electric Power Company, Inc.   346,700 30,756
ContourGlobal PLC   6,472,322 17,877
Vistra Corp.   70,873 1,196
      6,871,396
Materials 4.83%      
Rio Tinto PLC   15,283,600 1,282,487
Dow Inc.   16,597,738 1,037,359
Vale SA, ordinary nominative shares   38,954,200 781,802
LyondellBasell Industries NV   7,148,000 741,533
BASF SE   5,608,000 452,268
Packaging Corp. of America   2,901,566 428,416
BHP Group PLC   12,969,600 391,280
Air Products and Chemicals, Inc.   1,029,071 296,866
Polymetal International PLC   9,900,000 204,471
Fortescue Metals Group Ltd.   10,529,000 183,228
Nucor Corp.   1,180,000 97,067
Eastman Chemical Company   324,864 37,486
Newmont Corp.   600,000 37,446
Evonik Industries AG1   934,056 32,701
      6,004,410
Consumer discretionary 4.19%      
Home Depot, Inc.   4,572,800 1,480,078
Target Corp.   4,877,000 1,010,807
Restaurant Brands International Inc.1   8,319,502 570,801
Darden Restaurants, Inc.   3,346,000 490,925
General Motors Company4   5,618,000 321,462
Hasbro, Inc.   2,406,600 239,336
Stellantis NV   14,320,490 237,935
Las Vegas Sands Corp.4   2,975,000 182,249
Industria de Diseño Textil, SA   4,560,000 162,385
Domino’s Pizza Group PLC5   30,671,123 162,063
Persimmon PLC   3,350,000 144,903
Wynn Macau, Ltd.4   67,533,000 129,889
The Income Fund of America — Page 4 of 50

unaudited
Common stocks (continued)
Consumer discretionary (continued)
  Shares Value
(000)
Sands China Ltd.4   8,703,800 $41,347
Sonans Gruppen AS4,5   2,000,000 13,695
MYT Holding Co., Class B2,4   2,070,418 10,973
NMG Parent LLC4   61,091 4,795
NMG Parent LLC2,3,4,7   6,165 397
      5,204,040
Energy 3.80%      
Chevron Corp.   9,859,600 1,016,229
TC Energy Corp. (CAD denominated)   14,086,000 696,880
BP PLC   120,775,559 505,395
Valero Energy Corp.   5,904,000 436,660
ConocoPhillips   7,280,000 372,299
Exxon Mobil Corp.   6,050,000 346,302
Enbridge Inc.   6,993,920 269,755
Canadian Natural Resources, Ltd. (CAD denominated)   7,089,700 215,203
Baker Hughes Co., Class A   9,655,000 193,872
Inter Pipeline Ltd.   10,041,080 146,391
Diamondback Energy, Inc.   1,495,000 122,186
EOG Resources, Inc.   1,092,000 80,415
Chesapeake Energy Corp.4   1,669,489 76,079
Chesapeake Energy Corp.2,4,7   8,460 347
Eni SpA   3,600,000 42,978
Royal Dutch Shell PLC, Class B (ADR)   1,104,000 39,534
Helmerich & Payne, Inc.   1,360,000 34,857
Rattler Midstream LP5   2,859,750 32,458
Oasis Petroleum Inc.   356,736 27,690
Extraction Oil & Gas, Inc.4   392,277 16,389
Extraction Oil & Gas, Inc.2,4,7   112,534 4,091
Diamond Offshore Drilling, Inc.2,4   1,949,093 10,671
Diamond Offshore Drilling, Inc.2,3,4,7   856,478 3,517
Diamond Offshore Drilling, Inc.2,4,7   500,795 2,742
Ascent Resources - Utica, LLC, Class A2,3,4,6   110,214,618 15,430
Weatherford International4   922,566 9,779
California Resources Corp.4   104,121 2,468
Mesquite Energy, Inc.2,3,4   25,913 155
McDermott International, Ltd.4   156,914 71
Tapstone Energy, LLC2,3,4,7   66,043 1
      4,720,844
Communication services 3.61%      
Verizon Communications Inc.   27,474,000 1,587,722
SoftBank Corp.   71,004,043 915,731
Koninklijke KPN NV5   212,028,139 730,574
BCE Inc.   8,239,050 389,447
Publicis Groupe SA4   4,199,000 271,899
AT&T Inc.   8,400,000 263,844
TELUS Corp.   11,105,160 230,388
HKBN Ltd.5   66,072,000 96,797
Cumulus Media Inc., Class A4   217,442 2,090
Clear Channel Outdoor Holdings, Inc.4   152,827 384
      4,488,876
Total common stocks (cost: $61,714,900,000)     93,075,108
The Income Fund of America — Page 5 of 50

unaudited
Preferred securities 0.62%
Information technology 0.46%
  Shares Value
(000)
Samsung Electronics Co., Ltd., nonvoting preferred shares   8,658,000 $570,532
Financials 0.16%      
Citigroup Inc., Series K, noncumulative, preferred depositary shares   2,145,767 61,047
Citigroup Inc. 7.681% preferred shares   2,245,277 60,937
Goldman Sachs Group, Inc., Series J, 5.50% preferred depositary shares   1,200,000 32,520
PNC Financial Services Group, Inc., Series P, noncumulative preferred depositary shares   1,000,000 26,220
Wells Fargo & Company, Series Q, Class A, 5.85% noncumulative preferred depositary shares   555,913 14,993
      195,717
Industrials 0.00%      
ACR III LSC Holdings LLC, Series B, preferred shares2,3,4,7   3,260 2,293
Consumer discretionary 0.00%      
MYT Holding LLC, Series A, preferred shares   1,427,896 1,449
Total preferred securities (cost: $601,195,000)     769,991
Rights & warrants 0.00%
Energy 0.00%
     
Chesapeake Energy Corp., Class B, warrants, expire 20264   147,850 2,920
Chesapeake Energy Corp., Class A, warrants, expire 20264   117,537 2,672
Chesapeake Energy Corp., Class C, warrants, expire 20264   16,085 312
Sable Permian Resources, LLC, Class A, warrants, expire 20242,3,4   17,183 8
      5,904
Consumer discretionary 0.00%      
NMG Parent LLC, warrants, expire 20272,4   75,844 373
Utilities 0.00%      
Vistra Energy Corp., rights2,3,4,7   1,138 8
Total rights & warrants (cost: $14,764,000)     6,277
Convertible stocks 1.17%
Health care 0.48%
     
Danaher Corp., Series A, cumulative convertible preferred shares, 4.75% 2022   150,000 257,027
Danaher Corp., Series B, cumulative convertible preferred shares, 5.00% 2023   82,100 116,233
Becton, Dickinson and Company, Series B, convertible preferred shares, 6.00% 2023   2,950,000 162,928
Boston Scientific Corp., Series A, convertible preferred shares, 5.50% 2023   449,460 52,848
      589,036
Utilities 0.29%      
NextEra Energy, Inc., convertible preferred units, 5.279% 2023   3,420,300 172,280
AES Corp., convertible preferred units, 6.875%, 2024   1,043,000 113,677
DTE Energy Company, convertible preferred units, 6.25% 20225   902,600 45,798
American Electric Power Company, Inc., convertible preferred units, 6.125% 2023   600,000 30,708
      362,463
The Income Fund of America — Page 6 of 50

unaudited
Convertible stocks (continued)
Information technology 0.18%
  Shares Value
(000)
Broadcom Inc., Series A, cumulative convertible preferred shares, 8.00% 2022   150,000 $217,417
Financials 0.10%      
KKR & Co. Inc., Series C, 6.00% convertible preferred shares   1,693,425 126,973
Consumer discretionary 0.09%      
Aptiv PLC, Series A, convertible preferred shares, 5.50% 2023   700,288 114,357
Consumer staples 0.03%      
Bunge Ltd., 4.875% convertible preferred shares   322,700 38,079
Total convertible stocks (cost: $1,114,294,000)     1,448,325
Convertible bonds & notes 0.00%
Energy 0.00%
  Principal amount
(000)
 
Mesquite Energy Inc., convertible notes, 15.19% 2023 (100% PIK)2,3,7,9   $516 516
Total convertible bonds & notes (cost: $516,000)     516
Bonds, notes & other debt instruments 20.77%
Corporate bonds, notes & loans 14.15%
Financials 2.03%
     
ACE INA Holdings Inc. 2.875% 2022   765 792
ACE INA Holdings Inc. 3.35% 2026   765 841
Advisor Group Holdings, LLC 6.25% 20287   25,993 27,000
AerCap Holdings NV 4.50% 2023   10,000 10,773
AerCap Holdings NV 6.50% 2025   4,315 5,080
AG Merger Sub II, Inc. 10.75% 20277   38,257 42,578
Alliant Holdings Intermediate, LLC 6.75% 20277   22,331 23,492
Ally Financial Inc. 8.00% 2031   11,764 16,212
American International Group, Inc. 2.50% 2025   25,000 26,367
American International Group, Inc. 3.40% 2030   4,100 4,386
American International Group, Inc. 4.375% 2050   3,450 3,985
Aretec Escrow Issuer Inc. 7.50% 20297   17,335 17,785
AssuredPartners, Inc. 8.00% 20277   17,850 19,055
AssuredPartners, Inc. 5.625% 20297   9,385 9,526
AXA Equitable Holdings, Inc. 5.00% 2048   1,500 1,833
Bangkok Bank PCL 3.733% 2034
(5-year UST Yield Curve Rate T Note Constant Maturity + 1.90% on 9/25/2029)10
  8,245 8,404
Bank of America Corp. 5.00% 2021   3,500 3,504
Bank of America Corp. 2.456% 2025 (3-month USD-LIBOR + 0.87% on 10/22/2024)10   10,750 11,292
Bank of America Corp. 1.197% 2026 (USD-SOFR + 1.01% on 10/24/2025)10   7,500 7,454
Bank of America Corp. 1.319% 2026 (USD-SOFR + 1.15% on 6/19/2025)10   9,700 9,726
Bank of America Corp. 1.734% 2027 (USD-SOFR + 0.96% on 7/22/2026)10   2,884 2,912
Bank of America Corp. 3.419% 2028 (3-month USD-LIBOR + 1.04% on 12/20/2027)10   5,400 5,852
Bank of America Corp. 1.898% 2031 (USD-SOFR + 1.53% on 7/23/2030)10   20,000 18,988
Bank of America Corp. 1.922% 2031 (USD-SOFR + 1.37% on 10/24/2030)10   34,000 32,284
Bank of America Corp. 2.687% 2032 (USD-SOFR + 1.32% on 4/22/2031)10   14,617 14,805
Bank of China Ltd. (Hong Kong Branch) 3.875% 2025   359 393
Bank of China Ltd. (Hong Kong Branch) 4.00% 2028   200 217
The Income Fund of America — Page 7 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
Bank of Nova Scotia 1.625% 2023   $8,000 $8,198
Berkshire Hathaway Finance Corp. 4.20% 2048   9,020 10,639
BNP Paribas 2.819% 2025 (3-month USD-LIBOR + 1.111% on 11/19/2024)7,10   5,750 6,061
BNP Paribas 3.375% 20257   22,125 23,847
BNP Paribas 2.219% 2026 (USD-SOFR + 2.074% on 6/9/2025)7,10   22,950 23,666
BNP Paribas 1.323% 2027 (USD-SOFR + 1.004% on 1/13/2026)7,10   12,125 11,950
BNP Paribas 2.871% 2032 (USD-SOFR + 1.387% on 4/19/2031)7,10   5,200 5,241
CIT Group Inc. 3.929% 2024 (USD-SOFR + 3.827% on 6/19/2023)10   11,575 12,255
Citigroup Inc. 3.106% 2026 (USD-SOFR + 2.842% on 3/8/2026)10   7,300 7,835
Citigroup Inc. 4.60% 2026   3,875 4,432
Citigroup Inc. 3.668% 2028 (3-month USD-LIBOR + 1.39% on 7/24/2027)10   700 772
Citigroup Inc. 2.976% 2030 (USD-SOFR + 1.422% on 11/5/2029)10   2,400 2,503
Citigroup Inc. 2.572% 2031 (USD-SOFR + 2.107% on 6/3/2030)10   14,800 14,865
Citigroup Inc. 4.412% 2031 (USD-SOFR + 3.914% on 3/31/2030)10   3,000 3,435
Citigroup Inc., Series A, junior subordinated, 5.95% (3-month USD-LIBOR + 4.068% on 1/30/2023)10   100 106
CME Group Inc. 3.75% 2028   6,875 7,758
Commonwealth Bank of Australia 3.35% 2024   800 868
Commonwealth Bank of Australia 3.35% 20247   675 732
Compass Diversified Holdings 5.25% 20297   30,740 32,469
Crédit Agricole SA 1.907% 2026 (USD-SOFR + 1.676% on 6/16/2025)7,10   10,675 10,886
Crédit Agricole SA 1.247% 2027 (USD-SOFR + 0.892% on 1/26/2026)7,10   4,900 4,815
Credit Suisse Group AG 2.997% 2023 (3-month USD-LIBOR + 1.20% on 12/14/2022)7,10   4,750 4,917
Credit Suisse Group AG 3.80% 2023   14,925 15,869
Credit Suisse Group AG 2.593% 2025 (USD-SOFR + 1.56% on 9/11/2024)7,10   1,275 1,327
Credit Suisse Group AG 2.193% 2026 (USD-SOFR + 2.044% on 6/5/2025)7,10   13,800 14,112
Credit Suisse Group AG 1.305% 2027 (USD-SOFR + 0.98% on 2/2/2026)7,10   16,300 15,885
Credit Suisse Group AG 3.869% 2029 (3-month USD-LIBOR + 1.41% on 1/12/2028)7,10   1,975 2,136
Credit Suisse Group AG 4.194% 2031 (USD-SOFR + 3.73% on 4/1/2030)7,10   10,408 11,517
Danske Bank AS 3.875% 20237   9,604 10,272
Deutsche Bank AG 3.375% 2021   1,825 1,826
Deutsche Bank AG 4.25% 2021   725 737
Deutsche Bank AG 3.30% 2022   460 477
Deutsche Bank AG 5.00% 2022   3,875 4,006
Deutsche Bank AG 3.95% 2023   5,345 5,638
Deutsche Bank AG 2.222% 2024 (USD-SOFR + 2.159% on 9/18/2023)10   21,775 22,355
Deutsche Bank AG 3.70% 2024   12,650 13,587
Deutsche Bank AG 3.961% 2025 (USD-SOFR + 2.581% on 11/26/2024)10   89,325 96,831
Deutsche Bank AG 2.129% 2026 (USD-SOFR + 1.87% on 11/24/2025)10   37,898 38,412
Deutsche Bank AG 4.10% 2026   33,957 37,179
Deutsche Bank AG 3.547% 2031 (USD-SOFR + 3.043% on 9/18/2030)10   6,450 6,760
Deutsche Bank AG 3.729% 2032 (USD-SOFR + 2.757% on 1/14/2031)10   16,000 15,873
Fairstone Financial Inc. 7.875% 20247   14,921 15,675
FS Energy and Power Fund 7.50% 20237   30,250 30,783
GE Capital Funding, LLC 4.05% 20277   12,025 13,463
GE Capital Funding, LLC 4.40% 20307   23,000 26,182
Goldman Sachs Group, Inc. 5.75% 2022   20,000 20,790
Goldman Sachs Group, Inc. 2.905% 2023 (3-month USD-LIBOR + 0.99% on 7/24/2022)10   10,904 11,228
Goldman Sachs Group, Inc. 3.272% 2025 (3-month USD-LIBOR + 1.201% on 9/29/2024)10   1,100 1,182
Goldman Sachs Group, Inc. 1.093% 2026 (USD-SOFR + 0.789% on 12/9/2025)10   11,625 11,465
Goldman Sachs Group, Inc. 1.431% 2027 (USD-SOFR + 0.795% on 3/9/2026)10   28,650 28,551
Goldman Sachs Group, Inc. 3.691% 2028 (3-month USD-LIBOR + 1.51% on 6/5/2027)10   8,000 8,822
Goldman Sachs Group, Inc. 2.615% 2032 (USD-SOFR + 1.281% on 4/22/2031)10   8,023 8,069
Goldman Sachs Group, Inc. 3.21% 2042 (USD-SOFR + 1.513% on 4/22/2041)10   14,770 14,932
Groupe BPCE SA 5.70% 20237   16,825 18,753
The Income Fund of America — Page 8 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
Groupe BPCE SA 5.15% 20247   $18,160 $20,367
Groupe BPCE SA 1.00% 20267   20,700 20,308
Groupe BPCE SA 1.652% 2026 (USD-SOFR + 1.52% on 10/6/2025)7,10   6,925 6,934
Groupe BPCE SA 2.277% 2032 (USD-SOFR + 1.312% on 1/20/2031)7,10   7,675 7,423
Hightower Holding, LLC 6.75% 20297   10,980 11,255
HSBC Holdings PLC 4.25% 2024   9,000 9,830
HSBC Holdings PLC 2.099% 2026 (USD-SOFR + 1.929% on 6/4/2025)10   14,000 14,336
HSBC Holdings PLC 4.583% 2029 (3-month USD-LIBOR + 1.535% on 6/19/2028)10   5,750 6,536
HUB International Ltd. 7.00% 20267   28,461 29,526
HUB International Ltd., Term Loan B, (3-month USD-LIBOR + 3.25%) 4.00% 202511,12   5,925 5,931
Icahn Enterprises Finance Corp. 5.25% 2027   5,230 5,341
Icahn Enterprises Finance Corp. 4.375% 20297   9,625 9,348
Intercontinental Exchange, Inc. 2.65% 2040   12,025 11,211
Intesa Sanpaolo SpA 3.125% 20227   11,300 11,605
Intesa Sanpaolo SpA 3.375% 20237   9,360 9,762
Intesa Sanpaolo SpA 3.25% 20247   1,730 1,847
Intesa Sanpaolo SpA 5.017% 20247   149,555 162,536
Intesa Sanpaolo SpA 5.71% 20267   43,165 48,444
Intesa Sanpaolo SpA 3.875% 20277   9,300 10,109
Intesa Sanpaolo SpA 3.875% 20287   2,820 3,018
JPMorgan Chase & Co. 3.559% 2024 (3-month USD-LIBOR + 0.73% on 4/23/2023)10   5,400 5,726
JPMorgan Chase & Co. 3.875% 2024   150 164
JPMorgan Chase & Co. 2.301% 2025 (USD-SOFR + 1.16% on 10/15/2024)10   250 261
JPMorgan Chase & Co. 2.005% 2026 (USD-SOFR + 1.585% on 3/13/2025)10   23,150 23,894
JPMorgan Chase & Co. 2.182% 2028 (USD-SOFR + 1.89% on 6/1/2027)10   4,400 4,496
JPMorgan Chase & Co. 3.54% 2028 (3-month USD-LIBOR + 1.38% on 5/1/2027)10   350 383
JPMorgan Chase & Co. 2.522% 2031 (USD-SOFR + 2.04% on 4/22/2030)10   4,100 4,146
JPMorgan Chase & Co. 2.58% 2032 (USD-SOFR + 1.25% on 4/22/2031)10   11,815 11,873
JPMorgan Chase & Co. 3.157% 2042 (USD-SOFR + 1.46% on 4/22/2041)10   16,675 16,727
JPMorgan Chase & Co. 3.328% 2052 (USD-SOFR + 1.58% on 4/22/2051)10   16,675 16,710
JPMorgan Chase & Co., Series Z, junior subordinated, 4.005%
(3-month USD-LIBOR + 3.80% on 8/2/2021)10
  30,000 30,153
JPMorgan Chase & Co., Series S, junior subordinated, 6.75%
(3-month USD-LIBOR + 3.78% on 2/1/2024)10
  25,901 28,799
Kasikornbank PC HK 3.343% 2031
(5-year UST Yield Curve Rate T Note Constant Maturity + 1.70% on 10/2/2026)10
  8,320 8,514
Ladder Capital Corp. 5.25% 20227   2,150 2,162
Ladder Capital Corp. 4.25% 20277   16,519 16,239
Liberty Mutual Group Inc. 4.25% 20237   971 1,047
Liberty Mutual Group Inc. 4.569% 20297   3,429 3,983
Lloyds Banking Group PLC 4.05% 2023   6,000 6,469
Lloyds Banking Group PLC 4.582% 2025   7,000 7,848
Lloyds Banking Group PLC 2.438% 2026
(1-year UST Yield Curve Rate T Note Constant Maturity + 1.00% on 2/5/2025)10
  5,600 5,842
Lloyds Banking Group PLC 4.375% 2028   3,950 4,483
LPL Financial Holdings Inc. 4.625% 20277   35,125 36,728
MGIC Investment Corp. 5.25% 2028   5,075 5,360
Mitsubishi UFJ Financial Group, Inc. 1.412% 2025   3,850 3,877
Mizuho Financial Group, Inc. 0.849% 2024 (3-month USD-LIBOR + 0.61% on 9/8/2023)10   5,200 5,216
Mizuho Financial Group, Inc. 1.979% 2031 (3-month USD-LIBOR + 1.27% on 9/8/2030)10   4,100 3,927
Morgan Stanley 3.70% 2024   600 657
Morgan Stanley 0.985% 2026 (USD-SOFR + 0.72% on 12/10/2025)10   21,303 20,920
Morgan Stanley 1.593% 2027 (USD-SOFR + 0.879% on 5/4/2026)10   9,869 9,921
Morgan Stanley 1.928% 2032 (USD-SOFR + 1.02% on 4/28/2031)10   37,500 35,554
The Income Fund of America — Page 9 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
Morgan Stanley 3.217% 2042 (USD-SOFR + 1.485% on 4/22/2041)10   $2,854 $2,896
MSCI Inc. 5.375% 20277   13,336 14,290
MSCI Inc. 4.00% 20297   19,500 20,403
MSCI Inc. 3.625% 20317   11,825 11,825
MSCI Inc. 3.875% 20317   11,064 11,353
National Financial Partners Corp. 6.875% 20287   17,826 18,730
National Rural Utilities Cooperative Finance Corp. 3.70% 2029   3,520 3,883
Nationwide Mutual Insurance Co. (3-month USD-LIBOR + 2.29%) 2.474% 20247,12   8,150 8,146
Navient Corp. 6.50% 2022   7,115 7,471
Navient Corp. 5.50% 2023   57,536 60,269
Navient Corp. 7.25% 2023   2,700 2,940
Navient Corp. 5.875% 2024   14,665 15,459
Navient Corp. 6.125% 2024   29,925 31,702
Navient Corp. 5.00% 2027   16,025 16,165
Navient Corp. 5.625% 2033   10,990 10,305
Owl Rock Capital Corp. 4.625% 20247   9,285 9,765
Owl Rock Capital Corp. 3.75% 2025   12,173 12,908
Owl Rock Capital Corp. 4.00% 2025   449 478
Owl Rock Capital Corp. 3.375% 2026   5,700 5,915
Owl Rock Capital Corp. 2.625% 2027   20,000 19,915
PNC Financial Services Group, Inc. 2.854% 202210   8,395 8,715
PNC Financial Services Group, Inc. 3.90% 2024   3,000 3,280
PNC Financial Services Group, Inc., Series O, junior subordinated, 6.75%
(3-month USD-LIBOR + 3.678% on 8/1/2021)10
  80 81
Prudential Financial, Inc. 4.35% 2050   7,000 8,327
Prudential Financial, Inc., junior subordinated, 5.625% 2043
(3-month USD-LIBOR + 3.92% on 6/15/2023)10
  1,850 2,007
Prudential Financial, Inc., junior subordinated, 5.70% 2048
(3-month USD-LIBOR + 2.665% on 9/15/2028)10
  4,000 4,634
Quicken Loans, LLC 3.625% 20297   6,645 6,475
Rabobank Nederland 2.75% 2022   2,825 2,874
Rabobank Nederland 4.375% 2025   9,000 10,039
Royal Bank of Canada 1.15% 2025   12,367 12,453
Royal Bank of Canada 0.875% 2026   9,025 8,912
Santander Holdings USA, Inc. 4.45% 2021   2,172 2,216
Santander Holdings USA, Inc. 3.70% 2022   6,950 7,130
Santander Holdings USA, Inc. 3.40% 2023   12,500 13,040
Santander Holdings USA, Inc. 3.50% 2024   11,250 12,049
Springleaf Finance Corp. 6.125% 2024   20,000 21,625
Starwood Property Trust, Inc. 5.00% 2021   30,716 31,067
Starwood Property Trust, Inc. 5.50% 20237   5,400 5,677
Swiss Re Finance (Luxembourg) SA 5.00% 2049
(5-year UST Yield Curve Rate T Note Constant Maturity + 3.582% on 4/2/2029)7,10
  3,800 4,308
Synchrony Financial 2.85% 2022   7,075 7,249
Synchrony Financial 4.375% 2024   5,095 5,552
Toronto-Dominion Bank 0.75% 2025   6,575 6,499
Toronto-Dominion Bank 1.15% 2025   20,075 20,190
Travelport Finance Luxembourg SARL, Term Loan, (3-month USD-LIBOR + 5.00%) 5.203% 202611,12   10 9
U.S. Bancorp 3.70% 2024   10,000 10,863
U.S. Bancorp 2.375% 2026   6,000 6,337
UBS Group AG 4.125% 20257   4,425 4,941
UBS Group AG 1.364% 2027
(5-year UST Yield Curve Rate T Note Constant Maturity + 1.08% on 1/30/2026)7,10
  4,000 3,963
UniCredit SpA 3.75% 20227   27,048 27,801
The Income Fund of America — Page 10 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
UniCredit SpA 6.572% 20227   $42,725 $44,384
UniCredit SpA 4.625% 20277   1,730 1,942
UniCredit SpA 5.861% 2032 (5-year USD-ICE Swap + 3.703% on 6/19/2027)7,10   23,729 26,335
UniCredit SpA 7.296% 2034 (5-year USD-ICE Swap + 4.914% on 4/2/2029)7,10   13,894 16,506
UniCredit SpA 5.459% 2035 (5-year USD-ICE Swap + 4.75% on 6/30/2030)7,10   1,260 1,354
WASH Multifamily Acquisition Inc. 5.75% 20267   12,245 12,735
Wells Fargo & Company 1.654% 2024 (USD-SOFR + 1.60% on 6/2/2023)10   6,500 6,648
Wells Fargo & Company 2.406% 2025 (3-month USD-LIBOR + 0.825% on 10/30/2024)10   25,175 26,343
Wells Fargo & Company 2.164% 2026 (3-month USD-LIBOR + 0.75% on 2/11/2025)10   12,000 12,434
Wells Fargo & Company 2.188% 2026 (USD-SOFR + 2.00% on 4/30/2025)10   9,350 9,693
Wells Fargo & Company 2.393% 2028 (USD-SOFR + 2.10% on 6/2/2027)10   3,950 4,070
Wells Fargo & Company 3.584% 2028 (3-month USD-LIBOR + 1.31% on 5/22/2027)10   281 308
Wells Fargo & Company 2.879% 2030 (3-month USD-LIBOR + 1.17% on 10/30/2029)10   4,875 5,064
Wells Fargo & Company 2.572% 2031 (3-month USD-LIBOR + 1.00% on 2/11/2030)10   13,850 14,008
Wells Fargo & Company 5.013% 2051 (3-month USD-LIBOR + 4.24% on 4/4/2050)10   4,150 5,398
Westpac Banking Corp. 2.894% 2030
(5-year UST Yield Curve Rate T Note Constant Maturity + 1.35% on 2/4/2025)10
  7,000 7,253
Westpac Banking Corp. 2.668% 2035
(5-year UST Yield Curve Rate T Note Constant Maturity + 1.75% on 11/15/2030)10
  11,150 10,706
Westpac Banking Corp. 2.963% 2040   5,075 4,782
      2,529,320
Energy 2.00%      
Antero Resources Corp. 7.625% 20297   1,900 2,063
Apache Corp. 4.625% 2025   6,905 7,302
Apache Corp. 4.875% 2027   35,590 37,610
Apache Corp. 4.375% 2028   21,339 21,792
Apache Corp. 4.25% 2030   4,870 4,893
Apache Corp. 6.00% 2037   3,565 4,028
Apache Corp. 4.75% 2043   7,110 7,070
Apache Corp. 4.25% 2044   4,600 4,294
Apache Corp. 5.35% 2049   28,900 28,972
Ascent Resources - Utica LLC 7.00% 20267   25,715 26,106
Ascent Resources - Utica LLC 9.00% 20277   959 1,249
Ascent Resources - Utica LLC 8.25% 20287   5,863 6,305
Ascent Resources - Utica LLC, Term Loan, (3-month USD-LIBOR + 9.00%) 10.00% 20257,11,12   6,827 7,591
Baker Hughes, a GE Co. 4.486% 2030   1,650 1,904
Blue Racer Midstream LLC and Blue Racer Finance Corp. 7.625% 20257   9,771 10,575
BP Capital Markets America Inc. 2.772% 2050   13,465 11,947
BP Capital Markets PLC 3.00% 2050   1,600 1,480
California Resources Corp. 7.125% 20267   10,465 10,735
Canadian Natural Resources Ltd. 2.05% 2025   4,343 4,437
Canadian Natural Resources Ltd. 3.85% 2027   2,760 3,021
Canadian Natural Resources Ltd. 2.95% 2030   12,054 12,202
Canadian Natural Resources Ltd. 4.95% 2047   1,800 2,139
Cenovus Energy Inc. 3.80% 2023   17,288 18,218
Cenovus Energy Inc. 5.375% 2025   8,000 9,102
Cenovus Energy Inc. 4.25% 2027   43,601 47,941
Cenovus Energy Inc. 5.25% 2037   4,770 5,309
Cenovus Energy Inc. 5.40% 2047   9,218 10,514
Centennial Resource Production, LLC 6.875% 20277   2,615 2,468
Cheniere Energy Partners, LP 5.625% 2026   10,950 11,429
Cheniere Energy Partners, LP 4.50% 2029   41,021 42,889
Cheniere Energy Partners, LP 4.00% 20317   32,605 33,216
The Income Fund of America — Page 11 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Energy (continued)
  Principal amount
(000)
Value
(000)
Cheniere Energy, Inc. 5.125% 2027   $31,000 $35,775
Cheniere Energy, Inc. 4.625% 20287   46,970 49,032
Chesapeake Energy Corp. 4.875% 202213   28,085 597
Chesapeake Energy Corp. 5.50% 20267   17,240 18,210
Chesapeake Energy Corp. 5.875% 20297   9,515 10,264
Chevron Corp. 1.995% 2027   3,947 4,085
Chevron Corp. 3.078% 2050   900 880
Chevron USA Inc. 1.018% 2027   4,823 4,687
Chevron USA Inc. 3.25% 2029   1,900 2,063
Chevron USA Inc. 4.95% 2047   2,550 3,252
Chevron USA Inc. 4.20% 2049   1,200 1,391
CNX Resources Corp. 7.25% 20277   23,775 25,712
CNX Resources Corp. 6.00% 20297   8,260 8,837
Comstock Resources, Inc. 9.75% 2026   4,946 5,384
Comstock Resources, Inc. 6.75% 20297   17,565 17,965
ConocoPhillips 4.30% 20287   14,440 16,508
Continental Resources Inc. 5.75% 20317   6,320 7,339
Convey Park Energy LLC 7.50% 20257   396 410
Diamond Offshore Drilling, Inc. 9.00% 20272,3,7,9   3,330 3,330
Diamond Offshore Drilling, Inc. 9.00% 20272,3,9   529 529
Diamondback Energy, Inc. 4.40% 2051   5,180 5,447
El Paso Pipeline Partners Operating Co., LLC 4.70% 2042   33,265 37,050
Enbridge Energy Partners, LP 5.875% 2025   2,545 3,018
Enbridge Energy Partners, LP 5.50% 2040   1,200 1,472
Enbridge Energy Partners, LP 7.375% 2045   18,914 28,216
Enbridge Energy Partners, LP, Series B, 7.50% 2038   6,000 8,459
Enbridge Inc. 4.00% 2023   5,830 6,246
Enbridge Inc. 2.50% 2025   3,500 3,663
Endeavor Energy Resources, LP 6.625% 20257   9,125 9,730
Energy Transfer Operating, LP 5.875% 2024   629 700
Energy Transfer Operating, LP 2.90% 2025   9,203 9,666
Energy Transfer Operating, LP 3.75% 2030   16,115 16,787
Energy Transfer Operating, LP 5.00% 2050   84,207 88,890
Energy Transfer Partners, LP 4.50% 2024   2,170 2,386
Energy Transfer Partners, LP 4.75% 2026   8,000 8,949
Energy Transfer Partners, LP 4.20% 2027   7,263 7,941
Energy Transfer Partners, LP 4.95% 2028   9,400 10,583
Energy Transfer Partners, LP 6.125% 2045   7,449 8,672
Energy Transfer Partners, LP 5.30% 2047   8,944 9,545
Energy Transfer Partners, LP 6.00% 2048   8,153 9,422
Energy Transfer Partners, LP 6.25% 2049   5,891 7,083
Enterprise Products Operating LLC 3.20% 2052   1,212 1,119
EQM Midstream Partners, LP 4.125% 2026   3,036 3,071
EQM Midstream Partners, LP 6.50% 20277   34,680 38,338
EQM Midstream Partners, LP 5.50% 2028   11,440 12,166
EQM Midstream Partners, LP 4.50% 20297   5,045 5,020
EQM Midstream Partners, LP 4.75% 20317   18,310 18,149
EQT Corp. 3.00% 2022   35,175 35,878
EQT Corp. 7.625% 2025 (7.375% on 2/1/2025)10   22,569 26,011
EQT Corp. 3.90% 2027   1,950 2,035
EQT Corp. 5.00% 2029   2,485 2,720
EQT Corp. 8.50% 2030 (8.25% on 8/1/2021)10   6,885 8,813
Equinor ASA 3.00% 2027   7,000 7,570
Equinor ASA 3.625% 2028   5,265 5,832
The Income Fund of America — Page 12 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Energy (continued)
  Principal amount
(000)
Value
(000)
Equinor ASA 3.25% 2049   $7,583 $7,611
Exxon Mobil Corp. 2.44% 2029   4,315 4,432
Exxon Mobil Corp. 2.61% 2030   1,700 1,744
Genesis Energy, LP 5.625% 2024   2,890 2,895
Genesis Energy, LP 6.50% 2025   18,279 18,393
Genesis Energy, LP 8.00% 2027   26,670 27,510
Harvest Midstream I, LP 7.50% 20287   17,655 19,074
Hess Midstream Partners LP 5.125% 20287   9,435 9,791
Hilcorp Energy I, LP 5.75% 20257   11,400 11,576
Hilcorp Energy I, LP 5.75% 20297   2,210 2,254
Hilcorp Energy I, LP 6.00% 20317   16,005 16,526
Indigo Natural Resources LLC 5.375% 20297   5,980 5,943
Kinder Morgan Energy Partners, LP 5.00% 2043   20,000 22,967
Kinder Morgan, Inc. 3.60% 2051   10,000 9,604
MPLX LP 1.75% 2026   6,500 6,544
MPLX LP 2.65% 2030   11,897 11,758
MPLX LP 4.70% 2048   7,500 8,218
MPLX LP 5.50% 2049   8,324 10,142
Nabors Industries Inc. 5.75% 2025   2,625 2,175
New Fortress Energy Inc. 6.50% 20267   13,415 13,707
NGL Energy Operating LLC 7.50% 20267   75,280 78,950
NGL Energy Partners LP 7.50% 2023   8,696 8,495
NGL Energy Partners LP 6.125% 2025   25,543 22,770
Northern Oil and Gas, Inc. 8.125% 20287   12,210 12,565
NuStar Logistics, LP 6.00% 2026   11,725 12,727
Oasis Midstream Partners LP / OMP Finance Corp. 8.00% 20297   36,885 37,796
Occidental Petroleum Corp. 2.70% 2023   6,110 6,138
Occidental Petroleum Corp. 2.90% 2024   13,065 13,049
Occidental Petroleum Corp. 5.875% 2025   26,340 28,809
Occidental Petroleum Corp. 8.00% 2025   22,050 25,785
Occidental Petroleum Corp. 8.50% 2027   13,000 15,836
Occidental Petroleum Corp. 6.375% 2028   10,000 11,213
Occidental Petroleum Corp. 3.50% 2029   4,530 4,332
Occidental Petroleum Corp. 6.625% 2030   11,445 13,062
Occidental Petroleum Corp. 8.875% 2030   34,900 44,890
Occidental Petroleum Corp. 6.125% 2031   8,675 9,662
Occidental Petroleum Corp. 6.45% 2036   1,095 1,246
Occidental Petroleum Corp. 6.60% 2046   2,000 2,208
ONEOK, Inc. 2.20% 2025   413 425
ONEOK, Inc. 5.85% 2026   16,293 19,213
ONEOK, Inc. 3.10% 2030   1,154 1,173
ONEOK, Inc. 6.35% 2031   7,405 9,359
ONEOK, Inc. 5.20% 2048   5,652 6,476
ONEOK, Inc. 4.50% 2050   2,530 2,648
ONEOK, Inc. 7.15% 2051   3,048 4,193
Peabody Energy Corp. 8.50% 20247,9   8,844 4,245
Petrobras Global Finance Co. 5.60% 2031   8,000 8,648
Petrobras Global Finance Co. 6.90% 2049   5,330 6,009
Petrobras Global Finance Co. 6.75% 2050   23,640 25,903
Petróleos Mexicanos 4.875% 2022   11,055 11,303
Petróleos Mexicanos 5.375% 2022   4,165 4,285
Petróleos Mexicanos 3.50% 2023   3,325 3,395
Petróleos Mexicanos 4.625% 2023   4,243 4,408
Petróleos Mexicanos 6.875% 20257   16,543 18,081
The Income Fund of America — Page 13 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Energy (continued)
  Principal amount
(000)
Value
(000)
Petróleos Mexicanos 6.875% 2025   $2,412 $2,636
Petróleos Mexicanos 6.875% 2026   77,241 84,057
Petróleos Mexicanos 6.50% 2027   72,935 77,220
Phillips 66 2.15% 2030   3,995 3,810
PIC AU Holdings Corp. / PIC AU Holdings LLC 10.00% 20247   1,180 1,086
Pioneer Natural Resources Company 1.125% 2026   3,586 3,539
Pioneer Natural Resources Company 2.15% 2031   9,744 9,222
Plains All American Pipeline, LP 3.80% 2030   1,361 1,403
Range Resources Corp. 4.875% 2025   4,875 4,851
Range Resources Corp. 8.25% 20297   13,390 14,543
Rattler Midstream Partners LP 5.625% 20257   4,800 5,068
Rockies Express Pipeline LLC 4.95% 20297   11,768 12,011
Sabine Pass Liquefaction, LLC 5.625% 202310   9,500 10,282
Sabine Pass Liquefaction, LLC 5.75% 2024   10,000 11,295
Sabine Pass Liquefaction, LLC 5.625% 2025   6,445 7,399
Sabine Pass Liquefaction, LLC 5.875% 2026   2,100 2,488
Sabine Pass Liquefaction, LLC 4.50% 2030   16,532 18,637
Sanchez Energy Corp. 7.25% 20237,13   5,374 34
Saudi Arabian Oil Co. 2.875% 20247   7,813 8,258
Saudi Arabian Oil Co. 1.625% 20257   589 597
Saudi Arabian Oil Co. 3.50% 20297   3,207 3,444
Saudi Arabian Oil Co. 2.25% 20307   1,326 1,284
Southwestern Energy Co. 6.45% 202510   29,775 32,194
Southwestern Energy Co. 7.50% 2026   22,445 23,792
Southwestern Energy Co. 7.75% 2027   2,890 3,110
Southwestern Energy Co. 8.375% 2028   7,640 8,404
Statoil ASA 2.75% 2021   3,085 3,126
Statoil ASA 3.25% 2024   850 924
Statoil ASA 4.25% 2041   3,000 3,464
Suncor Energy Inc. 3.10% 2025   6,146 6,589
Suncor Energy Inc. 3.75% 2051   669 670
Sunoco Logistics Operating Partners, LP 4.00% 2027   5,586 6,017
Sunoco Logistics Operating Partners, LP 5.40% 2047   14,364 15,634
Sunoco LP 5.50% 2026   1,665 1,723
Sunoco LP 6.00% 2027   12,160 12,802
Sunoco LP 5.875% 2028   12,700 13,475
Sunoco LP 4.50% 20297   4,600 4,652
Superior Plus LP And Superior General Partner Inc. 4.50% 20297   3,825 3,907
Tallgrass Energy Partners, LP 7.50% 20257   4,800 5,253
Tapstone Energy, Term Loan, (3-month USD-LIBOR + 4.00%) 4.741% 20242,3,11,12   51 26
Targa Resources Partners LP 5.875% 2026   5,125 5,378
Targa Resources Partners LP 6.50% 2027   4,740 5,167
Targa Resources Partners LP 6.875% 2029   9,385 10,546
Targa Resources Partners LP 5.50% 2030   17,700 19,184
Targa Resources Partners LP 4.875% 20317   4,680 4,898
Targa Resources Partners LP 4.00% 20327   7,700 7,575
Teekay Corp. 9.25% 20227   22,090 22,633
Teekay Offshore Partners LP 8.50% 20237   14,400 13,148
Total Capital International 3.127% 2050   8,100 7,784
Total SE 2.986% 2041   19,151 18,672
Total SE 3.386% 2060   4,100 4,020
TransCanada PipeLines Ltd. 4.10% 2030   5,254 5,904
Transcontinental Gas Pipe Line Company, LLC 3.95% 2050   1,600 1,681
Transocean Guardian Ltd. 5.875% 20247   7,870 7,334
The Income Fund of America — Page 14 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Energy (continued)
  Principal amount
(000)
Value
(000)
Transocean Inc. 6.125% 20257   $4,435 $4,333
Transocean Poseidon Ltd. 6.875% 20277   8,235 7,839
Valero Energy Corp. 4.00% 2029   6,000 6,555
Weatherford International PLC 8.75% 20247   23,290 24,440
Weatherford International PLC 11.00% 20247   43,051 42,614
Western Gas Partners LP 4.50% 2028   30,415 32,468
Western Gas Partners LP 5.45% 2044   1,210 1,277
Western Midstream Operating, LP 4.35% 202510   9,602 10,166
Western Midstream Operating, LP 4.75% 2028   3,495 3,766
Western Midstream Operating, LP 5.30% 203010   5,750 6,282
Williams Companies, Inc. 3.50% 2030   12,485 13,346
WPX Energy, Inc. 4.50% 2030   11,418 12,314
      2,486,109
Health care 1.69%      
Abbott Laboratories 3.75% 2026   3,539 4,005
AbbVie Inc. 3.45% 2022   8,300 8,479
AbbVie Inc. 2.60% 2024   6,000 6,357
AbbVie Inc. 2.95% 2026   2,890 3,097
AbbVie Inc. 4.55% 2035   6,750 8,002
AbbVie Inc. 4.30% 2036   1,003 1,152
AbbVie Inc. 4.75% 2045   1,203 1,441
AmerisourceBergen Corp. 0.737% 2023   9,914 9,942
Amgen Inc. 2.20% 2027   2,915 3,024
Anthem, Inc. 2.375% 2025   2,046 2,148
AstraZeneca PLC 3.375% 2025   4,500 4,935
Auris Luxembourg III SARL, Term Loan, (3-month USD-LIBOR + 3.75%) 3.863% 202611,12   21,047 20,705
Avantor Funding, Inc. 4.625% 20287   18,470 19,370
Bausch Health Companies Inc. 9.25% 20267   7,650 8,487
Bausch Health Companies Inc. 5.00% 20287   19,784 20,106
Bausch Health Companies Inc. 7.00% 20287   9,470 10,311
Bausch Health Companies Inc. 5.25% 20317   10,420 10,451
Bayer US Finance II LLC 3.875% 20237   3,850 4,143
Bayer US Finance II LLC 4.25% 20257   20,143 22,501
Bayer US Finance II LLC 4.40% 20447   13,090 14,607
Becton, Dickinson and Company 3.70% 2027   6,000 6,673
Boston Scientific Corp. 1.90% 2025   9,109 9,438
Boston Scientific Corp. 3.85% 2025   2,543 2,821
Catalent Pharma Solutions Inc. 5.00% 20277   1,407 1,474
Catalent, Inc. 3.125% 20297   17,495 16,949
Centene Corp. 5.375% 20267   6,740 7,030
Centene Corp. 4.25% 2027   51,990 54,557
Centene Corp. 4.625% 2029   82,420 89,331
Centene Corp. 3.00% 2030   28,035 27,860
Centene Corp. 3.375% 2030   29,100 29,246
Centene Corp. 2.50% 2031   12,110 11,595
Charles River Laboratories International, Inc. 4.25% 20287   13,815 14,403
Charles River Laboratories International, Inc. 3.75% 20297   2,500 2,547
Cigna Corp. 4.80% 2038   3,830 4,631
Community Health Systems Inc. 5.625% 20277   4,815 5,113
Community Health Systems Inc. 6.00% 20297   8,870 9,349
CVS Health Corp. 1.30% 2027   15,523 15,153
DaVita Inc. 4.625% 20307   20,900 21,187
Eli Lilly and Company 3.375% 2029   3,330 3,670
The Income Fund of America — Page 15 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Health care (continued)
  Principal amount
(000)
Value
(000)
Encompass Health Corp. 4.50% 2028   $19,802 $20,569
Encompass Health Corp. 4.75% 2030   12,660 13,309
Endo Dac / Endo Finance LLC / Endo Finco 9.50% 20277   28,561 30,310
Endo Dac / Endo Finance LLC / Endo Finco 6.00% 20287   1,177 896
Endo International PLC 5.75% 20227   35,321 34,041
Endo Luxembourg Finance Co I SARL / Endo US Inc. 6.125% 20297   6,845 6,785
GlaxoSmithKline PLC 3.625% 2025   5,915 6,543
HCA Inc. 5.375% 2025   3,560 3,972
HCA Inc. 5.375% 2026   6,680 7,593
HCA Inc. 5.875% 2026   13,870 15,951
HCA Inc. 5.625% 2028   15,390 17,968
HCA Inc. 3.50% 2030   13,734 14,125
HealthSouth Corp. 5.75% 2025   12,472 12,924
IMS Health Holdings, Inc. 5.00% 20267   24,700 25,567
Iqvia Inc. 5.00% 20277   8,320 8,715
Jaguar Holding Co. II 4.625% 20257   5,145 5,415
Jaguar Holding Co. II 5.00% 20287   7,050 7,697
Jazz Securities Designated Activity Co. 4.375% 20297   8,040 8,231
Mallinckrodt PLC 10.00% 20257   30,060 33,517
Molina Healthcare, Inc. 5.375% 2022   44,090 46,322
Molina Healthcare, Inc. 4.375% 20287   4,840 4,979
Molina Healthcare, Inc. 3.875% 20307   12,815 13,215
Mylan Laboratories Inc. 3.15% 2021   1,500 1,503
Novant Health, Inc. 3.168% 2051   6,000 6,002
Novartis Capital Corp. 2.00% 2027   3,090 3,195
Organon Finance 1 LLC 4.125% 20287   25,670 26,331
Organon Finance 1 LLC 5.125% 20317   16,320 16,954
Owens & Minor, Inc. 4.375% 2024   32,762 33,847
Owens & Minor, Inc. 4.50% 20297   24,640 24,913
Par Pharmaceutical Inc. 7.50% 20277   51,548 54,319
Pfizer Inc. 3.45% 2029   9,000 9,960
Radiology Partners, Inc. 9.25% 20287   21,890 24,091
Rede D’Or Finance SARL 4.95% 2028   1,820 1,883
Rede D’Or Finance SARL 4.50% 2030   10,840 10,661
Rotech Healthcare Inc., Term Loan, (3-month USD-LIBOR + 11.00%) 13.00% 2023 (100% PIK)2,3,9,11,12   16,739 16,739
RP Escrow Issuer, LLC 5.25% 20257   6,290 6,556
Select Medical Holdings Corp. 6.25% 20267   18,853 20,069
Shire PLC 2.875% 2023   4,425 4,647
Surgery Center Holdings 10.00% 20277   13,180 14,477
Syneos Health, Inc. 3.625% 20297   12,340 12,078
Takeda Pharmaceutical Company, Ltd. 4.40% 2023   12,910 14,117
Team Health Holdings, Inc. 6.375% 20257   13,060 11,591
Team Health Holdings, Inc., Term Loan B, 3.75% 202411,12   13,586 12,720
Tenet Healthcare Corp. 4.625% 2024   22,866 23,240
Tenet Healthcare Corp. 4.875% 20267   85,230 88,661
Tenet Healthcare Corp. 5.125% 20277   13,695 14,380
Teva Pharmaceutical Finance Co. BV 2.20% 2021   4,593 4,596
Teva Pharmaceutical Finance Co. BV 2.80% 2023   142,289 141,062
Teva Pharmaceutical Finance Co. BV 6.00% 2024   109,842 116,021
Teva Pharmaceutical Finance Co. BV 7.125% 2025   30,880 33,719
Teva Pharmaceutical Finance Co. BV 3.15% 2026   85,630 80,514
Teva Pharmaceutical Finance Co. BV 6.75% 2028   192,275 209,820
Teva Pharmaceutical Finance Co. BV 4.10% 2046   70,245 59,981
UnitedHealth Group Inc. 4.45% 2048   5,000 6,133
The Income Fund of America — Page 16 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Health care (continued)
  Principal amount
(000)
Value
(000)
Valeant Pharmaceuticals International, Inc. 5.50% 20257   $13,550 $13,990
Valeant Pharmaceuticals International, Inc. 6.125% 20257   93,162 95,238
Valeant Pharmaceuticals International, Inc. 9.00% 20257   16,475 17,899
Valeant Pharmaceuticals International, Inc. 8.50% 20277   5,175 5,770
Zimmer Holdings, Inc. 3.15% 2022   9,455 9,652
      2,102,263
Consumer discretionary 1.68%      
Allied Universal Holdco LLC 6.625% 20267   16,985 17,983
Allied Universal Holdco LLC 9.75% 20277   21,000 23,094
Amazon.com, Inc. 2.70% 2060   8,300 7,486
Bayerische Motoren Werke AG 0.80% 20247   10,210 10,263
Boyd Gaming Corp. 8.625% 20257   5,715 6,340
Boyd Gaming Corp. 4.75% 2027   22,130 22,715
Boyne USA, Inc. 4.75% 20297   6,170 6,347
Caesars Entertainment, Inc. 6.25% 20257   21,365 22,742
Caesars Resort Collection, LLC 5.75% 20257   5,020 5,294
Carnival Corp. 11.50% 20237   42,414 48,795
Carvana Co. 5.625% 20257   2,770 2,857
Carvana Co. 5.50% 20277   5,615 5,690
Carvana Co. 5.875% 20287   12,000 12,478
Cedar Fair LP/Canadas Wonderland Co/Magnum Management Corp/Millennium Operations LLC 5.50% 20257   14,400 15,116
Churchill Downs Inc. 4.75% 20287   18,595 19,130
Cirsa Gaming Corp. SA 7.875% 20237   21,317 21,770
DaimlerChrysler North America Holding Corp. 3.40% 20227   850 871
DaimlerChrysler North America Holding Corp. 1.75% 20237   17,000 17,357
DaimlerChrysler North America Holding Corp. 3.65% 20247   9,360 10,074
DaimlerChrysler North America Holding Corp. 3.30% 20257   2,000 2,162
Dana Inc. 5.625% 2028   15,970 17,228
Dana Inc. 4.25% 2030   6,110 6,186
Ford Motor Co. 8.50% 2023   12,074 13,538
Ford Motor Co. 9.00% 2025   8,656 10,582
Ford Motor Credit Company LLC 5.875% 2021   750 758
Ford Motor Credit Company LLC 3.087% 2023   38,620 39,400
Ford Motor Credit Company LLC 3.096% 2023   17,555 17,972
Ford Motor Credit Company LLC 4.14% 2023   1,600 1,662
Ford Motor Credit Company LLC 4.375% 2023   6,550 6,928
Ford Motor Credit Company LLC 3.664% 2024   14,290 14,906
Ford Motor Credit Company LLC 3.81% 2024   20,790 21,596
Ford Motor Credit Company LLC 4.063% 2024   2,600 2,741
Ford Motor Credit Company LLC 5.584% 2024   10,134 11,064
Ford Motor Credit Company LLC 3.375% 2025   17,250 17,676
Ford Motor Credit Company LLC 5.125% 2025   70,145 76,714
Ford Motor Credit Company LLC 4.542% 2026   28,290 30,412
Ford Motor Credit Company LLC 3.815% 2027   8,715 8,946
Ford Motor Credit Company LLC 4.125% 2027   87,310 91,358
Ford Motor Credit Company LLC 4.271% 2027   43,075 45,314
Ford Motor Credit Company LLC 2.90% 2028   21,730 21,325
Ford Motor Credit Company LLC 5.113% 2029   25,589 27,996
Ford Motor Credit Company LLC 4.00% 2030   24,614 25,170
General Motors Company 5.40% 2023   1,066 1,180
General Motors Company 4.35% 2025   6,329 7,020
General Motors Company 6.125% 2025   10,602 12,590
The Income Fund of America — Page 17 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Consumer discretionary (continued)
  Principal amount
(000)
Value
(000)
General Motors Company 6.80% 2027   $2,330 $2,932
General Motors Company 5.00% 2035   3,750 4,409
General Motors Company 6.60% 2036   9,460 12,639
General Motors Company 5.20% 2045   3,200 3,760
General Motors Company 6.75% 2046   15,230 21,010
General Motors Company 5.40% 2048   1,150 1,392
General Motors Company 5.95% 2049   8,000 10,362
General Motors Financial Co. 3.15% 2022   75 77
General Motors Financial Co. 3.45% 2022   3,500 3,561
General Motors Financial Co. 3.55% 2022   8,518 8,810
General Motors Financial Co. 3.25% 2023   16,226 16,889
General Motors Financial Co. 3.70% 2023   5,111 5,384
General Motors Financial Co. 5.20% 2023   22,663 24,554
General Motors Financial Co. 1.05% 2024   6,250 6,265
General Motors Financial Co. 3.50% 2024   9,404 10,121
General Motors Financial Co. 5.10% 2024   10,611 11,741
General Motors Financial Co. 2.75% 2025   6,908 7,273
General Motors Financial Co. 4.00% 2025   1,760 1,920
General Motors Financial Co. 4.30% 2025   534 592
General Motors Financial Co. 1.25% 2026   8,100 8,004
General Motors Financial Co. 4.00% 2026   2,000 2,208
General Motors Financial Co. 5.25% 2026   4,938 5,693
General Motors Financial Co. 2.70% 2027   12,000 12,373
General Motors Financial Co. 2.40% 2028   5,825 5,841
General Motors Financial Co. 2.35% 2031   16,900 16,187
Hanesbrands Inc. 4.625% 20247   16,350 17,246
Hanesbrands Inc. 5.375% 20257   7,170 7,555
Hanesbrands Inc. 4.875% 20267   33,027 35,429
Hilton Worldwide Holdings Inc. 4.875% 2030   16,185 17,278
Hilton Worldwide Holdings Inc. 4.00% 20317   20,215 20,445
Home Depot, Inc. 3.90% 2028   1,150 1,321
Home Depot, Inc. 2.95% 2029   5,000 5,358
Home Depot, Inc. 1.375% 2031   25,718 23,946
Home Depot, Inc. 5.95% 2041   12,500 17,806
Home Depot, Inc. 4.50% 2048   601 755
Home Depot, Inc. 2.375% 2051   10,000 8,746
Hyundai Capital America 3.75% 20217   5,000 5,027
Hyundai Capital America 2.85% 20227   8,235 8,481
Hyundai Capital America 3.10% 20227   9,720 9,942
Hyundai Capital America 3.25% 20227   11,817 12,210
Hyundai Capital America 3.95% 20227   8,000 8,204
Hyundai Capital America 1.25% 20237   7,561 7,629
Hyundai Capital America 2.375% 20237   21,815 22,405
Hyundai Capital America 5.75% 20237   5,000 5,469
Hyundai Capital America 1.80% 20257   1,871 1,888
Hyundai Capital America 2.65% 20257   28,554 29,844
Hyundai Capital America 5.875% 20257   5,000 5,812
Hyundai Capital America 1.30% 20267   9,000 8,861
Hyundai Capital America 2.375% 20277   1,169 1,181
Hyundai Capital America 3.00% 20277   22,765 23,886
Hyundai Capital America 1.80% 20287   9,000 8,742
Hyundai Capital Services, Inc. 1.25% 20267   3,490 3,428
International Game Technology PLC 6.50% 20257   19,030 21,099
International Game Technology PLC 5.25% 20297   38,475 40,846
The Income Fund of America — Page 18 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Consumer discretionary (continued)
  Principal amount
(000)
Value
(000)
Levi Strauss & Co. 5.00% 2025   $1,826 $1,865
Levi Strauss & Co. 3.50% 20317   6,305 6,298
Lithia Motors, Inc. 4.375% 20317   4,550 4,798
Marriott International, Inc. 5.75% 2025   4,999 5,757
Marriott International, Inc. 3.125% 2026   660 702
Melco International Development Ltd. 5.75% 20287   17,490 18,835
Merlin Entertainment 5.75% 20267   6,910 7,315
MGM Growth Properties LLC 5.625% 2024   3,505 3,784
MGM Growth Properties LLC 4.625% 20257   15,715 16,751
MGM Growth Properties LLC 3.875% 20297   27,355 27,730
MGM Resorts International 7.75% 2022   6,400 6,739
MGM Resorts International 6.00% 2023   10,385 11,129
MGM Resorts International 5.50% 2027   3,617 3,952
Midwest Gaming Borrower, LLC 4.875% 20297   13,870 13,883
Mohegan Gaming & Entertainment 8.00% 20267   34,825 35,393
Neiman Marcus Group Ltd. LLC 7.125% 20267   5,920 6,063
Newell Rubbermaid Inc. 4.875% 2025   6,570 7,268
Newell Rubbermaid Inc. 5.875% 203610   1,010 1,260
Nissan Motor Co., Ltd. 2.60% 20227   9,910 10,158
Nissan Motor Co., Ltd. 3.043% 20237   400 419
Nissan Motor Co., Ltd. 3.522% 20257   800 856
Nissan Motor Co., Ltd. 2.00% 20267   17,000 17,071
Nissan Motor Co., Ltd. 4.345% 20277   2,520 2,760
Nissan Motor Co., Ltd. 2.75% 20287   15,850 15,924
Nissan Motor Co., Ltd. 4.81% 20307   21,325 23,702
Panther BF Aggregator 2, LP 6.25% 20267   11,992 12,735
Panther BF Aggregator 2, LP 8.50% 20277   21,485 23,231
Party City Holdings Inc. 8.75% 20267   6,204 6,367
Real Hero Merger Sub 2, Inc. 6.25% 20297   1,550 1,606
Royal Caribbean Cruises Ltd. 11.50% 20257   8,530 9,892
Sally Holdings LLC and Sally Capital Inc. 5.625% 2025   24,705 25,507
Sally Holdings LLC and Sally Capital Inc. 8.75% 20257   10,311 11,413
Sands China Ltd. 3.80% 2026   8,325 8,856
Scientific Games Corp. 8.625% 20257   12,910 14,136
Scientific Games Corp. 8.25% 20267   41,310 44,563
Scientific Games Corp. 7.00% 20287   11,129 11,993
Scientific Games Corp. 7.25% 20297   16,515 18,186
Six Flags Entertainment Corp. 4.875% 20247   11,570 11,673
Six Flags Theme Parks Inc. 7.00% 20257   3,500 3,790
Starbucks Corp. 3.50% 2050   1,400 1,431
Tempur Sealy International, Inc. 4.00% 20297   4,710 4,776
Toyota Motor Credit Corp. 0.45% 2024   25,283 25,294
Toyota Motor Credit Corp. 0.80% 2026   13,440 13,381
Toyota Motor Credit Corp. 3.05% 2028   4,050 4,380
Truck Hero Inc., Term Loan-B, (3-month USD-LIBOR + 3.75%) 4.50% 202811,12   8,475 8,469
Vail Resorts, Inc. 6.25% 20257   6,270 6,662
VICI Properties LP 4.25% 20267   3,660 3,779
VICI Properties LP 4.625% 20297   6,565 6,828
VICI Properties LP / VICI Note Co., Inc. 3.50% 20257   7,495 7,664
VICI Properties LP / VICI Note Co., Inc. 3.75% 20277   10,475 10,572
VICI Properties LP / VICI Note Co., Inc. 4.125% 20307   32,040 32,581
Volkswagen Group of America Finance, LLC 4.00% 20217   2,750 2,803
Volkswagen Group of America Finance, LLC 2.70% 20227   3,150 3,248
Volkswagen Group of America Finance, LLC 2.90% 20227   1,650 1,692
The Income Fund of America — Page 19 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Consumer discretionary (continued)
  Principal amount
(000)
Value
(000)
Volkswagen Group of America Finance, LLC 3.125% 20237   $2,000 $2,100
Volkswagen Group of America Finance, LLC 4.25% 20237   7,365 8,014
Volkswagen Group of America Finance, LLC 2.85% 20247   4,870 5,181
Volkswagen Group of America Finance, LLC 1.25% 20257   5,665 5,653
Volkswagen Group of America Finance, LLC 3.35% 20257   6,326 6,852
Volkswagen Group of America Finance, LLC 4.625% 20257   2,911 3,322
Volkswagen Group of America Finance, LLC 3.20% 20267   8,003 8,687
Volkswagen Group of America Finance, LLC 4.75% 20287   2,000 2,344
Wyndham Destinations, Inc. 4.625% 20307   5,750 5,990
Wyndham Worldwide Corp. 4.375% 20287   8,255 8,531
Wynn Las Vegas, LLC and Wynn Capital Corp. 4.25% 20237   21,123 21,717
Wynn Resorts Ltd. 7.75% 20257   20,005 21,647
Wynn Resorts Ltd. 5.125% 20297   8,304 8,594
      2,090,214
Communication services 1.68%      
Alphabet Inc. 2.25% 2060   3,900 3,251
Altice France SA 5.125% 20297   67,122 67,290
AT&T Inc. 0.90% 2024   18,000 18,044
AT&T Inc. 1.70% 2026   27,000 27,132
AT&T Inc. 1.65% 2028   7,175 6,994
AT&T Inc. 3.50% 20537   10,335 9,525
British Telecommunications PLC 9.625% 203010   4,011 6,266
Cablevision Systems Corp. 5.375% 20287   8,500 8,956
CCO Holdings LLC and CCO Holdings Capital Corp. 5.75% 20267   32,217 33,390
CCO Holdings LLC and CCO Holdings Capital Corp. 5.125% 20277   26,625 27,904
CCO Holdings LLC and CCO Holdings Capital Corp. 5.00% 20287   13,250 13,863
CCO Holdings LLC and CCO Holdings Capital Corp. 4.50% 20307   16,050 16,349
CCO Holdings LLC and CCO Holdings Capital Corp. 4.75% 20307   28,552 29,837
CCO Holdings LLC and CCO Holdings Capital Corp. 2.80% 2031   12,414 12,314
CCO Holdings LLC and CCO Holdings Capital Corp. 4.25% 20317   20,100 20,125
CCO Holdings LLC and CCO Holdings Capital Corp. 2.30% 2032   21,275 19,969
CCO Holdings LLC and CCO Holdings Capital Corp. 4.50% 20327   19,415 19,633
CCO Holdings LLC and CCO Holdings Capital Corp. 4.50% 20337   13,800 13,925
CenturyLink, Inc. 6.75% 2023   11,075 12,246
CenturyLink, Inc. 7.50% 2024   5,800 6,498
CenturyLink, Inc. 5.125% 20267   14,175 14,890
CenturyLink, Inc. 4.00% 20277   48,038 49,005
CenturyLink, Inc. 7.65% 2042   270 309
CenturyLink, Inc., Series T, 5.80% 2022   5,100 5,267
Cinemark USA, Inc. 5.875% 20267   11,750 12,191
Cogent Communications Group, Inc. 3.50% 20267   11,450 11,450
Comcast Corp. 6.45% 2037   25,000 36,071
Comcast Corp. 4.60% 2038   9,000 10,958
Deutsche Telekom International Finance BV 9.25% 2032   13,095 21,195
Diamond Sports Group LLC 5.375% 20267   6,912 5,054
Diamond Sports Group LLC 6.625% 20277   26,485 14,344
Discovery Communications, Inc. 3.625% 2030   6,363 6,816
Embarq Corp. 7.995% 2036   49,395 57,592
Epicor Software Corp., Term Loan-C, (3-month USD-LIBOR + 3.25%) 4.00% 202711,12   1,368 1,368
Epicor Software Corp., Term Loan, (3-month USD-LIBOR + 7.75%) 8.75% 202811,12   1,950 2,009
Fox Corp. 4.03% 2024   1,120 1,216
Front Range BidCo, Inc. 6.125% 20287   22,932 23,622
Frontier Communications Corp. 5.875% 20277   15,925 16,940
The Income Fund of America — Page 20 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Communication services (continued)
  Principal amount
(000)
Value
(000)
Frontier Communications Corp. 5.00% 20287   $14,600 $14,935
Frontier Communications Corp. 6.75% 20297   39,523 41,691
Gogo Inc. 9.875% 20247   121,469 127,467
Gray Television, Inc. 7.00% 20277   17,880 19,552
iHeartCommunications, Inc. 5.25% 20277   14,875 15,430
Inmarsat PLC 6.75% 20267   16,600 17,363
Intelsat Jackson Holding Co. 5.50% 202313   7,495 4,609
Intelsat Jackson Holding Co. 8.00% 20247   40,265 41,691
Intelsat Jackson Holding Co. 8.50% 20247,13   30,425 18,937
Intelsat Jackson Holding Co., Term Loan, (3-month USD-LIBOR + 5.50%) 6.50% 202111,12   16,989 17,222
Intelsat Jackson Holding Co., Term Loan B3, (USD Prime Rate + 4.75%) 8.00% 202311,12   3,000 3,057
Intelsat Jackson Holding Co., Term Loan, 6.625% 202411   27,850 28,427
Lamar Media Corp. 3.75% 2028   5,094 5,146
Lamar Media Corp. 4.875% 2029   6,955 7,338
Lamar Media Corp. 3.625% 20317   3,450 3,368
Level 3 Financing, Inc. 3.75% 20297   30,176 29,459
Liberty Global PLC 5.50% 20287   7,975 8,299
Ligado Networks LLC 15.50% 20237,9   23,475 23,152
Live Nation Entertainment, Inc. 3.75% 20287   5,950 5,936
MDC Partners Inc. 7.50% 20247,10   12,928 13,169
Meredith Corp. 6.875% 2026   19,298 19,829
Myriad International Holdings 5.50% 2025   6,140 7,017
Netflix, Inc. 3.625% 20257   290 312
Netflix, Inc. 4.875% 2028   1,580 1,821
Netflix, Inc. 5.875% 2028   9,840 11,985
Netflix, Inc. 5.375% 20297   21,510 25,570
Netflix, Inc. 6.375% 2029   12,500 15,716
Netflix, Inc. 4.875% 20307   15,520 18,025
News Corp. 3.875% 20297   17,450 17,816
Nexstar Broadcasting, Inc. 4.75% 20287   30,900 31,518
Nexstar Escrow Corp. 5.625% 20277   16,010 16,936
Numericable Group SA 7.375% 20267   27,450 28,494
Playtika Holding Corp. 4.25% 20297   1,480 1,473
Qwest Capital Funding, Inc. 7.625% 2021   3,900 3,951
SBA Tower Trust 1.631% 20512,7   23,592 23,664
Scripps Escrow II, Inc. 3.875% 20297   4,875 4,851
Sinclair Television Group, Inc. 4.125% 20307   5,150 5,028
Sirius XM Radio Inc. 4.625% 20247   25,910 26,623
Sirius XM Radio Inc. 5.00% 20277   4,791 5,023
Sirius XM Radio Inc. 4.125% 20307   7,450 7,459
SoftBank Group Corp. 3.36% 20237   4,556 4,592
Sprint Corp. 7.125% 2024   10,000 11,561
Sprint Corp. 7.625% 2025   36,000 42,795
Sprint Corp. 7.625% 2026   46,270 56,796
Sprint Corp. 6.875% 2028   73,237 92,372
Sprint Corp. 8.75% 2032   15,210 22,571
TEGNA Inc. 4.75% 20267   12,425 13,230
TEGNA Inc. 4.625% 2028   1,925 1,968
Tencent Holdings Ltd. 3.595% 2028   20,000 21,510
Tencent Holdings Ltd. 3.975% 2029   17,277 18,896
Tencent Holdings Ltd. 2.39% 2030   19,723 19,344
Tencent Holdings Ltd. 2.88% 20317   2,670 2,709
Tencent Holdings Ltd. 3.84% 20517   10,665 10,898
T-Mobile US, Inc. 2.625% 2026   6,250 6,365
The Income Fund of America — Page 21 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Communication services (continued)
  Principal amount
(000)
Value
(000)
T-Mobile US, Inc. 2.05% 20287   $11,475 $11,404
T-Mobile US, Inc. 2.625% 2029   6,725 6,560
T-Mobile US, Inc. 2.875% 2031   20,725 20,259
T-Mobile US, Inc. 3.50% 2031   19,500 19,817
T-Mobile US, Inc. 4.50% 20507   4,325 4,884
Trilogy International Partners, LLC 8.875% 20227   56,280 55,521
Uniti Group LP / Uniti Fiber Holdings Inc. / CSL Capital LLC 7.875% 20257   2,100 2,265
Univision Communications Inc. 6.625% 20277   26,575 28,834
UPC Broadband Finco B.V. 4.875% 20317   48,900 48,794
Verizon Communications Inc. 2.10% 2028   20,950 21,154
Verizon Communications Inc. 4.329% 2028   1,675 1,932
Verizon Communications Inc. 2.55% 2031   9,313 9,343
Verizon Communications Inc. 3.40% 2041   12,725 13,054
Verizon Communications Inc. 2.875% 2050   15,000 13,674
Virgin Media O2 4.25% 20317   9,175 8,888
Virgin Media Secured Finance PLC 4.50% 20307   20,770 20,908
Vodafone Group PLC 4.25% 2050   7,275 8,106
Warner Music Group 3.875% 20307   12,300 12,474
Ziggo Bond Co. BV 5.125% 20307   14,170 14,531
Ziggo Bond Finance BV 5.50% 20277   32,703 34,074
Ziggo Bond Finance BV 4.875% 20307   17,075 17,570
      2,082,820
Industrials 1.21%      
AerCap Ireland Capital Ltd. / AerCap Global Aviation Trust 1.75% 2026   3,978 3,903
Air Lease Corp. 2.875% 2026   24,541 25,575
Allison Transmission Holdings, Inc. 3.75% 20317   26,640 25,741
American Airlines, Inc. 5.50% 20267   5,880 6,181
American Airlines, Inc. 5.75% 20297   5,880 6,308
American Airlines, Inc., Series 2013-2, Class A, 4.95% 2024   3,948 3,990
Associated Materials, LLC 9.00% 20257   20,801 22,205
ATS Automation Tooling Systems Inc. 4.125% 20287   3,975 4,012
Avis Budget Car Rental, LLC 5.75% 20277   8,875 9,380
Avis Budget Group, Inc. 5.25% 20257   6,286 6,392
Avis Budget Group, Inc. 5.375% 20297   11,760 12,260
Avolon Holdings Funding Ltd. 3.625% 20227   3,935 4,018
Avolon Holdings Funding Ltd. 3.95% 20247   22,645 23,995
Avolon Holdings Funding Ltd. 2.125% 20267   12,179 11,912
Avolon Holdings Funding Ltd. 4.25% 20267   8,919 9,519
Avolon Holdings Funding Ltd. 3.25% 20277   17,000 17,323
Boeing Company 4.508% 2023   23,054 24,627
Boeing Company 1.95% 2024   2,738 2,816
Boeing Company 2.80% 2024   1,130 1,189
Boeing Company 4.875% 2025   46,241 51,881
Boeing Company 2.196% 2026   22,761 22,806
Boeing Company 2.75% 2026   16,896 17,531
Boeing Company 3.10% 2026   1,454 1,530
Boeing Company 5.04% 2027   24,986 28,728
Boeing Company 3.25% 2028   17,642 18,457
Boeing Company 5.15% 2030   63,054 73,397
Boeing Company 3.625% 2031   22,952 24,159
Boeing Company 3.60% 2034   9,000 9,183
Boeing Company 3.50% 2039   1,090 1,066
Boeing Company 3.90% 2049   3,149 3,158
The Income Fund of America — Page 22 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Industrials (continued)
  Principal amount
(000)
Value
(000)
Boeing Company 3.75% 2050   $9,700 $9,462
Boeing Company 5.805% 2050   4,763 6,125
Bohai Financial Investment Holding Co., Ltd. 5.25% 20227   5,148 5,382
Bombardier Inc. 7.50% 20247   8,550 8,689
Bombardier Inc. 7.50% 20257   3,515 3,513
Bombardier Inc. 7.875% 20277   30,260 30,222
Booz Allen Hamilton Inc. 3.875% 20287   4,141 4,140
Burlington Northern Santa Fe LLC 3.55% 2050   10,000 10,728
BWX Technologies, Inc. 4.125% 20287   5,190 5,296
BWX Technologies, Inc. 4.125% 20297   13,070 13,446
Canadian National Railway Company 3.20% 2046   1,980 2,003
Carrier Global Corp. 2.722% 2030   2,000 2,038
Carrier Global Corp. 3.577% 2050   4,100 4,131
Continental Airlines, Inc., Series 2007-1, Class B, 6.903% 2022   487 487
CoreCivic Inc. 8.25% 2026   28,540 28,718
CoreLogic, Inc. 4.50% 20287   41,601 41,592
CP Atlas Buyer, Inc. 7.00% 20287   1,475 1,532
CSX Corp. 3.80% 2028   1,550 1,727
CSX Corp. 4.50% 2049   3,785 4,483
Delta Air Lines, Inc., Series 2002-1, Class G-1, MBIA insured, 6.718% 2024   1,587 1,619
Dun & Bradstreet Corp. 6.875% 20267   13,222 14,090
Dun & Bradstreet Corp. 10.25% 20277   14,193 15,769
Fortress Transportation and Infrastructure Investors LLC 6.50% 20257   4,675 4,868
General Electric Capital Corp. 4.418% 2035   17,850 20,559
General Electric Capital Corp. 6.15% 2037   1,919 2,568
General Electric Co. 3.45% 2027   5,400 5,905
General Electric Co. 3.625% 2030   2,675 2,909
General Electric Co. 4.25% 2040   550 615
General Electric Co. 4.125% 2042   869 956
General Electric Co. 4.35% 2050   2,750 3,067
General Electric Co., Series D, junior subordinated, 3.514%
(3-month USD-LIBOR + 3.33% on 6/15/2021)10
  95,170 90,589
Harsco Corp. 5.75% 20277   18,440 19,489
Honeywell International Inc. 2.30% 2024   4,405 4,655
Howmet Aerospace Inc. 6.875% 2025   11,480 13,331
IAA Spinco Inc. 5.50% 20277   6,875 7,236
Icahn Enterprises Finance Corp. 4.75% 2024   14,360 15,066
JELD-WEN Holding, Inc. 4.625% 20257   8,965 9,177
JELD-WEN Holding, Inc. 4.875% 20277   13,745 14,398
L3Harris Technologies, Inc. 1.80% 2031   8,925 8,497
LABL Escrow Issuer, LLC 10.50% 20277   5,105 5,637
LSC Communications, Inc. 8.75% 20232,3,7,13   25,850 1,373
LSC Communications, Inc., Term Loan B, (USD Prime Rate + 4.50%) 7.75% 20222,3,11,12,13   3,697 196
Masco Corp. 1.50% 2028   8,605 8,331
Masco Corp. 2.00% 2031   4,970 4,754
Masco Corp. 3.125% 2051   2,294 2,191
MasTec, Inc. 4.50% 20287   19,290 20,134
Meritor, Inc. 4.50% 20287   4,600 4,666
Mexico City Airport Trust 3.875% 20287   770 798
Mexico City Airport Trust 5.50% 2046   2,303 2,341
Mexico City Airport Trust 5.50% 2047   4,482 4,555
Mexico City Airport Trust 5.50% 20477   215 219
Moog Inc. 4.25% 20277   11,829 12,184
NESCO Holdings II, Inc. 5.50% 20297   10,555 10,885
The Income Fund of America — Page 23 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Industrials (continued)
  Principal amount
(000)
Value
(000)
Nielsen Finance LLC and Nielsen Finance Co. 5.00% 20257   $8,575 $8,816
Nielsen Finance LLC and Nielsen Finance Co. 5.625% 20287   10,150 10,835
Nielsen Finance LLC and Nielsen Finance Co. 5.875% 20307   8,300 9,099
Norfolk Southern Corp. 3.05% 2050   3,727 3,579
Northrop Grumman Corp. 3.25% 2028   8,995 9,742
Otis Worldwide Corp. 2.293% 2027   2,440 2,524
R.R. Donnelley & Sons Co. 6.50% 2023   10,730 11,279
Rexnord Corp. 4.875% 20257   19,490 19,973
Rolls-Royce PLC 5.75% 20277   16,750 17,996
Sensata Technologies Holding BV 4.00% 20297   8,455 8,518
Sensata Technologies, Inc. 3.75% 20317   7,225 7,184
Siemens AG 1.20% 20267   22,471 22,445
Siemens AG 1.70% 20287   12,575 12,492
Signature Aviation PLC 4.00% 20287   4,050 4,087
SkyMiles IP Ltd. 4.75% 20287   35,245 38,732
Stericycle, Inc. 3.875% 20297   17,030 17,028
The Brink’s Co. 4.625% 20277   10,510 10,976
TransDigm Inc. 6.25% 20267   61,602 65,298
TransDigm Inc. 5.50% 2027   38,374 39,986
TransDigm Inc. 4.625% 20297   9,870 9,743
Triumph Group, Inc. 5.25% 2022   4,535 4,512
Triumph Group, Inc. 6.25% 20247   4,320 4,371
Triumph Group, Inc. 8.875% 20247   7,435 8,281
Triumph Group, Inc. 7.75% 20257   3,875 3,839
Uber Technologies, Inc. 8.00% 20267   13,105 14,199
Union Pacific Corp. 3.75% 2025   4,720 5,253
Union Pacific Corp. 2.15% 2027   1,854 1,931
Union Pacific Corp. 2.40% 2030   1,931 1,964
Union Pacific Corp. 2.891% 20367   3,245 3,273
United Airlines Holdings, Inc. 6.50% 20277   27,525 30,243
United Airlines, Inc. 4.375% 20267   6,180 6,421
United Airlines, Inc. 4.625% 20297   16,675 17,349
United Airlines, Inc., Series 2007-1, Class A, 6.636% 2024   3,158 3,283
United Rentals, Inc. 5.875% 2026   1,080 1,129
United Rentals, Inc. 5.25% 2030   6,840 7,490
United Rentals, Inc. 3.875% 2031   4,600 4,635
United Technologies Corp. 3.95% 2025   5,290 5,903
Vertical Holdco GMBH 7.625% 20287   13,210 14,424
Vertical U.S. Newco Inc. 5.25% 20277   19,880 20,837
Virgin Australia Holdings Ltd. 7.875% 20217,13   1,750 163
WESCO Distribution, Inc. 7.125% 20257   11,130 12,034
WESCO Distribution, Inc. 7.25% 20287   12,115 13,463
Westinghouse Air Brake Technologies Corp. 4.40% 202410   1,491 1,628
XPO Logistics, Inc. 6.25% 20257   2,945 3,158
      1,510,698
Materials 1.13%      
Air Products and Chemicals, Inc. 1.85% 2027   1,857 1,898
Alcoa Netherlands Holding BV 5.50% 20277   13,410 14,545
Alcoa Netherlands Holding BV 4.125% 20297   4,150 4,243
Anglo American Capital PLC 2.25% 20287   6,553 6,521
Anglo American Capital PLC 2.625% 20307   16,107 15,898
Arconic Corp. 6.00% 20257   10,820 11,575
Arconic Rolled Products Corp. 6.125% 20287   3,300 3,510
The Income Fund of America — Page 24 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Materials (continued)
  Principal amount
(000)
Value
(000)
Ardagh Group SA 6.50% 20277,9   $22,795 $23,878
Ardagh Metal Packaging Finance USA LLC 4.00% 20297   21,920 21,852
Ardagh Packaging Finance 5.25% 20257   12,006 12,618
Ardagh Packaging Finance 6.00% 20257   1,577 1,629
Ardagh Packaging Finance 5.25% 20277   5,685 5,818
Axalta Coating Systems LLC 4.75% 20277   16,440 17,241
BWAY Parent Co., Inc. 5.50% 20247   12,895 12,967
Cascades Inc. 5.125% 20267   17,550 18,658
Cascades Inc. 5.375% 20287   5,870 6,126
Cleveland-Cliffs Inc. 5.75% 2025   38,706 39,843
Cleveland-Cliffs Inc. 9.875% 20257   5,569 6,544
Cleveland-Cliffs Inc. 6.75% 20267   17,070 18,542
Cleveland-Cliffs Inc. 5.875% 2027   54,860 57,603
Cleveland-Cliffs Inc. 7.00% 2027   1,300 1,306
Cleveland-Cliffs Inc. 4.625% 20297   9,950 10,151
Cleveland-Cliffs Inc. 4.875% 20317   8,989 9,158
Constellium SE 3.75% 20297   12,685 12,432
CRH America, Inc. 5.125% 20457   350 442
Crown Holdings, Inc. 4.75% 2026   7,100 7,379
CVR Partners, LP 9.25% 20237   10,610 10,703
Dow Chemical Co. 3.625% 2026   1,616 1,784
Dow Chemical Co. 3.60% 2050   17,529 17,920
Element Solutions Inc. 3.875% 20287   16,085 16,065
First Quantum Minerals Ltd. 7.25% 20237   9,725 9,919
First Quantum Minerals Ltd. 6.50% 20247   34,741 35,683
First Quantum Minerals Ltd. 7.50% 20257   80,350 83,514
First Quantum Minerals Ltd. 6.875% 20267   23,575 24,810
First Quantum Minerals Ltd. 6.875% 20277   45,590 50,092
FMG Resources 4.375% 20317   13,690 14,239
Freeport-McMoRan Inc. 4.25% 2030   10,350 11,140
Freeport-McMoRan Inc. 5.40% 2034   14,299 17,235
Freeport-McMoRan Inc. 5.45% 2043   19,075 23,319
FXI Holdings, Inc. 7.875% 20247   26,258 27,177
FXI Holdings, Inc. 12.25% 20267   32,297 37,427
GPC Merger Sub Inc. 7.125% 20287   13,525 14,531
Hexion Inc. 7.875% 20277   28,001 30,177
INEOS Group Holdings SA 5.625% 20247   15,135 15,286
International Paper Co. 7.30% 2039   5,615 8,473
Joseph T. Ryerson & Son, Inc. 8.50% 20287   5,085 5,628
LSB Industries, Inc. 9.625% 20237   23,475 24,382
LYB International Finance III, LLC 2.25% 2030   9,066 8,867
LYB International Finance III, LLC 3.375% 2040   4,486 4,529
LYB International Finance III, LLC 3.625% 2051   47,884 47,978
LYB International Finance III, LLC 3.80% 2060   8,215 8,088
Mercer International Inc. 5.125% 20297   5,800 6,003
Methanex Corp. 5.125% 2027   61,880 65,424
Mosaic Co. 3.25% 2022   1,500 1,560
Nouryon Holding BV 8.00% 20267   22,345 23,809
Nova Chemicals Corp. 4.25% 20297   13,075 12,977
Novelis Corp. 4.75% 20307   24,935 25,964
Nutrien Ltd. 1.90% 2023   7,974 8,188
Nutrition & Biosciences, Inc. 1.832% 20277   3,375 3,337
Nutrition & Biosciences, Inc. 3.468% 20507   5,000 4,929
OCI NV 5.25% 20247   20,855 21,708
The Income Fund of America — Page 25 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Materials (continued)
  Principal amount
(000)
Value
(000)
Owens-Illinois, Inc. 5.875% 20237   $21,820 $23,647
Praxair, Inc. 1.10% 2030   4,407 4,084
Rayonier A.M. Products Inc. 7.625% 20267   1,920 2,045
S.P.C.M. SA 4.875% 20257   11,750 12,062
SCIH Salt Holdings Inc. 4.875% 20287   18,270 18,247
SCIH Salt Holdings Inc. 6.625% 20297   18,765 18,484
Scotts Miracle-Gro Co. 4.50% 2029   18,595 19,583
Sealed Air Corp. 5.25% 20237   5,960 6,332
Sealed Air Corp. 4.00% 20277   19,239 20,201
Sherwin-Williams Company 3.80% 2049   10,414 11,306
Silgan Holdings Inc. 4.125% 2028   20,020 20,741
Summit Materials, Inc. 6.50% 20277   9,760 10,332
Summit Materials, Inc. 5.25% 20297   12,425 13,093
Trivium Packaging BV 5.50% 20267   9,902 10,377
Trivium Packaging BV 8.50% 20277   7,865 8,445
Tronox Ltd. 4.625% 20297   8,970 9,172
Valvoline Inc. 4.25% 20307   11,680 11,986
Valvoline Inc. 3.625% 20317   13,689 13,398
Venator Materials Corp. 5.75% 20257   45,720 45,285
Venator Materials Corp. 9.50% 20257   20,172 22,744
W. R. Grace & Co. 4.875% 20277   14,020 14,633
Warrior Met Coal, Inc. 8.00% 20247   25,662 26,259
Westlake Chemical Corp. 5.00% 2046   350 422
Westlake Chemical Corp. 4.375% 2047   300 334
      1,408,454
Utilities 1.07%      
Abu Dhabi National Energy Company PJSC (TAQA) 3.625% 20237   2,000 2,104
Abu Dhabi National Energy Company PJSC (TAQA) 4.375% 20257   17,000 19,048
Abu Dhabi National Energy Company PJSC (TAQA) 4.375% 20267   200 228
AEP Transmission Co. LLC 3.75% 2047   3,660 4,025
AEP Transmission Co. LLC 3.65% 2050   250 273
AES Corp. 3.30% 20257   17,950 19,154
Ameren Corp. 3.50% 2031   650 703
American Electric Power Company, Inc. 2.95% 2022   12,065 12,489
American Electric Power Company, Inc. 4.30% 2028   3,300 3,763
American Electric Power Company, Inc. 2.30% 2030   1,350 1,334
American Water Cap Corp. 2.80% 2030   1,200 1,254
AmeriGas Partners, LP 5.50% 2025   6,850 7,621
Calpine Corp. 5.125% 20287   12,315 12,532
Calpine Corp. 3.75% 20317   5,795 5,547
CenterPoint Energy, Inc. 2.50% 2022   3,000 3,078
CenterPoint Energy, Inc. 3.70% 2049   5,000 5,157
Colbun SA 3.95% 20277   1,554 1,700
Comisión Federal de Electricidad 3.348% 20317   9,000 8,681
Comisión Federal de Electricidad 4.677% 20517   9,162 8,558
Commonwealth Edison Co. 4.00% 2048   5,225 5,999
Consolidated Edison Company of New York, Inc. 4.50% 2058   8,390 9,981
Dominion Resources, Inc., junior subordinated, 3.071% 202410   2,550 2,721
DPL Inc. 4.125% 20257   16,990 18,299
DTE Energy Company 3.95% 2049   2,060 2,386
Duke Energy Indiana, Inc. 4.90% 2043   14,785 18,404
Duke Energy Indiana, Inc. 3.25% 2049   3,100 3,139
Duke Energy Progress Inc. 4.15% 2044   2,110 2,422
The Income Fund of America — Page 26 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Utilities (continued)
  Principal amount
(000)
Value
(000)
Edison International 3.125% 2022   $3,970 $4,107
Edison International 3.55% 2024   20,475 22,060
Edison International 4.95% 2025   400 449
Edison International 5.75% 2027   6,745 7,906
Edison International 4.125% 2028   5,866 6,339
EDP Finance BV 3.625% 20247   10,175 10,993
Electricité de France SA 4.75% 20357   8,250 9,755
Electricité de France SA 4.875% 20387   1,750 2,084
Emera Inc. 6.75% 2076 (3-month USD-LIBOR + 5.44% on 6/15/2026)10   36,024 41,764
Empresa Nacional de Electricidad SA 4.25% 2024   900 965
Enel Società per Azioni 8.75% 2073
(USD Semi Annual 30/360 (vs. 3-month USD-LIBOR) + 5.88% on 9/24/2023)7,10
  37,337 43,684
Entergy Corp. 2.80% 2030   6,650 6,784
Entergy Louisiana, LLC 4.20% 2048   5,125 6,030
Eversource Energy 3.80% 2023   4,095 4,416
Exelon Corp. 4.05% 2030   1,000 1,125
Exelon Corp. 4.70% 2050   2,500 3,041
Exelon Corp., junior subordinated, 3.497% 202210   8,000 8,243
FirstEnergy Corp. 3.35% 202210   19,475 19,872
FirstEnergy Corp. 2.05% 2025   2,460 2,481
FirstEnergy Corp. 1.60% 2026   989 963
FirstEnergy Corp. 4.40% 202710   39,767 43,590
FirstEnergy Corp. 3.50% 20287   2,500 2,591
FirstEnergy Corp. 2.25% 2030   900 849
FirstEnergy Corp. 2.65% 2030   6,430 6,295
FirstEnergy Corp. 7.375% 2031   14,030 19,005
FirstEnergy Corp. 3.40% 2050   30,600 28,380
FirstEnergy Corp., Series B, 4.75% 202310   37,684 39,981
FirstEnergy Transmission LLC 2.866% 20287   10,750 11,040
Georgia Power Co. 2.65% 2029   450 466
Georgia Power Co. 3.70% 2050   4,285 4,539
Gulf Power Co. 3.30% 2027   600 656
Interstate Power and Light Co. 3.25% 2024   7,628 8,279
Israel Electric Corp. Ltd. 8.10% 20967   4,905 7,186
Mississippi Power Co. 3.95% 2028   6,437 7,186
Mississippi Power Co. 4.25% 2042   2,550 2,917
Monongahela Power Co. 3.55% 20277   2,550 2,787
National Rural Utilities Cooperative Finance Corp. 3.05% 2027   12,000 12,913
Northern States Power Co. 4.125% 2044   11,000 12,919
Northern States Power Co. 3.20% 2052   4,715 4,859
NRG Energy, Inc. 7.25% 2026   2,000 2,073
NRG Energy, Inc. 3.625% 20317   11,050 10,840
Pacific Gas and Electric Co. 1.75% 2022   30,000 30,027
Pacific Gas and Electric Co. 1.367% 2023   16,175 16,182
Pacific Gas and Electric Co. 3.85% 2023   8,710 9,249
Pacific Gas and Electric Co. 4.25% 2023   20,475 21,862
Pacific Gas and Electric Co. 3.40% 2024   4,510 4,808
Pacific Gas and Electric Co. 3.45% 2025   1,250 1,327
Pacific Gas and Electric Co. 2.95% 2026   20,225 20,890
Pacific Gas and Electric Co. 3.15% 2026   43,971 45,847
Pacific Gas and Electric Co. 2.10% 2027   750 732
Pacific Gas and Electric Co. 3.30% 2027   19,950 20,615
Pacific Gas and Electric Co. 3.30% 2027   10,863 11,318
Pacific Gas and Electric Co. 3.75% 2028   16,100 17,022
The Income Fund of America — Page 27 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Utilities (continued)
  Principal amount
(000)
Value
(000)
Pacific Gas and Electric Co. 4.65% 2028   $9,981 $10,988
Pacific Gas and Electric Co. 4.55% 2030   56,492 60,781
Pacific Gas and Electric Co. 2.50% 2031   36,050 33,983
Pacific Gas and Electric Co. 3.25% 2031   6,000 5,941
Pacific Gas and Electric Co. 3.30% 2040   4,050 3,612
Pacific Gas and Electric Co. 3.75% 2042   17,045 15,444
Pacific Gas and Electric Co. 3.95% 2047   1,000 921
Pacific Gas and Electric Co. 3.50% 2050   6,229 5,405
PacifiCorp. 3.30% 2051   1,150 1,175
PacifiCorp., First Mortgage Bonds, 4.125% 2049   11,000 12,743
PG&E Corp. 5.00% 2028   31,335 32,863
PG&E Corp. 5.25% 2030   6,770 7,235
Progress Energy, Inc. 7.00% 2031   4,000 5,443
Progress Energy, Inc. 7.75% 2031   2,500 3,533
Public Service Electric and Gas Co. 3.20% 2029   1,000 1,084
Public Service Electric and Gas Co. 2.45% 2030   3,275 3,360
Public Service Electric and Gas Co. 3.15% 2050   1,950 1,986
Public Service Enterprise Group Inc. 2.65% 2022   2,075 2,141
Puget Energy, Inc. 6.00% 2021   3,945 4,015
Puget Energy, Inc. 5.625% 2022   9,592 10,068
Puget Energy, Inc. 3.65% 2025   650 702
Puget Sound Energy, Inc. 3.25% 2049   6,750 6,893
Southern California Edison Co. 1.845% 2022   1,279 1,280
Southern California Edison Co. 3.50% 2023   21,000 22,327
Southern California Edison Co. 3.70% 2025   450 494
Southern California Edison Co. 2.85% 2029   8,900 9,154
Southern California Edison Co. 4.20% 2029   14,250 16,036
Southern California Edison Co. 5.35% 2035   17,725 22,139
Southern California Edison Co. 5.75% 2035   4,400 5,714
Southern California Edison Co. 5.625% 2036   16,750 21,375
Southern California Edison Co. 5.55% 2037   3,475 4,289
Southern California Edison Co. 5.95% 2038   8,500 11,053
Southern California Edison Co. 6.05% 2039   60 79
Southern California Edison Co. 4.50% 2040   19,625 22,363
Southern California Edison Co. 5.50% 2040   839 1,055
Southern California Edison Co. 4.00% 2047   14,832 15,479
Southern California Edison Co. 4.125% 2048   16,475 17,611
Southern California Edison Co. 4.875% 2049   3,650 4,334
Southern California Edison Co. 3.65% 2050   16,064 16,127
Southern California Edison Co. 2.95% 2051   574 522
Southern California Edison Co., Series C, 3.60% 2045   11,875 11,867
Southern Co. 3.70% 2030   5,300 5,791
Southern Co. 4.25% 2036   1,300 1,486
Southern Co. 4.40% 2046   2,100 2,392
Southwestern Electric Power Company 1.65% 2026   5,075 5,125
Talen Energy Corp. 6.50% 2025   180 150
Talen Energy Corp. 10.50% 20267   12,140 11,181
Talen Energy Corp. 7.25% 20277   33,769 34,782
Talen Energy Supply, LLC 7.625% 20287   12,420 12,897
Virginia Electric and Power Co. 3.45% 2024   560 601
Virginia Electric and Power Co. 3.10% 2025   2,625 2,821
The Income Fund of America — Page 28 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Utilities (continued)
  Principal amount
(000)
Value
(000)
Wisconsin Power and Light Co. 3.65% 2050   $350 $381
Xcel Energy Inc. 2.60% 2029   3,500 3,579
      1,327,691
Information technology 0.64%      
Almonde Inc., Term Loan, (3-month USD-LIBOR + 7.25%) 8.25% 202511,12   32,150 32,519
Apple Inc. 0.70% 2026   8,500 8,400
Apple Inc. 1.20% 2028   17,000 16,559
Apple Inc. 1.65% 2031   8,500 8,200
Applied Systems, Inc., Term Loan, (3-month USD-LIBOR + 5.50%) 6.25% 202511,12   10,708 10,852
Avaya Inc. 6.125% 20287   7,100 7,561
Banff Merger Sub Inc. 9.75% 20267   20,180 21,492
Black Knight Inc. 3.625% 20287   21,200 20,768
BMC Software, Inc. 9.125% 20267   14,050 14,863
Broadcom Inc. 3.15% 2025   2,792 2,992
Broadcom Inc. 2.45% 20317   8,329 7,952
Broadcom Inc. 2.60% 20337   8,573 8,102
Broadcom Inc. 3.419% 20337   9,208 9,342
Broadcom Inc. 3.469% 20347   102,172 103,405
Broadcom Inc. 3.50% 20417   13,408 12,962
Broadcom Inc. 3.75% 20517   11,431 11,064
Broadcom Ltd. 3.875% 2027   20,495 22,469
Broadcom Ltd. 3.50% 2028   10,450 11,203
CommScope Finance LLC 6.00% 20267   26,850 28,339
Diebold Nixdorf AG, Term Loan B, (3-month USD-LIBOR + 2.75%) 2.875% 202311,12   5,581 5,470
Diebold Nixdorf, Inc. 9.375% 20257   38,410 42,851
Diebold, Inc. 8.50% 2024   8,150 8,333
Entegris, Inc. 3.625% 20297   30,000 30,487
Fidelity National Information Services, Inc. 1.65% 2028   2,366 2,325
Fidelity National Information Services, Inc. 2.25% 2031   3,420 3,366
Fidelity National Information Services, Inc. 3.10% 2041   2,027 2,013
Fiserv, Inc. 3.20% 2026   6,331 6,873
Fiserv, Inc. 2.65% 2030   11,509 11,730
Gartner, Inc. 4.50% 20287   16,625 17,498
Gartner, Inc. 3.75% 20307   5,300 5,322
McAfee, LLC, Term Loan, (3-month USD-LIBOR + 3.75%) 3.860% 202411,12   10,179 10,188
Microsoft Corp. 2.65% 2022   6,000 6,199
Microsoft Corp. 2.875% 2024   6,865 7,311
Microsoft Corp. 2.525% 2050   16,092 15,016
Microsoft Corp. 2.921% 2052   6,000 6,008
MoneyGram International Inc., Term Loan B, (3-month USD-LIBOR + 6.00%) 7.00% 202311,12   17,249 17,288
NCR Corp. 5.125% 20297   16,500 16,995
Oracle Corp. 1.65% 2026   9,000 9,096
Oracle Corp. 2.30% 2028   10,300 10,469
Oracle Corp. 2.875% 2031   10,680 10,867
Oracle Corp. 3.65% 2041   15,000 15,349
Oracle Corp. 3.95% 2051   19,477 20,300
PayPal Holdings, Inc. 2.65% 2026   5,910 6,305
PayPal Holdings, Inc. 2.30% 2030   3,300 3,332
Rocket Software, Inc. 6.50% 20297   16,050 16,267
Sabre GLBL Inc. 7.375% 20257   3,125 3,407
Sabre Holdings Corp. 9.25% 20257   5,100 6,101
Simon Property Group, LP 3.50% 2025   3,750 4,099
Simon Property Group, LP 1.75% 2028   8,189 8,049
The Income Fund of America — Page 29 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Information technology (continued)
  Principal amount
(000)
Value
(000)
Simon Property Group, LP 2.65% 2030   $4,100 $4,162
Solera Holdings, Inc. 10.50% 20247   8,085 8,343
Synaptics Incorporated 4.00% 20297   2,925 2,933
UKG Inc., Term Loan-B, (3-month USD-LIBOR + 3.25%) 4.00% 202611,12   2,761 2,768
Ultimate Software Group Inc., Term Loan, (3-month USD-LIBOR + 6.75%) 7.50% 202711,12   5,300 5,468
Unisys Corp. 6.875% 20277   6,000 6,593
Veritas Holdings Ltd. 7.50% 20257   26,285 27,238
ViaSat, Inc. 5.625% 20277   2,450 2,572
Virtusa Corp., Term Loan-B, (3-month USD-LIBOR + 4.25%) 5.00% 202811,12   775 781
Visa Inc. 3.15% 2025   8,000 8,756
Xerox Corp. 5.00% 20257   15,650 16,452
Xerox Corp. 5.50% 20287   22,100 23,122
      797,146
Consumer staples 0.57%      
7-Eleven, Inc. 0.80% 20247   11,565 11,554
7-Eleven, Inc. 0.95% 20267   4,700 4,618
7-Eleven, Inc. 1.30% 20287   6,710 6,469
7-Eleven, Inc. 1.80% 20317   7,240 6,855
Albertsons Companies, Inc. 3.50% 20297   6,195 5,955
Altria Group, Inc. 5.80% 2039   21,295 25,797
Altria Group, Inc. 3.40% 2041   8,500 7,802
Altria Group, Inc. 4.50% 2043   4,000 4,185
Altria Group, Inc. 5.95% 2049   17,533 21,593
Altria Group, Inc. 3.70% 2051   8,500 7,638
Anheuser-Busch InBev NV 4.15% 2025   6,000 6,695
Anheuser-Busch InBev NV 4.00% 2028   8,025 9,017
Anheuser-Busch InBev NV 5.45% 2039   6,000 7,591
Anheuser-Busch InBev NV 4.95% 2042   9,095 11,021
Anheuser-Busch InBev NV 4.60% 2048   700 809
Anheuser-Busch InBev NV 5.55% 2049   3,550 4,597
Anheuser-Busch InBev NV 4.50% 2050   3,400 3,905
B&G Foods, Inc. 5.25% 2025   20,860 21,498
B&G Foods, Inc. 5.25% 2027   17,875 18,521
British American Tobacco International Finance PLC 3.95% 20257   10,914 11,970
British American Tobacco International Finance PLC 1.668% 2026   8,990 8,952
British American Tobacco PLC 3.222% 2024   8,000 8,528
British American Tobacco PLC 3.215% 2026   8,308 8,796
British American Tobacco PLC 3.557% 2027   1,479 1,577
British American Tobacco PLC 2.259% 2028   9,610 9,432
British American Tobacco PLC 4.39% 2037   14,255 14,688
British American Tobacco PLC 4.54% 2047   35,820 35,337
British American Tobacco PLC 4.758% 2049   33,784 34,275
British American Tobacco PLC 5.282% 2050   5,000 5,445
Central Garden & Pet Co. 4.125% 2030   11,846 12,234
Central Garden & Pet Co. 4.125% 20317   11,925 11,880
Conagra Brands, Inc. 4.30% 2024   3,760 4,148
Constellation Brands, Inc. 2.65% 2022   5,230 5,398
Constellation Brands, Inc. 3.20% 2023   2,060 2,154
Darling Ingredients Inc. 5.25% 20277   10,085 10,621
Edgewell Personal Care Co. 5.50% 20287   4,040 4,298
Energizer Holdings, Inc. 4.375% 20297   14,640 14,549
Imperial Tobacco Finance PLC 3.50% 20237   10,000 10,379
JBS Investments GmbH II 7.00% 2026   13,200 14,072
The Income Fund of America — Page 30 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Consumer staples (continued)
  Principal amount
(000)
Value
(000)
JBS Investments GmbH II 7.00% 20267   $1,800 $1,919
Keurig Dr Pepper Inc. 4.985% 2038   8,185 10,162
Kraft Heinz Company 3.875% 2027   10,775 11,743
Kraft Heinz Company 4.25% 2031   6,180 6,822
Kraft Heinz Company 4.625% 2039   4,310 4,821
Kraft Heinz Company 5.20% 2045   13,830 16,396
Kraft Heinz Company 4.375% 2046   8,545 9,177
Kraft Heinz Company 4.875% 2049   16,600 19,085
Kraft Heinz Company 5.50% 2050   5,340 6,648
Kronos Acquisition Holdings Inc. 5.00% 20267   1,795 1,813
Kronos Acquisition Holdings Inc. 7.00% 20277   3,645 3,540
Molson Coors Brewing Co. 4.20% 2046   9,290 9,884
Nestle Skin Health SA, Term Loan B3, (3-month USD-LIBOR + 3.75%) 4.50% 202611,12   36,629 36,713
Philip Morris International Inc. 2.375% 2022   5,035 5,173
Philip Morris International Inc. 2.625% 2022   8,405 8,548
Philip Morris International Inc. 0.875% 2026   10,101 9,952
Philip Morris International Inc. 1.75% 2030   9,986 9,420
Post Holdings, Inc. 5.625% 20287   9,680 10,212
Post Holdings, Inc. 5.50% 20297   9,040 9,743
Post Holdings, Inc. 4.625% 20307   32,415 32,780
Prestige Brands International Inc. 5.125% 20287   8,162 8,565
Prestige Brands International Inc. 3.75% 20317   7,445 7,156
Reynolds American Inc. 5.70% 2035   3,130 3,668
Reynolds American Inc. 5.85% 2045   18,028 20,808
Simmons Foods Inc. 4.625% 20297   26,532 26,770
      706,371
Real estate 0.43%      
Alexandria Real Estate Equities, Inc. 3.95% 2028   975 1,095
Alexandria Real Estate Equities, Inc. 2.75% 2029   4,851 5,000
Alexandria Real Estate Equities, Inc. 3.375% 2031   2,375 2,553
Alexandria Real Estate Equities, Inc. 1.875% 2033   7,073 6,531
American Campus Communities, Inc. 4.125% 2024   24,700 26,991
American Campus Communities, Inc. 3.625% 2027   7,600 8,312
American Tower Corp. 1.60% 2026   7,822 7,874
American Tower Corp. 3.55% 2027   2,525 2,760
Brandywine Operating Partnership, LP 3.95% 2023   1,639 1,712
Brookfield Property REIT Inc. 5.75% 20267   51,340 53,602
Corporate Office Properties LP 2.75% 2031   7,219 7,134
Diversified Healthcare Trust 4.375% 2031   18,290 17,712
Equinix, Inc. 2.90% 2026   1,144 1,217
Equinix, Inc. 1.80% 2027   3,699 3,672
Equinix, Inc. 1.55% 2028   3,175 3,064
Equinix, Inc. 3.20% 2029   1,552 1,639
Equinix, Inc. 3.00% 2050   1,824 1,675
Essex Portfolio LP 3.875% 2024   5,900 6,397
Essex Portfolio LP 3.50% 2025   1,920 2,084
Gaming and Leisure Properties, Inc. 3.35% 2024   2,526 2,684
Hospitality Properties Trust 7.50% 2025   5,224 5,925
Hospitality Properties Trust 3.95% 2028   1,990 1,845
Howard Hughes Corp. 5.375% 20287   53,705 56,887
Howard Hughes Corp. 4.125% 20297   23,940 23,757
Howard Hughes Corp. 4.375% 20317   25,675 25,450
Iron Mountain Inc. 4.875% 20277   10,665 11,117
The Income Fund of America — Page 31 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Real estate (continued)
  Principal amount
(000)
Value
(000)
Iron Mountain Inc. 5.00% 20287   $15,096 $15,663
Iron Mountain Inc. 5.25% 20287   17,489 18,368
Iron Mountain Inc. 5.25% 20307   23,195 24,124
Iron Mountain Inc. 4.50% 20317   19,670 19,643
Kennedy-Wilson Holdings, Inc. 4.75% 2029   23,600 24,427
Kennedy-Wilson Holdings, Inc. 5.00% 2031   16,185 16,780
Ladder Capital Corp. 5.25% 20257   3,930 3,977
Medical Properties Trust, Inc. 5.00% 2027   23,785 25,063
Medical Properties Trust, Inc. 3.50% 2031   5,178 5,174
Public Storage 0.875% 2026   2,014 1,990
Public Storage 1.85% 2028   4,723 4,717
Public Storage 2.30% 2031   3,308 3,312
QTS Realty Trust, Inc. 3.875% 20287   10,950 11,073
Realogy Corp. 5.75% 20297   31,975 33,226
RHP Hotel Properties LP / RHP Finance Corp. 4.50% 20297   7,875 7,815
Scentre Group 3.25% 20257   10,365 11,061
Scentre Group 3.50% 20257   5,455 5,824
Scentre Group 3.75% 20277   3,000 3,273
Select Income REIT 4.15% 2022   1,035 1,057
Service Properties Trust 5.50% 2027   2,845 2,998
Westfield Corp. Ltd. 3.15% 20227   6,020 6,128
      534,382
Municipals 0.02%      
Summa Health 3.511% 2051   2,650 2,675
VM Fund I, LLC 8.625% 20282,3,7   20,000 19,490
      22,165
Total corporate bonds, notes & loans     17,597,633
Mortgage-backed obligations 4.03%
Federal agency mortgage-backed obligations 3.81%
     
Fannie Mae Pool #885290 6.00% 202114   1 1
Fannie Mae Pool #932119 4.50% 202414   316 333
Fannie Mae Pool #995265 5.50% 202414   16 16
Fannie Mae Pool #AD8191 4.00% 202514   145 154
Fannie Mae Pool #AD6392 4.50% 202514   285 302
Fannie Mae Pool #AD3149 4.50% 202514   162 172
Fannie Mae Pool #AD5692 4.50% 202514   130 137
Fannie Mae Pool #AD6119 4.50% 202514   125 132
Fannie Mae Pool #AJ6967 3.00% 202614   3,649 3,849
Fannie Mae Pool #AJ5522 3.00% 202614   1,248 1,317
Fannie Mae Pool #AJ9387 3.00% 202614   3 3
Fannie Mae Pool #AI6180 4.00% 202614   47 50
Fannie Mae Pool #AL5603 3.00% 202714   284 300
Fannie Mae Pool #MA1035 3.00% 202714   66 70
Fannie Mae Pool #AK5169 3.00% 202714   41 43
Fannie Mae Pool #AL2940 3.50% 202714   278 301
Fannie Mae Pool #BM4533 4.00% 202714   1,194 1,273
Fannie Mae Pool #AL4693 3.00% 202814   12 13
Fannie Mae Pool #AU6794 3.00% 202814   5 6
Fannie Mae Pool #MA3345 3.50% 202814   103 111
Fannie Mae Pool #AL8241 3.00% 202914   290 306
Fannie Mae Pool #AL8347 4.00% 202914   370 395
The Income Fund of America — Page 32 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Fannie Mae Pool #BM4299 3.00% 203014   $1,719 $1,812
Fannie Mae Pool #BM1231 3.50% 203114   262 280
Fannie Mae Pool #890805 4.00% 203114   447 477
Fannie Mae Pool #BJ5674 3.00% 203314   306 322
Fannie Mae Pool #MA3541 4.00% 203314   289 309
Fannie Mae Pool #BJ6249 4.00% 203314   201 218
Fannie Mae Pool #BM5494 4.00% 203314   164 175
Fannie Mae Pool #254767 5.50% 203314   152 176
Fannie Mae Pool #MA3611 4.00% 203414   135 144
Fannie Mae Pool #BN1085 4.00% 203414   14 15
Fannie Mae Pool #735228 5.50% 203514   135 157
Fannie Mae Pool #AS8554 3.00% 203614   18,620 19,690
Fannie Mae Pool #BE4703 3.00% 203614   761 809
Fannie Mae Pool #888795 5.50% 203614   875 1,018
Fannie Mae Pool #256308 6.00% 203614   242 288
Fannie Mae Pool #878099 6.00% 203614   135 156
Fannie Mae Pool #880426 6.00% 203614   62 69
Fannie Mae Pool #888637 6.00% 203714   1,457 1,736
Fannie Mae Pool #936999 6.00% 203714   468 544
Fannie Mae Pool #950991 6.00% 203714   396 462
Fannie Mae Pool #945832 6.50% 203714   93 110
Fannie Mae Pool #941315 6.50% 203714   58 66
Fannie Mae Pool #995674 6.00% 203814   826 984
Fannie Mae Pool #929964 6.00% 203814   483 573
Fannie Mae Pool #AE0967 3.50% 203914   120 131
Fannie Mae Pool #932274 4.50% 203914   7,512 8,441
Fannie Mae Pool #AC0479 6.00% 203914   306 359
Fannie Mae Pool #AE0443 6.50% 203914   165 193
Fannie Mae Pool #AE4483 4.00% 204014   1,973 2,188
Fannie Mae Pool #AE8073 4.00% 204014   159 176
Fannie Mae Pool #AE9377 4.50% 204014   7 8
Fannie Mae Pool #AD4927 5.00% 204014   2,108 2,389
Fannie Mae Pool #MA4333 2.00% 204114   44,390 45,089
Fannie Mae Pool #MA4364 2.00% 204114   38,850 39,511
Fannie Mae Pool #AE0828 3.50% 204114   55 60
Fannie Mae Pool #AB4050 4.00% 204114   267 296
Fannie Mae Pool #AJ4189 4.00% 204114   170 189
Fannie Mae Pool #AJ4154 4.00% 204114   154 170
Fannie Mae Pool #AJ0257 4.00% 204114   68 76
Fannie Mae Pool #AB2470 4.50% 204114   32 36
Fannie Mae Pool #AI8482 5.00% 204114   126 144
Fannie Mae Pool #AI5571 5.00% 204114   93 108
Fannie Mae Pool #AI4836 5.00% 204114   95 108
Fannie Mae Pool #AI3422 5.00% 204114   91 106
Fannie Mae Pool #AB5377 3.50% 204214   17,187 18,727
Fannie Mae Pool #AO9140 3.50% 204214   6,259 6,820
Fannie Mae Pool #AL2745 4.00% 204214   1,281 1,422
Fannie Mae Pool #890407 4.00% 204214   437 484
Fannie Mae Pool #AU3742 3.50% 204314   12,253 13,426
Fannie Mae Pool #AU8813 4.00% 204314   2,050 2,286
Fannie Mae Pool #AU9348 4.00% 204314   1,493 1,665
Fannie Mae Pool #AU9350 4.00% 204314   1,184 1,314
Fannie Mae Pool #AL8354 3.50% 204514   7,037 7,663
Fannie Mae Pool #BC4764 3.00% 204614   32,290 34,152
The Income Fund of America — Page 33 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Fannie Mae Pool #FM2795 3.00% 204614   $23,447 $24,779
Fannie Mae Pool #FM5245 3.50% 204614   77,638 84,013
Fannie Mae Pool #BC0157 3.50% 204614   30,297 32,943
Fannie Mae Pool #AL8522 3.50% 204614   14,367 15,609
Fannie Mae Pool #FM2265 3.00% 204714   37,549 39,667
Fannie Mae Pool #FM2210 3.00% 204714   24,178 25,513
Fannie Mae Pool #BF0302 3.00% 204714   14,846 15,784
Fannie Mae Pool #AS8650 3.00% 204714   12,021 12,698
Fannie Mae Pool #CA0854 3.50% 204714   9,514 10,312
Fannie Mae Pool #CA0770 3.50% 204714   586 629
Fannie Mae Pool #MA3121 4.00% 204714   5,415 5,854
Fannie Mae Pool #BM4413 4.50% 204714   7,349 8,072
Fannie Mae Pool #947661 6.50% 204714   158 171
Fannie Mae Pool #953823 7.00% 204714   266 310
Fannie Mae Pool #947554 7.00% 204714   138 161
Fannie Mae Pool #920015 7.00% 204714   81 95
Fannie Mae Pool #257036 7.00% 204714   14 17
Fannie Mae Pool #BF0293 3.00% 204814   15,007 16,018
Fannie Mae Pool #BJ3876 3.00% 204814   14,505 15,227
Fannie Mae Pool #BF0318 3.50% 204814   14,264 15,529
Fannie Mae Pool #FM1784 4.00% 204814   14,348 15,568
Fannie Mae Pool #CA1542 4.00% 204814   9,856 10,772
Fannie Mae Pool #BK0920 4.00% 204814   2,399 2,580
Fannie Mae Pool #BJ9252 4.00% 204814   717 771
Fannie Mae Pool #BK0915 4.00% 204814   212 228
Fannie Mae Pool #CA2493 4.50% 204814   15 16
Fannie Mae Pool #CA4534 3.00% 204914   37,378 39,641
Fannie Mae Pool #CA4756 3.00% 204914   32,836 34,815
Fannie Mae Pool #CA3807 3.00% 204914   2,584 2,748
Fannie Mae Pool #CA3806 3.00% 204914   1,520 1,619
Fannie Mae Pool #CA4804 3.50% 204914   60,275 65,428
Fannie Mae Pool #CA4112 3.50% 204914   59,187 64,451
Fannie Mae Pool #CA3814 3.50% 204914   51,467 56,044
Fannie Mae Pool #CA4802 3.50% 204914   44,651 48,566
Fannie Mae Pool #FM2318 3.50% 204914   33,423 36,179
Fannie Mae Pool #FM2092 3.50% 204914   22,281 24,187
Fannie Mae Pool #FM1954 3.50% 204914   8,990 9,663
Fannie Mae Pool #FM1589 3.50% 204914   5,569 5,982
Fannie Mae Pool #CA3976 4.00% 204914   110,249 120,015
Fannie Mae Pool #CA3184 4.00% 204914   19,097 20,828
Fannie Mae Pool #CA4432 4.00% 204914   11,354 12,385
Fannie Mae Pool #FM1668 4.00% 204914   8,514 9,320
Fannie Mae Pool #FM2824 3.00% 205014   81,725 86,957
Fannie Mae Pool #CA8285 3.00% 205014   3,775 4,060
Fannie Mae Pool #CA9302 3.00% 205114   72,250 78,114
Fannie Mae Pool #CA8968 3.00% 205114   46,284 49,472
Fannie Mae Pool #BQ4562 3.00% 205114   15,293 16,346
Fannie Mae Pool #CA8969 3.00% 205114   5,730 6,091
Fannie Mae Pool #BF0167 3.00% 205714   1,173 1,276
Fannie Mae Pool #BF0145 3.50% 205714   21,844 24,024
Fannie Mae Pool #BF0264 3.50% 205814   19,262 21,084
Fannie Mae Pool #BF0332 3.00% 205914   103,761 112,847
Fannie Mae, Series 2001-4, Class GA, 9.008% 202512,14   1 1
Fannie Mae, Series 2001-4, Class NA, 9.007% 202512,14   8 8
The Income Fund of America — Page 34 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Fannie Mae, Series 2007-33, Class HE, 5.50% 203714   $1,501 $1,741
Fannie Mae, Series 2007-24, Class P, 6.00% 203714   678 798
Fannie Mae, Series 2001-T10, Class A1, 7.00% 204114   152 177
Fannie Mae, Series 2001-50, Class BA, 7.00% 204114   138 159
Fannie Mae, Series 2002-W3, Class A5, 7.50% 204114   112 137
Fannie Mae, Series 2002-W1, Class 2A, 5.386% 204212,14   304 337
Fannie Mae, Series 2012-M14, Class A2, Multi Family, 2.301% 202212,14   2,252 2,300
Fannie Mae, Series 2012-M9, Class A2, Multi Family, 2.482% 202214   3,832 3,878
Fannie Mae, Series 2012-M5, Class A2, Multi Family, 2.715% 202214   1,536 1,547
Fannie Mae, Series 2013-M14, Class A2, Multi Family, 3.329% 202312,14   5,748 6,093
Fannie Mae, Series 2014-M2, Class A2, Multi Family, 3.513% 202312,14   6,421 6,860
Fannie Mae, Series 2014-M9, Class A2, Multi Family, 3.103% 202412,14   7,183 7,679
Fannie Mae, Series 2014-M3, Class A2, Multi Family, 3.501% 202412,14   5,983 6,392
Fannie Mae, Series 2017-M3, Class A2, Multi Family, 2.56% 202612,14   16,665 17,798
Freddie Mac Pool #ZS8443 3.00% 202614   49 51
Freddie Mac Pool #ZK3536 3.50% 202614   13 14
Freddie Mac Pool #ZK7580 3.00% 202714   900 953
Freddie Mac Pool #ZS7297 3.00% 202714   7 8
Freddie Mac Pool #ZS7102 3.00% 202814   4,749 5,010
Freddie Mac Pool #ZK7590 3.00% 202914   6,903 7,305
Freddie Mac Pool #ZK7593 3.00% 202914   3,145 3,328
Freddie Mac Pool #J38004 3.00% 203214   1,039 1,106
Freddie Mac Pool #J38387 3.00% 203314   47 50
Freddie Mac Pool #G04805 4.50% 203514   3,986 4,446
Freddie Mac Pool #K93766 3.00% 203614   548 584
Freddie Mac Pool #K93772 3.00% 203614   452 484
Freddie Mac Pool #G04553 6.50% 203814   436 498
Freddie Mac Pool #G08353 4.50% 203914   322 362
Freddie Mac Pool #A87892 5.00% 203914   722 835
Freddie Mac Pool #A87873 5.00% 203914   348 403
Freddie Mac Pool #G05937 4.50% 204014   7,915 8,892
Freddie Mac Pool #A97342 4.00% 204114   361 389
Freddie Mac Pool #Q02676 4.50% 204114   777 868
Freddie Mac Pool #Q02849 4.50% 204114   482 537
Freddie Mac Pool #Q01746 4.50% 204114   410 453
Freddie Mac Pool #A96488 5.00% 204114   42 49
Freddie Mac Pool #G07221 4.50% 204214   1,211 1,363
Freddie Mac Pool #G07189 4.50% 204214   728 817
Freddie Mac Pool #Q23190 4.00% 204314   2,238 2,477
Freddie Mac Pool #Q23185 4.00% 204314   1,567 1,748
Freddie Mac Pool #Z40130 3.00% 204614   7,302 7,840
Freddie Mac Pool #G60559 4.00% 204614   10,805 11,889
Freddie Mac Pool #V82662 4.00% 204614   8,687 9,524
Freddie Mac Pool #Q44400 4.00% 204614   6,502 7,114
Freddie Mac Pool #Q41909 4.50% 204614   3,892 4,294
Freddie Mac Pool #Q41090 4.50% 204614   1,072 1,182
Freddie Mac Pool #ZT2100 3.00% 204714   22,963 24,278
Freddie Mac Pool #G61733 3.00% 204714   9,100 9,675
Freddie Mac Pool #G61628 3.50% 204814   1,120 1,213
Freddie Mac Pool #SI2002 4.00% 204814   3,350 3,615
Freddie Mac Pool #SD0045 4.50% 204814   29,967 33,225
Freddie Mac Pool #Q63663 3.00% 204914   7,401 7,877
Freddie Mac Pool #QA5125 3.50% 204914   30,723 33,417
Freddie Mac Pool #SD7508 3.50% 204914   23,469 25,492
The Income Fund of America — Page 35 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Freddie Mac Pool #SD7503 3.50% 204914   $6,326 $6,824
Freddie Mac Pool #RA1744 4.00% 204914   51,896 56,500
Freddie Mac Pool #ZN3568 4.50% 204914   27 29
Freddie Mac Pool #SD7528 2.00% 205014   27,410 27,860
Freddie Mac Pool #RA2596 2.50% 205014   19,627 20,508
Freddie Mac Pool #RA1914 3.00% 205014   46,272 49,137
Freddie Mac Pool #RA2020 3.00% 205014   10,351 10,953
Freddie Mac Pool #QB9889 3.00% 205114   11,836 12,651
Freddie Mac, Series 3257, Class PA, 5.50% 203614   1,490 1,737
Freddie Mac, Series 3286, Class JN, 5.50% 203714   1,166 1,325
Freddie Mac, Series 3318, Class JT, 5.50% 203714   689 795
Freddie Mac, Series K036, Class A1, Multi Family, 2.777% 202314   3,853 3,956
Freddie Mac, Series K733, Class A2, Multi Family, 3.75% 202512,14   5,913 6,569
Freddie Mac, Series K734, Class A2, Multi Family, 3.208% 202614   11,055 12,108
Freddie Mac, Series K066, Class A2, Multi Family, 3.117% 202714   6,340 7,002
Freddie Mac, Series K067, Class A2, Multi Family, 3.194% 202714   7,695 8,543
Freddie Mac, Series K076, Class A2, Multi Family, 3.90% 202814   4,164 4,831
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class HA, 3.00% 205612,14   10,654 11,313
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class MA, 3.00% 205614   10,636 11,290
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-1, Class HA, 3.00% 205612,14   9,815 10,403
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-1, Class MA, 3.00% 205614   1,335 1,417
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-3, Class HA, 3.25% 205612,14   9,942 10,629
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class HT, 3.25% 205712,14   2,478 2,637
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class MT, 3.50% 205714   2,018 2,175
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class M45T, 4.50% 205714   4,829 5,388
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-2, Class MA, 3.50% 205814   12,749 13,705
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-4, Class MA, 3.00% 205914   7,294 7,743
Freddie Mac Seasoned Loan Structured Transaction Trust, Series 2018-2, Class A1, 3.50% 202814   3,589 3,775
Government National Mortgage Assn. Pool #MA5192 4.00% 204814   9,639 10,366
Government National Mortgage Assn. Pool #BD3903 4.00% 204814   9,433 10,324
Government National Mortgage Assn. Pool #BE3194 4.00% 204814   2,331 2,526
Government National Mortgage Assn. 2.00% 205114,15   64,175 65,380
Government National Mortgage Assn. 2.50% 205114,15   31,045 32,207
Government National Mortgage Assn. Pool #783687 4.50% 204114   475 524
Government National Mortgage Assn. Pool #MA5876 4.00% 204914   14,014 15,039
Government National Mortgage Assn. Pool #MA5986 4.00% 204914   2,266 2,431
Government National Mortgage Assn. Pool #MA6092 4.50% 204914   15,064 16,307
Government National Mortgage Assn. Pool #MA5764 4.50% 204914   6,202 6,728
Uniform Mortgage-Backed Security 1.50% 203614,15   124,518 125,865
Uniform Mortgage-Backed Security 1.50% 203614,15   8 8
Uniform Mortgage-Backed Security 2.00% 203614,15   504,365 521,013
Uniform Mortgage-Backed Security 2.00% 203614,15   333,735 344,307
Uniform Mortgage-Backed Security 2.50% 203614,15   41,763 43,646
Uniform Mortgage-Backed Security 2.50% 203614,15   40,110 41,908
Uniform Mortgage-Backed Security 2.00% 205114,15   148,452 149,338
Uniform Mortgage-Backed Security 2.00% 205114,15   22,173 22,348
Uniform Mortgage-Backed Security 2.00% 205114,15   1,505 1,520
Uniform Mortgage-Backed Security 2.50% 205114,15   801,222 827,477
Uniform Mortgage-Backed Security 2.50% 205114,15   20,769 21,497
Uniform Mortgage-Backed Security 2.50% 205114,15   2,490 2,584
Uniform Mortgage-Backed Security 3.00% 205114,15   15,946 16,678
Uniform Mortgage-Backed Security 3.00% 205114,15   12,121 12,688
Uniform Mortgage-Backed Security 3.50% 205114,15   225,088 239,300
Uniform Mortgage-Backed Security 4.00% 205114,15   41,487 44,613
The Income Fund of America — Page 36 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Uniform Mortgage-Backed Security 4.00% 205114,15   $35,301 $37,929
Uniform Mortgage-Backed Security 4.50% 205114,15   1,124 1,225
      4,740,222
Commercial mortgage-backed securities 0.12%      
Bank Commercial Mortgage Trust, Series 2019-BN17, Class A4, 3.714% 205214   240 268
Bank Commercial Mortgage Trust, Series 2019-BN16, Class A4, 4.005% 205214   1,810 2,054
Bank Commercial Mortgage Trust, Series 2019-BN19, Class A3, 3.183% 206114   2,403 2,596
Bank Commercial Mortgage Trust, Series 2018-BN10, Class A4, 3.428% 206114   310 339
Bank Commercial Mortgage Trust, Series 2018-BN10, Class A5, 3.688% 206114   480 535
Bank Commercial Mortgage Trust, Series 2018-BN12, Class A4, 4.255% 206112,14   5,772 6,618
Bank Commercial Mortgage Trust, Series 2020-BN26, Class A4, 2.403% 206314   3,772 3,849
Benchmark Mortgage Trust, Series 2018-B8, Class A5, 4.232% 205214   5,996 6,904
Benchmark Mortgage Trust, Series 2020-B17, Class A5, 2.289% 205314   3,146 3,186
Benchmark Mortgage Trust, Series 2018-B7, Class A4, 4.51% 205312,14   1,844 2,158
Citigroup Commercial Mortgage Trust, Series 2016-C1, Class AS, 3.514% 204914   500 536
Citigroup Commercial Mortgage Trust, Series 2016-GC36, Class A5, 3.616% 204914   1,440 1,584
Commercial Mortgage Trust, Series 2012-CR3, Class B, 3.922% 20457,14   925 924
Commercial Mortgage Trust, Series 2013-LC13, Class B, 5.009% 20467,12,14   668 715
Commercial Mortgage Trust, Series 2014-LC15, Class AM, 4.198% 204714   800 867
CSAIL Commercial Mortgage Trust, Series 2015-C4, Class C, 4.714% 204812,14   437 471
CSAIL Commercial Mortgage Trust, Series 2015-C1, Class B, 4.044% 205012,14   650 685
Deutsche Bank Commercial Mortgage Trust, Series 2016-C1, Class AM, 3.539% 204914   400 431
GS Mortgage Securities Trust, Series 2011-GC5, Class B, 5.406% 20447,12,14   1,134 1,133
GS Mortgage Securities Trust, Series 2017-GS7, Class A4, 3.43% 205014   940 1,030
GS Mortgage Securities Trust, Series 2019-GC38, Class A4, 3.968% 205214   240 272
GS Mortgage Securities Trust, Series 2020-GC47, Class A5, 2.377% 205314   11,815 12,037
JPMBB Commercial Mortgage Securities Trust, Series 2014-C18, Class A5, 4.079% 204714   7,735 8,381
JPMDB Commercial Mortgage Securities Trust, Series 2017-C5, Class A5, 3.694% 205014   1,510 1,675
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2018-BCON, Class A, 3.735% 20317,14   1,850 1,918
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2021-410T, Class A, 2.287% 20427,14   4,858 4,967
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2016-JP4, Class A4, 3.648% 204912,14   4,810 5,334
L.A. Arena Funding, LLC, Series 1, Class A, 7.656% 20267,14   759 758
Manhattan West Mortgage Trust, Series 2020-1MW, Class A, 2.13% 20397,14   15,628 15,890
MHC Commercial Mortgage Trust, CMO, Series 2021-MHC, Class A,
(1-month USD-LIBOR + 0.801%) 0.951% 20267,12,14
  6,365 6,372
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C17, Class A5, 3.741% 204714   4,811 5,211
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C22, Class A-4, 3.306% 204814   960 1,032
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2016-C32, Class A-4, 3.72% 204914   580 646
Morgan Stanley Capital I Trust, Series 2015-UBS8, Class AS, 4.114% 204814   1,550 1,702
Morgan Stanley Capital I Trust, Series 2016-UBS9, Class C, 4.761% 204912,14   446 472
MRA Issuance Trust, Series 2020-10, Class A, (1-month USD-LIBOR + 1.75%) 2.25% 20227,12,14   21,747 21,759
Wells Fargo Commercial Mortgage Trust, Series 2015-SG1, Class A-4, 3.789% 204814   5,755 6,250
Wells Fargo Commercial Mortgage Trust, Series 2015-C28, Class C, 4.230% 204812,14   470 497
Wells Fargo Commercial Mortgage Trust, Series 2016-BNK1, Class B, 2.967% 204914   750 759
Wells Fargo Commercial Mortgage Trust, Series 2016-C34, Class AS, 3.484% 204914   285 308
Wells Fargo Commercial Mortgage Trust, Series 2016-C37, Class A5, 3.794% 204914   6,015 6,713
Wells Fargo Commercial Mortgage Trust, Series 2019-C54, Class A4, 3.146% 205214   2,405 2,587
Wells Fargo Commercial Mortgage Trust, Series 2016-NXS5, Class AS, 3.988% 205914   500 551
Wells Fargo Commercial Mortgage Trust, Series 2017-RC1, Class A4, 3.631% 206014   480 530
      143,504
The Income Fund of America — Page 37 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Collateralized mortgage-backed obligations (privately originated) 0.10%
  Principal amount
(000)
Value
(000)
Arroyo Mortgage Trust, Series 2018-1, Class A1, 3.763% 20487,12,14   $6,266 $6,286
Arroyo Mortgage Trust, Series 2020-1, Class A1A, 1.662% 20557,14   994 1,005
Bellemeade Re Ltd., Series 2019-3A, Class M1B, (1-month USD-LIBOR + 1.60%) 1.706% 20297,12,14   10,160 10,181
BRAVO Residential Funding Trust, Series 2020-RPL2, Class A1, 2.00% 20597,12,14   3,130 3,189
BRAVO Residential Funding Trust, Series 2020-RPL1, Class A1, 2.50% 20597,12,14   2,503 2,580
Cascade Funding Mortgage Trust, Series 2019-HB1, Class M1, 2.572% 20297,12,14   4,293 4,312
Cascade Funding Mortgage Trust, Series 2019-HB1, Class M2, 2.863% 20297,12,14   1,045 1,049
Cascade Funding Mortgage Trust, Series 2019-HB1, Class M3, 3.257% 20297,12,14   535 528
Cascade Funding Mortgage Trust, Series 2020-HB4, Class A, 0.946% 20307,12,14   1,550 1,552
Cascade Funding Mortgage Trust, Series 2018-RM2, Class A, 4.00% 20687,12,14   1,998 2,085
Citigroup Mortgage Loan Trust Inc., Series 2020-EXP1, Class A1A, 1.804% 20607,12,14   2,495 2,527
Countrywide Alternative Loan Trust, Series 2005-54CB, Class 2A5, 5.50% 203514   2,015 1,549
Countrywide Alternative Loan Trust, Series 2007-HY4, Class 3A1, 2.874% 204712,14   1,356 1,211
Credit Suisse Mortgage Trust, Series 2020-NET, Class A, 2.257% 20377,14   10,960 11,220
Credit Suisse Mortgage Trust, Series 2017-RPL3, Class A1, 2.00% 20607,12,14   8,921 9,080
CS First Boston Mortgage Securities Corp., Series 2004-5, Class IVA1, 6.00% 203414   389 407
Finance of America Structured Securities Trust, Series 2019-JR2, Class A1, 2.00% 20697,14   10,117 10,961
Finance of America Structured Securities Trust, Series 2019-JR1, Class A,
2.00% 20697,14
  9,980 10,867
IndyMac INDX Mortgage Loan Trust, Series 2006-AR5, Class 2A1, 3.222% 203612,14   2,073 2,102
JPMDB Commercial Mortgage Securities Trust, Series 2017-C7, Class A5, 3.409% 205014   560 615
JPMorgan Mortgage Trust, Series 2020-INV1, Class A3, 3.50% 20507,12,14   2,328 2,406
JPMorgan Mortgage Trust, Series 2019-INV3, Class A13, 3.50% 20507,12,14   670 693
JPMorgan Mortgage Trust, Series 2019-INV3, Class A3, 3.50% 20507,12,14   640 661
Legacy Mortgage Asset Trust, Series 2019-GS5, Class A1, 3.20% 20597,12,14   3,381 3,415
Legacy Mortgage Asset Trust, Series 2019-GS2, Class A1, 3.75% 20597,12,14   1,745 1,748
Legacy Mortgage Asset Trust, Series 2021-GS2, Class A1, 1.75% 20617,12,14   1,462 1,474
Mello Warehouse Securitization Trust, Series 2019-2, Class A, (1-month USD-LIBOR + 0.75%) 0.856% 20527,12,14   3,501 3,508
Onslow Bay Financial LLC, Series 2020-INV1, Class A5, 3.50% 20497,12,14   1,435 1,471
Sequoia Mortgage Trust, Series 2018-CH1, Class A1, 4.00% 20487,12,14   2,251 2,299
Structured Adjustable Rate Mortgage Loan Trust, Series 2006-4, Class 6A, 3.261% 203612,14   1,475 1,244
TIF Funding II LLC, Series 2020-1A, Class A, 2.09% 20457,14   8,351 8,444
TIF Funding II LLC, Series 2021-1A, Class A, 1.65% 20467,14   9,967 9,806
TIF Funding II LLC, Series 2021-1A, Class B, 2.54% 20467,14   235 232
      120,707
Total mortgage-backed obligations     5,004,433
U.S. Treasury bonds & notes 1.50%
U.S. Treasury 1.26%
     
U.S. Treasury 2.625% 2021   100,000 100,527
U.S. Treasury 2.75% 2021   20,000 20,201
U.S. Treasury 0.125% 2022   50,000 50,023
U.S. Treasury 2.125% 2022   28,000 28,923
U.S. Treasury 1.625% 2023   21,000 21,608
U.S. Treasury 2.375% 2023   10,000 10,389
U.S. Treasury 2.75% 2023   66,300 70,081
U.S. Treasury 2.75% 2023   10,000 10,513
U.S. Treasury 6.25% 2023   14,000 15,934
U.S. Treasury 0.25% 2024   35,000 34,944
U.S. Treasury 1.750% 2024   20,000 20,862
U.S. Treasury 2.125% 2024   10,000 10,524
U.S. Treasury 0.25% 2025   51,844 50,857
The Income Fund of America — Page 38 of 50

unaudited
Bonds, notes & other debt instruments (continued)
U.S. Treasury bonds & notes (continued)
U.S. Treasury (continued)
  Principal amount
(000)
Value
(000)
U.S. Treasury 0.25% 2025   $50,000 $49,118
U.S. Treasury 0.375% 2025   67,900 67,295
U.S. Treasury 0.50% 2026   205,821 202,763
U.S. Treasury 0.75% 2026   337,064 335,471
U.S. Treasury 1.625% 2026   30,000 31,160
U.S. Treasury 1.625% 2026   20,000 20,687
U.S. Treasury 0.50% 2027   10,000 9,585
U.S. Treasury 1.50% 2030   31,651 31,555
U.S. Treasury 1.125% 2031   61,762 58,968
U.S. Treasury 1.375% 204016   169,316 147,517
U.S. Treasury 1.875% 2041   18,564 17,664
U.S. Treasury 2.875% 2046   27,970 31,215
U.S. Treasury 2.875% 2049   25,000 28,071
U.S. Treasury 1.625% 205016   78,859 67,448
U.S. Treasury 2.00% 2050   20,000 18,752
      1,562,655
U.S. Treasury inflation-protected securities 0.24%      
U.S. Treasury Inflation-Protected Security 0.625% 202417   67,621 73,589
U.S. Treasury Inflation-Protected Security 0.125% 202517   38,284 42,094
U.S. Treasury Inflation-Protected Security 0.25% 202917   4,369 4,869
U.S. Treasury Inflation-Protected Security 0.125% 203117   38,614 42,172
U.S. Treasury Inflation-Protected Security 1.00% 204917   29,731 37,971
U.S. Treasury Inflation-Protected Security 0.25% 205017   21,786 23,239
U.S. Treasury Inflation-Protected Security 0.125% 205117   73,935 76,269
      300,203
Total U.S. Treasury bonds & notes     1,862,858
Asset-backed obligations 0.66%      
Aesop Funding LLC, Series 2017-2A, Class A, 2.97% 20247,14   2,880 3,001
Aesop Funding LLC, Series 2018-1A, Class A, 3.70% 20247,14   1,671 1,783
Aesop Funding LLC, Series 2018-2A, Class A, 4.00% 20257,14   9,400 10,200
Aesop Funding LLC, Series 2020-2, Class A, 2.02% 20277,14   5,663 5,816
Aesop Funding LLC, Series 2020-2A, Class B, 2.96% 20277,14   1,453 1,527
Aesop Funding LLC, Series 2020-2A, Class C, 4.25% 20277,14   4,605 5,002
Allegro CLO Ltd., Series 2017-1A, Class AR, (3-month USD-LIBOR + 0.95%) 1.134% 20307,12,14   6,543 6,543
American Credit Acceptance Receivables Trust, Series 2020-3, Class B, 1.15% 20247,14   600 604
American Credit Acceptance Receivables Trust, Series 2020-3, Class C, 1.85% 20267,14   5,529 5,639
American Credit Acceptance Receivables Trust, Series 2021-1, Class C, 0.83% 20277,14   2,183 2,183
American Credit Acceptance Receivables Trust, Series 2021-1, Class D, 1.14% 20277,14   1,201 1,200
ARES CLO Ltd., Series 2017-42A, Class AR, (3-month USD-LIBOR + 0.92%) 1.114% 20287,12,14   14,015 14,015
Ballyrock Ltd., Series 2019-2A, Class A1AR, (3-month USD-LIBOR + 1.00%) 1.182% 20307,12,14   14,610 14,610
Bankers Healthcare Group Securitization Trust, Series 2021-A, Class A, 1.42% 20337,14   1,584 1,588
CarMaxAuto Owner Trust, Series 2019-2, Class C, 3.16% 202514   450 471
CarMaxAuto Owner Trust, Series 2021-1, Class C, 0.94% 202614   313 310
CarMaxAuto Owner Trust, Series 2021-1, Class D, 1.28% 202714   307 305
Cent CLO LP, Series 2014-21A, Class AR, (3-month USD-LIBOR + 0.97%) 1.151% 20307,12,14   20,704 20,704
CF Hippolyta LLC, Series 2020-1, Class A1, 1.69% 20607,14   25,421 25,803
CF Hippolyta LLC, Series 2020-1, Class A2, 1.99% 20607,14   6,302 6,328
CF Hippolyta LLC, Series 2020-1, Class B1, 2.28% 20607,14   8,563 8,744
CF Hippolyta LLC, Series 2020-1, Class B2, 2.60% 20607,14   935 944
CF Hippolyta LLC, Series 2021-1, Class A1, 1.53% 20617,14   16,001 16,028
CF Hippolyta LLC, Series 2021-1, Class B1, 1.98% 20617,14   5,815 5,847
The Income Fund of America — Page 39 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Asset-backed obligations (continued)
  Principal amount
(000)
Value
(000)
CLI Funding V LLC, Series 2020-2A, Class A, 2.03% 20457,14   $4,337 $4,345
CLI Funding V LLC, Series 2020-3A, Class A, 2.07% 20457,14   9,310 9,424
CLI Funding V LLC, Series 2021-1A, Class A, 1.64% 20467,14   20,361 20,114
CLI Funding LLC, Series 2021-1A, Class B, 2.38% 20467,14   791 787
Cloud Pass-Through Trust, Series 2019-1A, Class CLOU, 3.554% 20227,12,14   819 826
CPS Auto Receivables Trust, Series 2019-B, Class C, 3.35% 20247,14   1,040 1,052
CPS Auto Receivables Trust, Series 2019-C, Class C, 2.84% 20257,14   1,040 1,057
CPS Auto Receivables Trust, Series 2019-C, Class D, 3.17% 20257,14   1,575 1,626
CPS Auto Receivables Trust, Series 2019-B, Class D, 3.69% 20257,14   3,805 3,902
CPS Auto Receivables Trust, Series 2021-A, Class C, 0.83% 20267,14   1,036 1,036
CPS Auto Receivables Trust, Series 2021-A, Class D, 1.16% 20267,14   883 879
Credit Acceptance Auto Loan Trust, Series 2020-1A, Class A, 2.01% 20297,14   2,223 2,267
CWHEQ Revolving Home Equity Loan Trust, Series 2006-I, Class 2A, FSA insured,
(1-month USD-LIBOR + 0.14%) 0.255% 203712,14
  476 460
CWHEQ Revolving Home Equity Loan Trust, Series 2007-B, Class A, FSA insured,
(1-month USD-LIBOR + 0.15%) 0.265% 203712,14
  850 825
Drive Auto Receivables Trust, Series 2019-2, Class B, 3.17% 202314   892 893
Drive Auto Receivables Trust, Series 2021-1, Class B, 0.65% 202514   3,786 3,794
Drive Auto Receivables Trust, Series 2019-3, Class C, 2.90% 202514   15,145 15,489
Drive Auto Receivables Trust, Series 2019-2, Class C, 3.42% 202514   6,350 6,472
Drive Auto Receivables Trust, Series 2019-3, Class D, 3.18% 202614   12,390 12,940
Drive Auto Receivables Trust, Series 2021-1, Class C, 1.02% 202714   8,053 8,075
Drive Auto Receivables Trust, Series 2021-1, Class D, 1.45% 202914   6,079 6,101
Drivetime Auto Owner Trust, Series 2019-3, Class C, 2.74% 20257,14   1,100 1,117
Drivetime Auto Owner Trust, Series 2019-3, Class D, 2.96% 20257,14   2,395 2,478
Drivetime Auto Owner Trust, Series 2019-2A, Class C, 3.18% 20257,14   3,205 3,253
Drivetime Auto Owner Trust, Series 2019-2A, Class D, 3.48% 20257,14   5,950 6,164
Drivetime Auto Owner Trust, Series 2021-1A, Class C, 0.84% 20267,14   1,232 1,231
Drivetime Auto Owner Trust, Series 2021-1A, Class D, 1.16% 20267,14   671 671
Drivetime Auto Owner Trust, Series 2020-3A, Class C, 1.47% 20267,14   1,961 1,988
Drivetime Auto Owner Trust, Series 2021-2A, Class B, 0.81% 20277,14   1,769 1,773
Drivetime Auto Owner Trust, Series 2021-2A, Class C, 1.10% 20277,14   1,847 1,850
Drivetime Auto Owner Trust, Series 2021-2A, Class D, 1.50% 20277,14   1,247 1,250
Dryden Senior Loan Fund, Series 2017-47A, Class A1R, CLO, (3-month USD-LIBOR + 0.98%) 1.17% 20287,12,14   21,874 21,874
EDvestinU Private Education Loan LLC, Series 2021-A, Class A, 1.80% 20457,14   2,369 2,361
Exeter Automobile Receivables Trust, Series 2019-2A, Class B, 3.06% 20237,14   355 356
Exeter Automobile Receivables Trust, Series 2019-3A, Class C, 2.79% 20247,14   7,000 7,117
Exeter Automobile Receivables Trust, Series 2019-2A, Class C, 3.30% 20247,14   3,570 3,620
Exeter Automobile Receivables Trust, Series 2020-3A, Class C, 1.32% 202514   1,872 1,894
Exeter Automobile Receivables Trust, Series 2020-1A, Class D, 2.73% 20257,14   1,450 1,495
Exeter Automobile Receivables Trust, Series 2019-3A, Class D, 3.11% 20257,14   7,000 7,249
Exeter Automobile Receivables Trust, Series 2019-2A, Class D, 3.71% 20257,14   8,000 8,315
Exeter Automobile Receivables Trust, Series 2020-3A, Class D, 1.73% 202614   1,786 1,816
FirstKey Homes Trust, Series 2020-SFR2, Class A, 1.266% 20377,14   16,952 16,908
Ford Credit Auto Owner Trust, Series 2017-1, Class A, 2.62% 20287,14   3,250 3,312
Ford Credit Auto Owner Trust, Series 2018-2, Class A, 3.47% 20307,14   10,105 10,776
Ford Credit Auto Owner Trust, Series 2018-1, Class A, 3.52% 20307,14   5,634 6,074
Ford Credit Auto Owner Trust, Series 2020-1, Class A, 2.04% 20317,14   34,011 35,351
Ford Credit Auto Owner Trust, Series 2018-1, Class A, 3.19% 20317,14   3,650 3,958
GCI Funding I LLC, Series 2020-1, Class A, 2.82% 20457,14   4,458 4,548
Global SC Finance SRL, Series 2021-1A, Class A, 1.86% 20417,14   32,531 32,202
Global SC Finance V SRL, Series 2020-1A, Class A, 2.17% 20407,14   11,431 11,551
Global SC Finance VII SRL, Series 2020-2A, Class A, 2.26% 20407,14   20,855 21,095
GM Financial Automobile Leasing Trust, Series 2020-2, Class B, 1.56% 202414   300 306
The Income Fund of America — Page 40 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Asset-backed obligations (continued)
  Principal amount
(000)
Value
(000)
GM Financial Automobile Leasing Trust, Series 2020-2, Class C, 2.56% 202414   $696 $721
GM Financial Automobile Leasing Trust, Series 2020-2, Class D, 3.21% 202414   984 1,028
GM Financial Consumer Automobile Receivables Trust, Series 2018-1, Class C, 2.77% 202314   200 202
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2016-4A, Class B, 3.29% 20227,14   6,000 6,073
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2016-4A, Class C, 5.06% 20227,14   111 112
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2017-2A, Class A, 3.29% 20237,14   434 438
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2019-1A, Class C, 4.99% 20237,14   460 463
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2017-2A, Class C, 5.31% 20237,14   807 812
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2019-1A, Class D, 6.36% 20237,14   2,780 2,798
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2018-1A, Class A, 3.29% 20247,14   696 697
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2018-3A, Class A, 4.03% 20247,14   252 254
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2018-1A, Class C, 4.39% 20247,14   358 360
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2018-1A, Class D, 5.86% 20247,14   4,650 4,681
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2019-3A, Class A, 2.67% 20257,14   618 619
Hertz Vehicle Financing LLC, Rental Car Asset-Backed Notes, Series 2019-2A, Class D, 6.12% 20257,14   1,381 1,391
Longfellow Place CLO Ltd., Series 2013-1A, Class AR3, (3-month USD-LIBOR + 1.00%) 1.184% 20297,12,14   16,166 16,166
Madison Park Funding Ltd., CLO, Series 2015-17A, Class AR2, (3-month USD-LIBOR + 1.00%) 1.186% 20307,12,14   22,135 22,136
Marathon CLO Ltd., Series 2017-9A, Class A1AR, (3-month USD-LIBOR + 1.15%) 1.334% 20297,12,14   14,400 14,400
Mercury Financial, Series 2021-1A, Class A, 1.54% 20267,14   16,100 16,154
Newark BSL CLO 2 Ltd., Series 2017-1A, Class A1R, (3-month USD-LIBOR + 0.97%) 1.146% 20307,12,14   7,048 7,048
Palmer Square Loan Funding, CLO, Series 2021-1, Class A1, (3-month USD-LIBOR + 0.90%) 1.055% 20297,12,14   1,537 1,537
Prestige Auto Receivables Trust, Series 2019-1A, Class C, 2.70% 20247,14   3,060 3,119
Prestige Auto Receivables Trust, Series 2019-1A, Class D, 3.01% 20257,14   1,895 1,947
Race Point CLO Ltd., Series 2015-9A, Class A1A2, (3-month USD-LIBOR + 0.94%) 1.181% 20307,12,14   18,501 18,501
Santander Drive Auto Receivables Trust, Series 2020-1, Class B, 3.03% 202414   4,138 4,240
Santander Drive Auto Receivables Trust, Series 2019-2, Class D, 3.22% 202514   4,350 4,513
Santander Drive Auto Receivables Trust, Series 2020-1, Class C, 4.11% 202514   21,000 22,179
Santander Drive Auto Receivables Trust, Series 2020-3, Class C, 1.12% 202614   7,296 7,358
Santander Drive Auto Receivables Trust, Series 2020-3, Class D, 1.64% 202614   4,422 4,494
Social Professional Loan Program LLC, Series 2015-D, Class A2, 2.72% 20367,14   985 999
Sound Point CLO Ltd., Series 2017-2A, Class AR, (3-month USD-LIBOR + 0.98%) 1.156% 20307,12,14   12,910 12,910
Sound Point CLO Ltd., Series 2017-3A, Class A1R, (3-month USD-LIBOR + 0.98%) 1.182% 20307,12,14   22,070 22,083
Sound Point CLO Ltd., Series 2015-1RA, Class AR, (3-month USD-LIBOR + 1.08%) 1.264% 20307,12,14   11,925 11,925
TAL Advantage V LLC, Series 2020-1A, Class A, 2.05% 20457,14   5,771 5,828
Textainer Marine Containers Ltd., Series 2020-2A, Class A, 2.10% 20457,14   6,487 6,564
Textainer Marine Containers Ltd., Series 2020-1A, Class A, 2.73% 20457,14   8,562 8,736
Textainer Marine Containers Ltd., Series 2021-1A, Class A, 1.68% 20467,14   21,306 20,971
Textainer Marine Containers Ltd., Series 2021-2A, Class A, 2.23% 20467,14   26,300 26,529
Textainer Marine Containers Ltd., Series 2021-1A, Class B, 2.52% 20467,14   680 671
The Income Fund of America — Page 41 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Asset-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Triton Container Finance LLC, Series 2020-1A, Class A, 2.11% 20457,14   $20,405 $20,615
Triton Container Finance LLC, Series 2021-1A, Class A, 1.86% 20467,14   19,606 19,357
Triton Container Finance LLC, Series 2021-1A, Class B, 2.58% 20467,14   607 602
Westlake Automobile Receivables Trust, Series 2020-3A, Class C, 1.24% 20257,14   3,374 3,407
Westlake Automobile Receivables Trust, Series 2020-3A, Class D, 1.65% 20267,14   6,549 6,657
      817,807
Municipals 0.30%
Illinois 0.28%
     
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2010-C, 6.319% 2029   28,045 33,667
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2015-C, 5.25% 2039   120 133
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2011-A, 5.50% 2039   40 41
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2009-E, 6.138% 2039   53,770 63,097
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2010-D, 6.519% 2040   11,385 13,884
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds (Dedicated Rev.), Series 2021-A, 5.00% 2041   435 532
City of Chicago, Board of Education, Unlimited Tax G.O. Bonds
(Qualified School Construction Bonds), Series 2009-G, 1.75% 2025
  2,500 2,398
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-C, 5.00% 2026
  2,440 2,891
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2026
  1,630 1,931
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-C, Assured Guaranty Municipal insured, 5.00% 2028
  800 1,012
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2028
  650 822
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-C, Assured Guaranty Municipal insured, 5.00% 2029
  550 691
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2029
  540 662
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2029
  300 377
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2030
  540 674
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2030
  540 658
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-C, 5.00% 2030
  220 263
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-D, 5.00% 2031
  2,170 2,589
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2031
  1,085 1,341
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2032
  1,085 1,336
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2033
  540 663
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2018-A, Assured Guaranty Municipal insured, 5.00% 2034
  620 745
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-H, 5.00% 2036
  100 118
The Income Fund of America — Page 42 of 50

unaudited
Bonds, notes & other debt instruments (continued)
Municipals (continued)
Illinois (continued)
  Principal amount
(000)
Value
(000)
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-G, 5.00% 2044
  $140 $162
City of Chicago, Board of Education, Unlimited Tax G.O. Rev. Ref. Bonds (Dedicated Rev.),
Series 2017-H, 5.00% 2046
  390 449
City of Chicago, School Reform Board of Trustees of the Board of Education, Unlimited Tax G.O. Bonds (Dedicated Tax Rev.), Series 2011-A, 5.00% 2041   70 71
City of Chicago, School Reform Board of Trustees of the Board of Education, Unlimited Tax G.O. Bonds (Dedicated Tax Rev.), Series 2012-A, 5.00% 2042   190 198
City of Chicago, School Reform Board of Trustees of the Board of Education, Unlimited Tax G.O. Bonds (Dedicated Tax Rev.), Capital Appreciation Bonds, Series 1998-B-1, National insured, 0% 2031   1,085 842
G.O. Bonds, Series 2019-A, 4.00% 2023   12,000 12,494
G.O. Bonds, Series 2013-B, 4.91% 2027   3,230 3,535
G.O. Bonds, Pension Funding, Series 2003, 4.95% 2023   10,090 10,471
G.O. Bonds, Pension Funding, Series 2003, 5.10% 2033   156,480 178,614
G.O. Bonds, Taxable Build America Bonds, Series 2010-2, 5.95% 2023   595 639
G.O. Bonds, Taxable Build America Bonds, Series 2010-1, 6.63% 2035   4,560 5,523
G.O. Bonds, Taxable Build America Bonds, Series 2010-3, 6.725% 2035   4,500 5,511
G.O. Bonds, Taxable Build America Bonds, Series 2010-5, 7.35% 2035   1,020 1,286
      350,320
Ohio 0.02%      
County of Cleveland-Cuyahoga, Port Auth., Federal Lease Rev. Bonds
(VA Cleveland Health Care Center Project), Series 2021, 4.425% 2031
  28,165 28,437
Total municipals     378,757
Bonds & notes of governments & government agencies outside the U.S. 0.10%      
Abu Dhabi (Emirate of) 2.50% 20257   7,800 8,260
Abu Dhabi (Emirate of) 3.125% 20307   7,800 8,438
Abu Dhabi (Emirate of) 1.70% 20317   1,700 1,623
Abu Dhabi (Emirate of) 3.875% 20507   5,350 5,942
Asian Development Bank 1.00% 2026   8,188 8,206
Morocco (Kingdom of) 3.00% 20327   6,000 5,718
Morocco (Kingdom of) 4.00% 20507   6,000 5,426
Paraguay (Republic of) 5.00% 2026   8,750 9,866
Paraguay (Republic of) 4.95% 2031   8,208 9,263
Paraguay (Republic of) 2.739% 20337   13,000 12,448
Peru (Republic of) 2.783% 2031   5,050 5,066
Peru (Republic of) 1.862% 2032   8,550 7,799
Peru (Republic of) 2.78% 2060   12,800 10,956
PT Indonesia Asahan Aluminium Tbk 4.75% 20257   3,060 3,330
PT Indonesia Asahan Aluminium Tbk 5.45% 20307   790 911
PT Indonesia Asahan Aluminium Tbk 5.80% 20507   2,310 2,734
United Mexican States 2.659% 2031   9,162 8,834
United Mexican States 3.771% 2061   5,180 4,634
      119,454
Federal agency bonds & notes 0.03%      
Fannie Mae 6.25% 2029   32,000 43,509
Total bonds, notes & other debt instruments (cost: $24,967,940,000)     25,824,451
The Income Fund of America — Page 43 of 50

unaudited
Short-term securities 4.43%
Money market investments 4.33%
  Shares Value
(000)
Capital Group Central Cash Fund 0.06%5,18   53,868,643 $5,387,403
Money market investments purchased with cash collateral from securities on loan 0.10%      
Goldman Sachs Financial Square Government Fund, Institutional Shares 0.03%18,19   37,800,000 37,800
BlackRock Liquidity Funds – FedFund, Institutional Shares  0.03%18,19   31,500,000 31,500
Capital Group Central Cash Fund 0.06%5,18,19   153,911 15,393
Invesco Short-Term Investments Trust – Government & Agency Portfolio,
Institutional Class 0.03%18,19
  13,977,036 13,977
State Street Institutional U.S. Government Money Market Fund, Premier Class 0%18,19   12,600,000 12,600
Morgan Stanley Institutional Liquidity Funds – Government Portfolio,
Institutional Class 0.03%18,19
  10,100,000 10,100
Fidelity Investments Money Market Government Portfolio, Class I 0.01%18,19   3,700,000 3,700
RBC Funds Trust – U.S. Government Money Market Fund,
RBC Institutional Class 1 0.03%18,19
  1,200,000 1,200
      126,270
Total short-term securities (cost: $5,512,655,000)     5,513,673
Total investment securities 101.86% (cost: $93,926,264,000)     126,638,341
Other assets less liabilities (1.86)%     (2,317,609)
Net assets 100.00%     $124,320,732
Futures contracts

Contracts Type Number of
contracts
Expiration Notional
amount20
(000)
Value at
4/30/202121
(000)
Unrealized
(depreciation)
appreciation
at 4/30/2021
(000)
2 Year U.S. Treasury Note Futures Long 25,665 July 2021 $5,133,000 $5,665,749 $(1,276)
5 Year U.S. Treasury Note Futures Long 21,250 July 2021 2,125,000 2,633,672 8,133
10 Year U.S. Treasury Note Futures Short 9,170 June 2021 (917,000) (1,210,727) 77
10 Year Ultra U.S. Treasury Note Futures Short 13,116 June 2021 (1,311,600) (1,908,993) 24,844
20 Year U.S. Treasury Bond Futures Short 801 June 2021 (80,100) (125,957) 817
30 Year Ultra U.S. Treasury Bond Futures Long 1,611 June 2021 161,100 299,495 (55)
            $32,540
Investments in affiliates5

  Value of
affiliates at
8/1/2020
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain (loss)
(000)
Net
unrealized
appreciation
(depreciation)
(000)
Value of
affiliates at
4/30/2021
(000)
Dividend
or interest
income
(000)
Common stocks 3.77%
Health care 0.05%              
Rotech Healthcare Inc.2,3,4,6 $28,245 $$$$30,146 $58,391 $
Industrials 0.05%              
Associated Materials Group Inc.2,3,4 49,614 17,737 67,351
The Income Fund of America — Page 44 of 50

unaudited
Investments in affiliates5  (continued)

  Value of
affiliates at
8/1/2020
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain (loss)
(000)
Net
unrealized
appreciation
(depreciation)
(000)
Value of
affiliates at
4/30/2021
(000)
Dividend
or interest
income
(000)
Real estate 0.93%              
Gaming and Leisure Properties, Inc. REIT $490,940 $123,931 $$$152,776 $767,647 $27,030
MGM Growth Properties LLC REIT, Class A 105,941 234,620 9,603 (708) 62,595 392,845 10,061
Iron Mountain Inc. REIT22 526,025 40,721 157,789 (47,664) 188,150 27,756
            1,160,492  
Utilities 1.90%              
DTE Energy Company 989,854 295,608 42,279 1,632 229,742 1,474,557 31,333
Brookfield Infrastructure Partners LP 678,586 12,534 196,403 887,523 24,326
AES Corp.22 567,458 378,916 165,414 269,379 13,928
            2,362,080  
Consumer discretionary 0.14%              
Domino’s Pizza Group PLC 127,913 34,150 162,063 6,067
Sonans Gruppen AS4 11,813 1,882 13,695
            175,758  
Energy 0.03%              
Rattler Midstream LP 23,869 8,589 32,458 1,398
Ascent Resources - Utica, LLC, Class A2,3,4,6,22 22,043 (6,613)
            32,458  
Communication services 0.67%              
Koninklijke KPN NV 554,793 8,432 (37) 184,250 730,574 22,087
HKBN Ltd. 122,079 (25,282) 96,797 3,239
            827,371  
Total common stocks           4,683,901  
Convertible stocks 0.03%
Utilities 0.03%              
DTE Energy Company, convertible preferred units, 6.25% 2022 40,698 5,100 45,798 2,115
Bonds, notes & other debt instruments 0.00%
Energy 0.00%              
Ascent Resources - Utica LLC 10.00% 20227,22 2,244 2,772 (50) 578 51
Ascent Resources - Utica LLC 7.00% 20267,22 3,678 20,070 2,358 360
             
Utilities 0.00%              
AES Corp. 3.30% 20257,22 19,301 (147) 443
AES Corp. 5.50% 202522 20,935 20,882 1,298 (1,351) 431
AES Corp. 6.00% 202622 12,712 12,638 332 (406) 192
AES Corp. 5.125% 202722 12,433 12,623 614 (424) 150
AES Corp. 3.95% 20307,22 9,293 9,321 705 (677) 12
             
Real estate 0.00%              
Iron Mountain Inc. 4.875% 20277,22 11,109 8 397
Iron Mountain Inc. 5.00% 20287,22 15,643 20 565
Iron Mountain Inc. 5.25% 20287,22 18,404 (36) 697
Iron Mountain Inc. 4.875% 20297,22 16,978 17,009 994 (963) 445
Iron Mountain Inc. 5.25% 20307,22 20,876 8,892 5,392 (62) (190) 929
Iron Mountain Inc. 4.50% 20317,22 24,761 5,321 121 82 533
             
The Income Fund of America — Page 45 of 50

unaudited
Investments in affiliates5  (continued)

  Value of
affiliates at
8/1/2020
(000)
Additions
(000)
Reductions
(000)
Net
realized
gain (loss)
(000)
Net
unrealized
appreciation
(depreciation)
(000)
Value of
affiliates at
4/30/2021
(000)
Dividend
or interest
income
(000)
Health care 0.00%              
Rotech Healthcare Inc., Term Loan, (3-month USD-LIBOR + 11.00%) 13.00% 2023 (100% PIK)2,3,9,11,12,22 $25,677 $1,918 $10,593 $(32) $(231) $$2,143
             
Total bonds, notes & other debt instruments            
Short-term securities 4.35%
Money market investments 4.34%              
Capital Group Central Cash Fund 0.06%18 9,800,686 12,004,235 16,417,518 405 (405) 5,387,403 6,417
Money market investments purchased with cash collateral from securities on loan 0.01%              
Capital Group Central Cash Fund 0.06%18,19 15,39323       15,393 24
Total short-term securities           5,402,796  
Total 8.15%       $122,962 $1,347,220 $10,132,495 $183,105
1 All or a portion of this security was on loan. The total value of all such securities was $146,293,000, which represented .12% of the net assets of the fund.
2 Valued under fair value procedures adopted by authority of the board of trustees. The total value of all such securities was $2,967,269,000, which represented 2.39% of the net assets of the fund. This amount includes $2,720,535,000 related to certain securities trading outside the U.S. whose values were adjusted as a result of significant market movements following the close of local trading.
3 Value determined using significant unobservable inputs.
4 Security did not produce income during the last 12 months.
5 Affiliate of the fund or part of the same group of investment companies as the fund, in each case as defined under the Investment Company Act of 1940.
6 Acquired through a private placement transaction exempt from registration under the Securities Act of 1933. May be subject to legal or contractual restrictions on resale. Further details on these holdings appear below.
7 Acquired in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. May be resold in the U.S. in transactions exempt from registration, normally to qualified institutional buyers. The total value of all such securities was $9,149,107,000, which represented 7.36% of the net assets of the fund.
8 Amount less than one thousand.
9 Payment in kind; the issuer has the option of paying additional securities in lieu of cash. Most recent payment was 100% cash unless otherwise noted.
10 Step bond; coupon rate may change at a later date.
11 Loan participations and assignments; may be subject to legal or contractual restrictions on resale. The total value of all such loans was $246,516,000, which represented .20% of the net assets of the fund.
12 Coupon rate may change periodically. Reference rate and spread are as of the most recent information available. Some coupon rates are determined by the issuer or agent based on current market conditions; therefore, the reference rate and spread are not available.
13 Scheduled interest and/or principal payment was not received.
14 Principal payments may be made periodically. Therefore, the effective maturity date may be earlier than the stated maturity date.
15 Purchased on a TBA basis.
16 All or a portion of this security was pledged as collateral. The total value of pledged collateral was $28,018,000, which represented .02% of the net assets of the fund.
17 Index-linked bond whose principal amount moves with a government price index.
18 Rate represents the seven-day yield at 4/30/2021.
19 Security purchased with cash collateral from securities on loan.
20 Notional amount is calculated based on the number of contracts and notional contract size.
21 Value is calculated based on the notional amount and current market price.
22 Unaffiliated issuer at 4/30/2021.
23 Represents net activity.
24 Information not shown. Dividend income is included with securities lending income in the fund’s statement of operations.
Private placement securities Acquisition
date(s)
Cost
(000)
Value
(000)
Percent
of net
assets
Rotech Healthcare Inc. 11/26/2014 $19,660 $58,391 .05%
Advanz Pharma Corp. Ltd. 8/31/2018 12,176 16,161 .01
Ascent Resources - Utica, LLC, Class A 4/25/2016-11/15/2016 56,848 15,430 .01
Total private placement securities   $88,684 $89,982 .07%
The Income Fund of America — Page 46 of 50

unaudited
Valuation disclosures

Capital Research and Management Company (“CRMC”), the fund’s investment adviser, values the fund’s investments at fair value as defined by accounting principles generally accepted in the United States of America. The net asset value per share is calculated once daily as of the close of regular trading on the New York Stock Exchange, normally 4 p.m. New York time, each day the New York Stock Exchange is open. Security transactions are recorded by the fund as of the date the trades are executed with brokers. Assets and liabilities, including investment securities, denominated in currencies other than U.S. dollars are translated into U.S. dollars at the exchange rates supplied by one or more pricing vendors on the valuation date.
Methods and inputs — The fund’s investment adviser uses the following methods and inputs to establish the fair value of the fund’s assets and liabilities. Use of particular methods and inputs may vary over time based on availability and relevance as market and economic conditions evolve.
Equity securities are generally valued at the official closing price of, or the last reported sale price on, the exchange or market on which such securities are traded, as of the close of business on the day the securities are being valued or, lacking any sales, at the last available bid price. Prices for each security are taken from the principal exchange or market on which the security trades.
Fixed-income securities, including short-term securities, are generally valued at prices obtained from one or more pricing vendors. Vendors value such securities based on one or more of the inputs described in the following table. The table provides examples of inputs that are commonly relevant for valuing particular classes of fixed-income securities in which the fund is authorized to invest. However, these classifications are not exclusive, and any of the inputs may be used to value any other class of fixed-income security.
Fixed-income class Examples of standard inputs
All Benchmark yields, transactions, bids, offers, quotations from dealers and trading systems, new issues, spreads and other relationships observed in the markets among comparable securities; and proprietary pricing models such as yield measures calculated using factors such as cash flows, financial or collateral performance and other reference data (collectively referred to as “standard inputs”)
Corporate bonds, notes & loans; convertible securities Standard inputs and underlying equity of the issuer
Bonds & notes of governments & government agencies Standard inputs and interest rate volatilities
Mortgage-backed; asset-backed obligations Standard inputs and cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements and specific deal information
Municipal securities Standard inputs and, for certain distressed securities, cash flows or liquidation values using a net present value calculation based on inputs that include, but are not limited to, financial statements and debt contracts
When the fund’s investment adviser deems it appropriate to do so (such as when vendor prices are unavailable or deemed to be not representative), fixed-income securities will be valued in good faith at the mean quoted bid and ask prices that are reasonably and timely available (or bid prices, if ask prices are not available) or at prices for securities of comparable maturity, quality and type.
Securities with both fixed-income and equity characteristics, or equity securities traded principally among fixed-income dealers, are generally valued in the manner described for either equity or fixed-income securities, depending on which method is deemed most appropriate by the fund’s investment adviser. The Capital Group Central Cash Fund (“CCF”), a fund within the Capital Group Central Fund Series (“Central Funds“), is valued based upon a floating net asset value, which fluctuates with changes in the value of CCF’s portfolio securities. The underlying securities are valued based on the policies and procedures in CCF’s statement of additional information. Exchange-traded futures are generally valued at the official settlement price of the exchange or market on which such instruments are traded, as of the close of business on the day the futures are being valued. The average month-end notional amount of futures contracts while held was $6,608,192,000. Forward currency contracts are valued based on the spot and forward exchange rates obtained from one or more pricing vendors. As of April 30, 2021, the fund did not have any open forward currency contracts. The average month-end notional amount of open forward currency contracts while held was $102,662,000. Credit default swaps are generally valued by pricing vendors based on market inputs that include the index and term of index, reset frequency, payer/receiver, currency and pay frequency. As of April 30, 2021, the fund did not have any credit default swaps. The average month-end notional amount of credit default swaps while held was $363,000,000.
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unaudited
Securities and other assets for which representative market quotations are not readily available or are considered unreliable by the fund’s investment adviser are fair valued as determined in good faith under fair valuation guidelines adopted by authority of the fund’s board of trustees as further described. The investment adviser follows fair valuation guidelines, consistent with U.S. Securities and Exchange Commission rules and guidance, to consider relevant principles and factors when making fair value determinations. The investment adviser considers relevant indications of value that are reasonably and timely available to it in determining the fair value to be assigned to a particular security, such as the type and cost of the security; contractual or legal restrictions on resale of the security; relevant financial or business developments of the issuer; actively traded similar or related securities; conversion or exchange rights on the security; related corporate actions; significant events occurring after the close of trading in the security; and changes in overall market conditions. In addition, the closing prices of equity securities that trade in markets outside U.S. time zones may be adjusted to reflect significant events that occur after the close of local trading but before the net asset value of each share class of the fund is determined. Fair valuations and valuations of investments that are not actively trading involve judgment and may differ materially from valuations that would have been used had greater market activity occurred.
Processes and structure — The fund’s board of trustees has delegated authority to the fund’s investment adviser to make fair value determinations, subject to board oversight. The investment adviser has established a Joint Fair Valuation Committee (the “Fair Valuation Committee”) to administer, implement and oversee the fair valuation process, and to make fair value decisions. The Fair Valuation Committee regularly reviews its own fair value decisions, as well as decisions made under its standing instructions to the investment adviser’s valuation teams. The Fair Valuation Committee reviews changes in fair value measurements from period to period and may, as deemed appropriate, update the fair valuation guidelines to better reflect the results of back testing and address new or evolving issues. The Fair Valuation Committee reports any changes to the fair valuation guidelines to the board of trustees. The fund’s board and audit committee also regularly review reports that describe fair value determinations and methods.
The fund’s investment adviser has also established a Fixed-Income Pricing Review Group to administer and oversee the fixed-income valuation process, including the use of fixed-income pricing vendors. This group regularly reviews pricing vendor information and market data. Pricing decisions, processes and controls over security valuation are also subject to additional internal reviews, including an annual control self-evaluation program facilitated by the investment adviser’s compliance group.
Classifications — The fund’s investment adviser classifies the fund’s assets and liabilities into three levels based on the inputs used to value the assets or liabilities. Level 1 values are based on quoted prices in active markets for identical securities. Level 2 values are based on significant observable market inputs, such as quoted prices for similar securities and quoted prices in inactive markets. Certain securities trading outside the U.S. may transfer between Level 1 and Level 2 due to valuation adjustments resulting from significant market movements following the close of local trading. Level 3 values are based on significant unobservable inputs that reflect the investment adviser’s determination of assumptions that market
The Income Fund of America — Page 48 of 50

unaudited
participants might reasonably use in valuing the securities. The valuation levels are not necessarily an indication of the risk or liquidity associated with the underlying investment. For example, U.S. government securities are reflected as Level 2 because the inputs used to determine fair value may not always be quoted prices in an active market. The following tables present the fund’s valuation levels as of April 30, 2021 (dollars in thousands):
  Investment securities
  Level 1 Level 2 Level 3 Total
Assets:        
Common stocks:        
Financials $16,597,325 $$4,139 $16,601,464
Consumer staples 12,310,787 40,793 12,351,580
Information technology 7,522,190 2,679,742 10,201,932
Health care 9,587,006 58,391 9,645,397
Industrials 8,718,502 67,351 8,785,853
Real estate 8,199,316 8,199,316
Utilities 6,871,396 6,871,396
Materials 6,004,410 6,004,410
Consumer discretionary 5,187,875 15,768 397 5,204,040
Energy 4,683,890 17,851 19,103 4,720,844
Communication services 4,488,876 4,488,876
Preferred securities 766,249 1,449 2,293 769,991
Rights & warrants 5,904 373 6,277
Convertible stocks 1,448,325 1,448,325
Convertible bonds & notes 516 516
Bonds, notes & other debt instruments:        
Corporate bonds, notes & loans 17,555,950 41,683 17,597,633
Mortgage-backed obligations 5,004,433 5,004,433
U.S. Treasury bonds & notes 1,862,858 1,862,858
Asset-backed obligations 817,807 817,807
Municipals 378,757 378,757
Bonds & notes of governments & government agencies outside the U.S. 119,454 119,454
Federal agency bonds & notes 43,509 43,509
Short-term securities 5,513,673 5,513,673
Total $97,905,724 $28,538,744 $193,873 $126,638,341
  Other investments*
  Level 1 Level 2 Level 3 Total
Assets:        
Unrealized appreciation on futures contracts $33,871 $$$33,871
Liabilities:        
Unrealized depreciation on futures contracts (1,331) (1,331)
Total $32,540 $— $— $32,540
* Futures contracts are not included in the investment portfolio.
   
The Income Fund of America — Page 49 of 50

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Key to abbreviations and symbol  
ADR = American Depositary Receipts  
Auth. = Authority  
CAD = Canadian dollars  
CLO = Collateralized Loan Obligations  
G.O. = General Obligation  
ICE = Intercontinental Exchange, Inc.  
LIBOR = London Interbank Offered Rate  
Ref. = Refunding  
Rev. = Revenue  
SOFR = Secured Overnight Financing Rate  
TBA = To-be-announced  
USD/$ = U.S. dollars  
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary prospectus, which can be obtained from your financial professional and should be read carefully before investing. You may also call American Funds Service Company (AFS) at (800) 421-4225 or visit the Capital Group website at capitalgroup.com.
All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.
American Funds Distributors, Inc., member FINRA.
© 2021 Capital Group. All rights reserved.
MFGEFP3-006-0621O-S78083 The Income Fund of America — Page 50 of 50