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American Beacon Short-Term Bond Fund

 

Portfolio information as of June 30, 2007

Investment Advisor

American Beacon Advisors, Inc. acts as sole advisor to this Fund, as well as to the American Beacon Funds' money market portfolios. American Beacon Advisors also manages the equity funds of the American Beacon Funds' family, serving as the leader of a team of premier investment advisors.


Investment Style


The Fund maintains a relatively short weighted average duration of one to three years. This policy is intended to lessen the Fund's sensitivity to changes in interest rates, By emphasizing investment grade securities, the Fund seeks to provide shareholders with a regular stream of income, while minimizing principal volatility.

American Beacon Advisors, Inc. utilizes a top-down approach, analyzing macroeconomic data to anticipate economic momentum shifts, inflationary trends, the shape of the yield curve, and Federal Reserve policy. American Beacon strives to increase returns by actively managing the duration and quality of the portfolio, consistent with historical relationships among economic growth, inflation and the direction of interest rates.

The Fund typically invests in a diversified mix of debt securities, including obligations of the U.S. Government, its agencies and instrumentalities; corporate bonds, notes and debentures; certificates of deposit; and mortgage-backed securities.

At the time of purchase, all securities are rated in one of the four highest rating categories or, if unrated, deemed to be of compatible quality by American Beacon.

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Sector Weightings vs. Merrill Lynch 1-3 Yr. Index (%)

Fund ML 1-3 YR. Index
Corporates 69.8 22.8
Asset-Backed 24.2 0.0
Mortgage-Backed 6.0 0.0
U.S. Agency 0.0 25.3
U.S. Treasury 0.0 51.9
     

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Credit Quality (%)

Fund ML 1-3 YR. Index
Aaa 33.6 81.6
Aa 31.6 6.9
A 24.7 7.3
Baa 10.1

4.2

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Maturity Distribution (Years) (%)

0 to 1 17.6
1 to 3 58.1
3 to 5 24.3
5 to 7 0.0
7 to 10 0.0

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Portfolio Statistics

Fund ML 1-3 YR. Index
Average Credit Quality Aa3 Aaa
Weighted Average Maturity (yrs) 2.2 1.8
Weighted Average Duration (yrs) 1.9 1.6
Weighted Average Coupon (%) 5.2 4.7
     
3 Year Risk Summary    
R2 0.87  
Alpha 0.02  
Beta 0.92  
Standard Deviation 1.12  
     

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Top Ten Holdings Excluding Treasuries (%)

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General Electric Capital Corp., 5.875% 2/15/2012 3.4
USAA AUTO Owner Trust, 5.550% 2/15/2013 3.4
Banc of America Securities Auto Trust, 4.08% 4/18/2010 3.3
HSBC Automotive Trust, 4.35%, 6/18/2012 3.3
DaimlerChrysler Auto Trust, 3.28% 12/8/2009 3.3
Merrill Lynch & Co., Inc., 6.000% 2/17/2009 2.8
John Deere Capital Corp., 4.125% 1/15/2010 2.7
Comerica Bank 6.00%, 10/1/2008 2.5
MBNA Corp., 7.500%, 3/15/2012 2.4
John Hancock Global Funding II,, 7.900% 7/2/2010 2.4
Total Fund Holdings: 49

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Click here for NAVs.

Click here to obtain a fund prospectus or call (800) 388-3344.

Distributed by Foreside Fund Services, LLC.

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