Intermediate Bond Fund of America®
Investment portfolio
November 30, 2022
unaudited
Bonds, notes & other debt instruments 95.07%
Mortgage-backed obligations 30.71%
Federal agency mortgage-backed obligations 23.16%
  Principal amount
(000)
Value
(000)
Fannie Mae Pool #458079 9.00% 11/20/20261 USD2 $3
Fannie Mae Pool #MA2973 3.00% 4/1/20271 2 2
Fannie Mae Pool #AJ3916 3.00% 4/1/20271 2 2
Fannie Mae Pool #AU6794 3.00% 9/1/20281 13 12
Fannie Mae Pool #AU6682 3.00% 9/1/20281 2 2
Fannie Mae Pool #AW4349 3.00% 4/1/20291 2 2
Fannie Mae Pool #AY1948 3.50% 1/1/20301 73 72
Fannie Mae Pool #AY2719 3.00% 2/1/20301 156 150
Fannie Mae Pool #AZ0554 3.50% 10/1/20301 91 90
Fannie Mae Pool #BM3501 3.00% 4/1/20321 227 219
Fannie Mae Pool #BJ9182 3.00% 5/1/20331 1,019 962
Fannie Mae Pool #BN3184 3.00% 6/1/20331 293 281
Fannie Mae Pool #BJ6880 3.00% 6/1/20331 23 22
Fannie Mae Pool #695412 5.00% 6/1/20331 4 4
Fannie Mae Pool #MA3463 4.00% 9/1/20331 9,981 9,791
Fannie Mae Pool #BN1087 4.00% 1/1/20341 10 10
Fannie Mae Pool #BK0499 3.00% 12/1/20341 70 66
Fannie Mae Pool #AD3566 5.00% 10/1/20351 46 47
Fannie Mae Pool #888698 7.00% 10/1/20371 17 18
Fannie Mae Pool #931768 5.00% 8/1/20391 41 42
Fannie Mae Pool #AC0794 5.00% 10/1/20391 150 153
Fannie Mae Pool #932606 5.00% 2/1/20401 65 66
Fannie Mae Pool #AB1084 5.50% 5/1/20401 106 107
Fannie Mae Pool #AE1248 5.00% 6/1/20411 246 252
Fannie Mae Pool #MA4387 2.00% 7/1/20411 12,644 10,819
Fannie Mae Pool #AJ1873 4.00% 10/1/20411 251 245
Fannie Mae Pool #AE1277 5.00% 11/1/20411 136 139
Fannie Mae Pool #MA4501 2.00% 12/1/20411 25,054 21,313
Fannie Mae Pool #AE1283 5.00% 12/1/20411 72 73
Fannie Mae Pool #FS0305 1.50% 1/1/20421 42,177 34,532
Fannie Mae Pool #MA4540 2.00% 2/1/20421 5,853 4,979
Fannie Mae Pool #AE1290 5.00% 2/1/20421 133 136
Fannie Mae Pool #MA4570 2.00% 3/1/20421 5,535 4,709
Fannie Mae Pool #MA4586 2.00% 4/1/20421 1,886 1,604
Fannie Mae Pool #AR1512 3.50% 1/1/20431 365 345
Fannie Mae Pool #AT0412 3.50% 3/1/20431 166 157
Fannie Mae Pool #AT0300 3.50% 3/1/20431 47 44
Fannie Mae Pool #AT3954 3.50% 4/1/20431 77 73
Fannie Mae Pool #AL3829 3.50% 6/1/20431 1,650 1,562
Fannie Mae Pool #AT7161 3.50% 6/1/20431 638 602
Fannie Mae Pool #AY1829 3.50% 12/1/20441 74 70
Fannie Mae Pool #AX8521 3.50% 12/1/20441 57 53
Fannie Mae Pool #BE5009 3.50% 1/1/20451 111 105
Fannie Mae Pool #BE5017 3.50% 2/1/20451 898 843
Fannie Mae Pool #FM9416 3.50% 7/1/20451 35,834 33,437
Intermediate Bond Fund of America — Page 1 of 40

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 #AS8310 3.00% 11/1/20461 USD1,317 $1,192
Fannie Mae Pool #AS8583 3.50% 1/1/20471 19,616 18,357
Fannie Mae Pool #BM1179 3.00% 4/1/20471 1,612 1,457
Fannie Mae Pool #BE8740 3.50% 5/1/20471 811 759
Fannie Mae Pool #BE8742 3.50% 5/1/20471 235 220
Fannie Mae Pool #BH2846 3.50% 5/1/20471 108 101
Fannie Mae Pool #BH2848 3.50% 5/1/20471 97 91
Fannie Mae Pool #BH2847 3.50% 5/1/20471 74 69
Fannie Mae Pool #BH3122 4.00% 6/1/20471 49 48
Fannie Mae Pool #BJ5015 4.00% 12/1/20471 1,505 1,462
Fannie Mae Pool #BM3788 3.50% 3/1/20481 32,580 30,462
Fannie Mae Pool #BJ4901 3.50% 3/1/20481 613 573
Fannie Mae Pool #BK5232 4.00% 5/1/20481 753 732
Fannie Mae Pool #BK4873 5.00% 5/1/20481 504 504
Fannie Mae Pool #BK6840 4.00% 6/1/20481 1,035 1,003
Fannie Mae Pool #BK9743 4.00% 8/1/20481 301 291
Fannie Mae Pool #BK9761 4.50% 8/1/20481 150 150
Fannie Mae Pool #CA2850 4.00% 12/1/20481 402 394
Fannie Mae Pool #BF0320 5.50% 1/1/20491 2,536 2,680
Fannie Mae Pool #FM3280 3.50% 5/1/20491 9,369 8,747
Fannie Mae Pool #FM1062 3.50% 6/1/20491 6,244 5,836
Fannie Mae Pool #BJ8411 3.50% 8/1/20491 1,608 1,497
Fannie Mae Pool #CA4151 3.50% 9/1/20491 8,299 7,783
Fannie Mae Pool #FM1443 3.50% 9/1/20491 4,639 4,322
Fannie Mae Pool #CA5333 3.00% 3/1/20501 56,287 50,649
Fannie Mae Pool #CA5338 3.00% 3/1/20501 24,397 21,796
Fannie Mae Pool #FM2664 3.50% 3/1/20501 5,823 5,395
Fannie Mae Pool #CA5731 3.00% 5/1/20501 48,423 43,260
Fannie Mae Pool #CA5968 2.50% 6/1/20501 4,481 3,903
Fannie Mae Pool #CA6593 2.50% 8/1/20501 12,371 10,762
Fannie Mae Pool #BP6715 2.00% 9/1/20501 3 2
Fannie Mae Pool #BQ3005 2.50% 10/1/20501 5,149 4,433
Fannie Mae Pool #CA7599 2.50% 11/1/20501 6,319 5,505
Fannie Mae Pool #CA7743 2.50% 11/1/20501 30 26
Fannie Mae Pool #MA4208 2.00% 12/1/20501 1,942 1,610
Fannie Mae Pool #CA8046 3.00% 12/1/20501 6,146 5,541
Fannie Mae Pool #CA8828 2.50% 2/1/20511 20,189 17,537
Fannie Mae Pool #CA9291 2.50% 2/1/20511 945 810
Fannie Mae Pool #BR4996 2.50% 2/1/20511 299 257
Fannie Mae Pool #CB0290 2.00% 4/1/20511 10,096 8,361
Fannie Mae Pool #MA4305 2.00% 4/1/20511 91 75
Fannie Mae Pool #CB0041 3.00% 4/1/20511 23,677 21,258
Fannie Mae Pool #BR1035 2.00% 5/1/20511 54 44
Fannie Mae Pool #CB0457 2.50% 5/1/20511 3,915 3,371
Fannie Mae Pool #CB0520 2.50% 5/1/20511 1,673 1,434
Fannie Mae Pool #FM7741 2.50% 5/1/20511 413 355
Fannie Mae Pool #FM7900 2.50% 7/1/20511 1,636 1,418
Fannie Mae Pool #CB1038 2.50% 7/1/20511 370 319
Fannie Mae Pool #CB1279 2.50% 8/1/20511 313 270
Fannie Mae Pool #FM8436 2.50% 9/1/20511 951 823
Fannie Mae Pool #BU0365 2.50% 9/1/20511 500 430
Fannie Mae Pool #MA4414 2.50% 9/1/20511 281 242
Fannie Mae Pool #FM8692 2.50% 9/1/20511 29 25
Fannie Mae Pool #FM9067 2.50% 10/1/20511 935 804
Intermediate Bond Fund of America — Page 2 of 40

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 #CB1868 2.50% 10/1/20511 USD464 $397
Fannie Mae Pool #FS0965 2.00% 11/1/20511 429 357
Fannie Mae Pool #FM9492 2.50% 11/1/20511 9,433 8,162
Fannie Mae Pool #FM9694 2.50% 11/1/20511 4,690 4,069
Fannie Mae Pool #FM9632 3.00% 11/1/20511 10,806 9,649
Fannie Mae Pool #FM9631 3.00% 11/1/20511 4,583 4,101
Fannie Mae Pool #CB2292 3.00% 11/1/20511 1,327 1,190
Fannie Mae Pool #FS0433 2.50% 12/1/20511 29,949 26,183
Fannie Mae Pool #CB2286 2.50% 12/1/20511 16,822 14,534
Fannie Mae Pool #CB2319 2.50% 12/1/20511 15,354 13,266
Fannie Mae Pool #CB2375 2.50% 12/1/20511 15,000 12,939
Fannie Mae Pool #CB2372 2.50% 12/1/20511 7,332 6,335
Fannie Mae Pool #CB2371 2.50% 12/1/20511 6,426 5,560
Fannie Mae Pool #BT9483 2.50% 12/1/20511 5,800 5,011
Fannie Mae Pool #BT9510 2.50% 12/1/20511 5,786 5,006
Fannie Mae Pool #FM9804 2.50% 12/1/20511 5,015 4,345
Fannie Mae Pool #CB2291 2.50% 12/1/20511 218 187
Fannie Mae Pool #FM9976 3.00% 12/1/20511 6,927 6,238
Fannie Mae Pool #CB2293 3.00% 12/1/20511 1,326 1,185
Fannie Mae Pool #CB2544 3.00% 1/1/20521 13,797 12,304
Fannie Mae Pool #CB2765 2.00% 2/1/20521 6,466 5,383
Fannie Mae Pool #FS0523 2.50% 2/1/20521 1,765 1,525
Fannie Mae Pool #BT1892 2.50% 2/1/20521 200 172
Fannie Mae Pool #BV3870 2.50% 2/1/20521 88 76
Fannie Mae Pool #FS0647 3.00% 2/1/20521 5,301 4,773
Fannie Mae Pool #BU8884 2.50% 3/1/20521 1,224 1,050
Fannie Mae Pool #BV2655 2.50% 3/1/20521 300 257
Fannie Mae Pool #CB3408 2.50% 4/1/20521 6,584 5,645
Fannie Mae Pool #BV7771 2.50% 4/1/20521 5,416 4,653
Fannie Mae Pool #BU8890 2.50% 4/1/20521 382 328
Fannie Mae Pool #BU6901 2.50% 4/1/20521 46 39
Fannie Mae Pool #BU9507 2.50% 4/1/20521 28 24
Fannie Mae Pool #BW5602 2.50% 5/1/20521 521 447
Fannie Mae Pool #BU8730 2.50% 6/1/20521 500 429
Fannie Mae Pool #CB4274 2.50% 7/1/20521 14,121 12,110
Fannie Mae Pool #BW4142 2.50% 7/1/20521 449 385
Fannie Mae Pool #BV7830 2.50% 7/1/20521 402 345
Fannie Mae Pool #BV2584 2.50% 7/1/20521 198 170
Fannie Mae Pool #MA4743 2.50% 8/1/20521 1,303 1,117
Fannie Mae Pool #MA4700 4.00% 8/1/20521 62,740 58,745
Fannie Mae Pool #BW8996 4.50% 10/1/20521 28,762 28,034
Fannie Mae Pool #BW8745 4.50% 10/1/20521 8,883 8,660
Fannie Mae Pool #BW7795 4.50% 10/1/20521 500 487
Fannie Mae Pool #MA4804 4.00% 11/1/20521 24,660 23,090
Fannie Mae Pool #MA4805 4.50% 11/1/20521 85,510 83,345
Fannie Mae Pool #MA4840 4.50% 12/1/20521 171,524 167,181
Fannie Mae Pool #MA4867 4.50% 12/1/20521 4,670 4,552
Fannie Mae Pool #MA4841 5.00% 12/1/20521 51,600 51,445
Fannie Mae Pool #BF0379 3.50% 4/1/20591 14,102 13,056
Fannie Mae Pool #BM6736 4.50% 11/1/20591 1,541 1,521
Fannie Mae Pool #BF0481 3.50% 6/1/20601 10,011 9,269
Fannie Mae Pool #BF0480 3.50% 6/1/20601 6,413 5,938
Fannie Mae Pool #BF0497 3.00% 7/1/20601 11,366 10,046
Fannie Mae Pool #BF0548 3.00% 7/1/20611 15,935 14,033
Intermediate Bond Fund of America — Page 3 of 40

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 #BF0585 4.50% 12/1/20611 USD3,641 $3,592
Fannie Mae, Series 2001-4, Class GA, 9.00% 4/17/20251,3 2 2
Fannie Mae, Series 2001-4, Class NA, 9.00% 10/25/20251,3 2 2
Fannie Mae, Series 2002-W7, Class A5, 7.50% 2/25/20291 94 101
Fannie Mae, Series 2002-W3, Class A5, 7.50% 11/25/20411 178 193
Fannie Mae, Series 2001-T10, Class A1, 7.00% 12/25/20411 38 39
Fannie Mae, Series 2016-M2, Class AV2, Multi Family, 2.152% 1/25/20231 162 162
Fannie Mae, Series 2013-M12, Class APT, Multi Family, 2.529% 3/25/20231,3 764 757
Fannie Mae, Series 2017-M3, Class AV2, Multi Family, 2.623% 5/25/20241,3 1,512 1,468
Fannie Mae, Series 2017-M10, Class AV2, Multi Family, 2.625% 7/25/20241,3 2,789 2,694
Fannie Mae, Series 2017-M15, Class AV2, Multi Family, 2.655% 11/25/20241,3 1,780 1,706
Fannie Mae, Series 2016-M5, Class A1, Multi Family, 2.073% 4/25/20261 1,380 1,347
Fannie Mae, Series 2016-M9, Class A1, Multi Family, 2.003% 6/25/20261 5 5
Fannie Mae, Series 2016-M11, Class A1, Multi Family, 2.08% 7/25/20261 1,595 1,565
Fannie Mae, Series 2016-M12, Class A1, Multi Family, 2.132% 9/25/20261 139 137
Fannie Mae, Series 2017-M12, Class A2, Multi Family, 3.165% 6/25/20271,3 8,995 8,499
Fannie Mae, Series 2017-M15, Class A2, Multi Family, 3.06% 9/25/20271,3 10,271 9,697
Fannie Mae, Series 2006-96, Class MO, principal only, 0% 10/25/20361 145 128
Fannie Mae, Series 2006-123, Class BO, principal only, 0% 1/25/20371 471 406
Freddie Mac Pool #ZK7590 3.00% 1/1/20291 1,464 1,408
Freddie Mac Pool #ZS8526 3.00% 5/1/20291 31 30
Freddie Mac Pool #QN1073 3.00% 12/1/20341 89 84
Freddie Mac Pool #QK1181 2.00% 11/1/20411 1,430 1,216
Freddie Mac Pool #RB5138 2.00% 12/1/20411 20,951 17,823
Freddie Mac Pool #RB5145 2.00% 2/1/20421 6,467 5,501
Freddie Mac Pool #RB5148 2.00% 3/1/20421 27,096 23,050
Freddie Mac Pool #RB5153 2.00% 4/1/20421 1,835 1,559
Freddie Mac Pool #Q15874 4.00% 2/1/20431 32 31
Freddie Mac Pool #Q17696 3.50% 4/1/20431 423 399
Freddie Mac Pool #Q18236 3.50% 5/1/20431 571 539
Freddie Mac Pool #Q19133 3.50% 6/1/20431 447 422
Freddie Mac Pool #Q28558 3.50% 9/1/20441 451 424
Freddie Mac Pool #760012 3.113% 4/1/20451,3 908 884
Freddie Mac Pool #760013 3.208% 4/1/20451,3 520 507
Freddie Mac Pool #760014 2.745% 8/1/20451,3 1,583 1,533
Freddie Mac Pool #G60238 3.50% 10/1/20451 5,762 5,416
Freddie Mac Pool #G67700 3.50% 8/1/20461 2,132 2,009
Freddie Mac Pool #760015 2.557% 1/1/20471,3 2,611 2,485
Freddie Mac Pool #Q47615 3.50% 4/1/20471 711 666
Freddie Mac Pool #Q51622 3.50% 10/1/20471 861 806
Freddie Mac Pool #Q52069 3.50% 11/1/20471 1,102 1,032
Freddie Mac Pool #Q54701 3.50% 3/1/20481 811 760
Freddie Mac Pool #Q54709 3.50% 3/1/20481 797 746
Freddie Mac Pool #Q55056 3.50% 3/1/20481 762 713
Freddie Mac Pool #Q54700 3.50% 3/1/20481 574 538
Freddie Mac Pool #Q54782 3.50% 3/1/20481 511 478
Freddie Mac Pool #Q54781 3.50% 3/1/20481 500 468
Freddie Mac Pool #Q54699 3.50% 3/1/20481 309 289
Freddie Mac Pool #Q54831 3.50% 3/1/20481 245 230
Freddie Mac Pool #Q54698 3.50% 3/1/20481 204 191
Freddie Mac Pool #G67711 4.00% 3/1/20481 7,506 7,298
Freddie Mac Pool #Q55060 3.50% 4/1/20481 229 213
Freddie Mac Pool #Q55971 4.00% 5/1/20481 751 729
Freddie Mac Pool #Q56175 4.00% 5/1/20481 710 690
Intermediate Bond Fund of America — Page 4 of 40

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 #Q55970 4.00% 5/1/20481 USD374 $364
Freddie Mac Pool #Q56590 3.50% 6/1/20481 389 364
Freddie Mac Pool #Q56591 3.50% 6/1/20481 272 254
Freddie Mac Pool #Q56589 3.50% 6/1/20481 243 228
Freddie Mac Pool #Q56599 4.00% 6/1/20481 1,089 1,059
Freddie Mac Pool #Q58411 4.50% 9/1/20481 1,579 1,571
Freddie Mac Pool #Q58436 4.50% 9/1/20481 829 824
Freddie Mac Pool #Q58378 4.50% 9/1/20481 605 599
Freddie Mac Pool #QA0284 3.50% 6/1/20491 2,805 2,612
Freddie Mac Pool #RA1369 3.50% 9/1/20491 24,394 22,609
Freddie Mac Pool #QA2748 3.50% 9/1/20491 732 683
Freddie Mac Pool #RA1580 3.50% 10/1/20491 5,805 5,447
Freddie Mac Pool #RA1463 3.50% 10/1/20491 5,656 5,309
Freddie Mac Pool #SD0187 3.00% 1/1/20501 5,059 4,572
Freddie Mac Pool #RA2457 3.00% 4/1/20501 10,657 9,596
Freddie Mac Pool #SD8106 2.00% 11/1/20501 36,840 30,540
Freddie Mac Pool #SD7528 2.00% 11/1/20501 9,609 8,065
Freddie Mac Pool #SD8128 2.00% 2/1/20511 317 263
Freddie Mac Pool #SD8134 2.00% 3/1/20511 527 436
Freddie Mac Pool #RA5288 2.00% 5/1/20511 57,671 47,798
Freddie Mac Pool #RA5259 2.50% 5/1/20511 3,836 3,302
Freddie Mac Pool #RA5605 2.50% 7/1/20511 744 640
Freddie Mac Pool #SD0926 2.50% 7/1/20511 385 331
Freddie Mac Pool #RA5747 2.50% 8/1/20511 23 20
Freddie Mac Pool #SD7545 2.50% 9/1/20511 16,245 14,132
Freddie Mac Pool #RA5782 2.50% 9/1/20511 6,532 5,650
Freddie Mac Pool #QC6821 2.50% 9/1/20511 326 280
Freddie Mac Pool #QC6921 2.50% 9/1/20511 156 134
Freddie Mac Pool #RA5971 3.00% 9/1/20511 116,296 104,064
Freddie Mac Pool #QC7814 2.50% 10/1/20511 190 163
Freddie Mac Pool #RA6406 2.00% 11/1/20511 4,940 4,101
Freddie Mac Pool #SD1385 2.50% 11/1/20511 4,426 3,833
Freddie Mac Pool #SD7548 2.50% 11/1/20511 4,365 3,797
Freddie Mac Pool #RA6915 2.50% 11/1/20511 452 388
Freddie Mac Pool #RA6411 2.50% 11/1/20511 330 284
Freddie Mac Pool #RA6483 2.50% 12/1/20511 13,118 11,315
Freddie Mac Pool #SD7552 2.50% 1/1/20521 3,078 2,660
Freddie Mac Pool #SD8189 2.50% 1/1/20521 400 343
Freddie Mac Pool #RA5713 2.50% 1/1/20521 349 300
Freddie Mac Pool #SD0853 2.50% 1/1/20521 28 24
Freddie Mac Pool #QD6848 2.50% 2/1/20521 998 857
Freddie Mac Pool #RA6528 2.50% 2/1/20521 25 22
Freddie Mac Pool #SD7550 3.00% 2/1/20521 27,875 25,098
Freddie Mac Pool #SD0873 3.50% 2/1/20521 11,052 10,262
Freddie Mac Pool #QD7089 3.50% 2/1/20521 1,241 1,140
Freddie Mac Pool #QD9879 2.50% 3/1/20521 3,300 2,829
Freddie Mac Pool #SD8200 2.50% 3/1/20521 754 646
Freddie Mac Pool #QE0588 2.50% 3/1/20521 500 429
Freddie Mac Pool #QD8748 2.50% 3/1/20521 460 395
Freddie Mac Pool #QD9071 2.50% 3/1/20521 399 343
Freddie Mac Pool #SD7553 3.00% 3/1/20521 61,187 54,820
Freddie Mac Pool #SD7554 2.50% 4/1/20521 7,034 6,087
Freddie Mac Pool #QE0732 2.50% 4/1/20521 494 425
Freddie Mac Pool #SD8212 2.50% 5/1/20521 9,879 8,468
Intermediate Bond Fund of America — Page 5 of 40

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 #RA7556 4.50% 6/1/20521 USD10,733 $10,475
Freddie Mac Pool #QE8522 2.50% 8/1/20521 305 261
Freddie Mac Pool #SD8237 4.00% 8/1/20521 48,547 45,486
Freddie Mac Pool #SD8244 4.00% 9/1/20521 32,388 30,346
Freddie Mac Pool #RA7938 5.00% 9/1/20521 69,352 69,166
Freddie Mac Pool #SD8257 4.50% 10/1/20521 1,613 1,572
Freddie Mac Pool #SD8291 2.50% 11/1/20521 1,710 1,466
Freddie Mac Pool #SD8266 4.50% 11/1/20521 568,188 553,803
Freddie Mac Pool #SD8275 4.50% 12/1/20521 119,280 116,260
Freddie Mac Pool #SD8287 4.50% 12/1/20521 890 867
Freddie Mac Pool #SD8276 5.00% 12/1/20521 106,190 105,806
Freddie Mac, Series 1567, Class A, (1-month USD-LIBOR + 0.40%) 2.547% 8/15/20231,3 1 1
Freddie Mac, Series K749, Class AM, 2.12% 6/25/20291 2,069 1,808
Freddie Mac, Series T041, Class 3A, 4.424% 7/25/20321,3 131 126
Freddie Mac, Series 4582, Class GA, 3.75% 3/15/20521,3 2,716 2,703
Freddie Mac, Series K032, Class A2, Multi Family, 3.31% 5/25/20231 5,300 5,251
Freddie Mac, Series K033, Class A2, Multi Family, 3.06% 7/25/20231,3 1,500 1,482
Freddie Mac, Series K034, Class A2, Multi Family, 3.531% 7/25/20231 1,965 1,944
Freddie Mac, Series K037, Class A2, Multi Family, 3.49% 1/25/20241 1,500 1,474
Freddie Mac, Series K038, Class A2, Multi Family, 3.389% 3/25/20241 5,000 4,898
Freddie Mac, Series K726, Class A2, Multi Family, 2.905% 4/25/20241 5,723 5,569
Freddie Mac, Series K040, Class A2, Multi Family, 3.241% 9/25/20241 4,500 4,375
Freddie Mac, Series K041, Class A2, Multi Family, 3.171% 10/25/20241 5,336 5,171
Freddie Mac, Series K042, Class A2, Multi Family, 2.67% 12/25/20241 2,310 2,216
Freddie Mac, Series K043, Class A2, Multi Family, 3.062% 12/25/20241 6,000 5,805
Freddie Mac, Series K044, Class A2, Multi Family, 2.811% 1/25/20251 1,246 1,198
Freddie Mac, Series K046, Class A2, Multi Family, 3.205% 3/25/20251 7,750 7,493
Freddie Mac, Series K048, Class A2, Multi Family, 3.284% 6/25/20251,3 3,365 3,255
Freddie Mac, Series K049, Class A2, Multi Family, 3.01% 7/25/20251 6,665 6,400
Freddie Mac, Series K051, Class A2, Multi Family, 3.308% 9/25/20251 630 609
Freddie Mac, Series K052, Class A2, Multi Family, 3.151% 11/25/20251 3,000 2,885
Freddie Mac, Series K053, Class A2, Multi Family, 2.995% 12/25/20251 1,575 1,508
Freddie Mac, Series K054, Class A2, Multi Family, 2.745% 1/25/20261 6,250 5,932
Freddie Mac, Series K734, Class A2, Multi Family, 3.208% 2/25/20261 14,275 13,718
Freddie Mac, Series K055, Class A2, Multi Family, 2.673% 3/25/20261 3,697 3,494
Freddie Mac, Series K056, Class A2, Multi Family, 2.525% 5/25/20261 4,750 4,459
Freddie Mac, Series K057, Class A2, Multi Family, 2.57% 7/25/20261 1,500 1,408
Freddie Mac, Series K061, Class A2, Multi Family, 3.347% 11/25/20261 7,500 7,207
Freddie Mac, Series K064, Class A2, Multi Family, 3.224% 3/25/20271,3 3,500 3,342
Freddie Mac, Series K065, Class A2, Multi Family, 3.243% 4/25/20271 5,500 5,264
Freddie Mac, Series K074, Class A2, Multi Family, 3.60% 1/25/20281 1,500 1,452
Freddie Mac, Series K078, Class A2, Multi Family, 3.854% 6/25/20281 3,250 3,177
Freddie Mac, Series K081, Class A2, Multi Family, 3.90% 8/25/20281,3 3,000 2,934
Freddie Mac, Series K082, Class A2, Multi Family, 3.92% 9/25/20281,3 3,000 2,935
Freddie Mac, Series K083, Class A2, Multi Family, 4.05% 9/25/20281,3 7,250 7,137
Freddie Mac, Series K084, Class A2, Multi Family, 3.78% 10/25/20281,3 10,180 9,846
Freddie Mac, Series K089, Class A2, Multi Family, 3.563% 1/25/20291 8,252 7,901
Freddie Mac, Series K090, Class A2, Multi Family, 3.422% 2/25/20291 10,000 9,496
Freddie Mac, Series K749, Class A2, Multi Family, 2.12% 6/25/20291 2,113 1,861
Freddie Mac, Series K143, Class A2, Multi Family, 2.35% 6/25/20321 4,990 4,226
Freddie Mac, Series K144, Class AM, Multi Family, 2.45% 7/25/20321 3,000 2,533
Freddie Mac, Series K144, Class A2, Multi Family, 2.45% 7/25/20321 2,536 2,165
Freddie Mac, Series K151, Class A2, Multi Family, 3.80% 12/25/20321 16,000 15,260
Freddie Mac, Series K153, Class A2, Multi Family, 3.82% 1/25/20331 10,000 9,495
Intermediate Bond Fund of America — Page 6 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Federal agency mortgage-backed obligations (continued)
  Principal amount
(000)
Value
(000)
Freddie Mac, Series K105, Class A2, Multi Family, 1.872% 3/25/20531 USD52 $44
Freddie Mac, Series 3171, Class MO, principal only, 0% 6/15/20361 403 360
Freddie Mac, Series 3213, Class OG, principal only, 0% 9/15/20361 254 226
Freddie Mac, Series 3292, Class BO, principal only, 0% 3/15/20371 82 70
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-1, Class HA, 3.00% 1/25/20561,3 6,121 5,763
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-3, Class MT, 3.00% 7/25/20561 5,687 4,975
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-3, Class HT, 3.25% 7/25/20561 1,147 1,045
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class MA, 3.00% 8/25/20561 6,330 5,922
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-2, Class HA, 3.00% 8/25/20561,3 6,229 5,860
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2018-1, Class HT, 3.00% 5/25/20571 6,114 5,440
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class HT, 3.25% 6/25/20571,3 6,035 5,559
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2017-4, Class MT, 3.50% 6/25/20571 3,129 2,833
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2018-3, Class MA, 3.50% 8/25/20571 21,141 20,177
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2018-2, Class MT, 3.50% 11/25/20571 7,749 7,002
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-1, Class MT, 3.50% 7/25/20581 8,168 7,357
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-1, Class MA, 3.50% 7/25/20581 3,215 3,061
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-2, Class MT, 3.50% 8/26/20581 2,784 2,514
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-3, Class MT, 3.50% 10/25/20581 2,362 2,134
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-3, Class MA, 3.50% 10/25/20581 673 641
Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2019-4, Class MA, 3.00% 2/25/20591 4,484 4,189
Freddie Mac Seasoned Loan Structured Transaction Trust, Series 2018-1, Class A1, 3.50% 6/25/20281 1,046 1,004
Freddie Mac Seasoned Loan Structured Transaction Trust, Series 2018-2, Class A1, 3.50% 11/25/20281 13,826 13,267
Freddie Mac Seasoned Loan Structured Transaction Trust, Series 2019-2, Class A1C, 2.75% 9/25/20291 32,640 30,222
Freddie Mac Seasoned Loan Structured Transaction Trust, Series 2019-3, Class A1C, 2.75% 11/25/20291 19,378 17,917
FREMF Mortgage Trust, Series K-142, Class A2, 2.40% 3/25/20321 14,000 11,957
Government National Mortgage Assn. 4.00% 12/1/20521,4 271,491 259,221
Government National Mortgage Assn. 4.50% 12/1/20521,4 228,535 223,902
Government National Mortgage Assn. 5.00% 12/1/20521,4 100,000 99,938
Government National Mortgage Assn. 2.00% 1/1/20531,4 59,922 51,065
Government National Mortgage Assn. 2.50% 1/1/20531,4 28,447 25,036
Government National Mortgage Assn. 3.00% 1/1/20531,4 92,739 83,866
Government National Mortgage Assn. 3.50% 1/1/20531,4 34,124 31,708
Government National Mortgage Assn. 5.50% 1/1/20531,4 189,955 192,149
Government National Mortgage Assn. Pool #5306 4.50% 2/20/20421 7 7
Government National Mortgage Assn. Pool #MA4511 4.00% 6/20/20471 24,916 24,163
Government National Mortgage Assn. Pool #MA5332 5.00% 7/20/20481 3 3
Government National Mortgage Assn. Pool #MA6042 5.00% 7/20/20491 6 6
Uniform Mortgage-Backed Security 2.50% 12/1/20371,4 19,000 17,560
Uniform Mortgage-Backed Security 3.00% 12/1/20371,4 1,421 1,337
Uniform Mortgage-Backed Security 4.00% 12/1/20371,4 8,000 7,823
Uniform Mortgage-Backed Security 2.00% 1/1/20381,4 9,550 8,606
Uniform Mortgage-Backed Security 2.50% 11/1/20521,4 2 2
Uniform Mortgage-Backed Security 2.00% 12/1/20521,4 70,068 57,744
Uniform Mortgage-Backed Security 2.50% 12/1/20521,4 5,000 4,279
Uniform Mortgage-Backed Security 3.00% 12/1/20521,4 61,863 54,774
Uniform Mortgage-Backed Security 3.50% 12/1/20521,4 43,367 39,708
Uniform Mortgage-Backed Security 4.00% 12/1/20521,4 130,188 123,145
Uniform Mortgage-Backed Security 4.50% 12/1/20521,4 63,874 62,187
Uniform Mortgage-Backed Security 5.00% 12/1/20521,4 196,753 195,831
Uniform Mortgage-Backed Security 5.50% 12/1/20521,4 192,997 195,248
Uniform Mortgage-Backed Security 6.00% 12/1/20521,4 25,000 25,568
Uniform Mortgage-Backed Security 6.50% 12/1/20521,4 65,950 67,897
Uniform Mortgage-Backed Security 2.00% 1/1/20531,4 110,200 90,906
Uniform Mortgage-Backed Security 4.00% 1/1/20531,4 24,400 23,089
Intermediate Bond Fund of America — Page 7 of 40

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 4.50% 1/1/20531,4 USD776 $756
Uniform Mortgage-Backed Security 5.00% 1/1/20531,4 81,300 80,906
Uniform Mortgage-Backed Security 5.50% 1/1/20531,4 630,300 637,308
Uniform Mortgage-Backed Security 6.00% 1/1/20531,4 81,795 83,578
Uniform Mortgage-Backed Security 6.50% 1/1/20531,4 92,165 94,742
      5,761,960
Collateralized mortgage-backed obligations (privately originated) 3.96%      
Agate Bay Mortgage Loan Trust, Series 2016-3, Class A3, 3.50% 8/27/20461,3,5 442 389
Argent Securities, Inc., Series 2005-W2, Class M1, 4.751% 10/25/20351,3 1,789 1,731
Arroyo Mortgage Trust, Series 2021-1R, Class A1, 1.175% 10/25/20481,3,5 13,332 10,590
Arroyo Mortgage Trust, Series 2019-1, Class A1, 3.805% 1/25/20491,3,5 4,967 4,587
Arroyo Mortgage Trust, Series 2020-1, Class A1A, 1.662% 3/25/20551,5 1,725 1,574
Arroyo Mortgage Trust, Series 2022-1, Class A1A, 2.495% 12/25/2056 (3.495% on 2/25/2026)1,5,6 14,626 13,284
Bear Stearns Alt-A Trust, Series 2004-12, Class 1M1, (1-month USD-LIBOR + 0.93%) 4.974% 1/25/20351,3 2,027 1,984
Bellemeade Re, Ltd., Series 2019-3A, Class M1B, (1-month USD-LIBOR + 1.60%) 5.644% 7/25/20291,3,5 648 648
BINOM Securitization Trust, Series 2022-RPL1, Class A1, 3.00% 2/25/20611,3,5 17,905 15,956
BRAVO Residential Funding Trust, Series 2020-RPL2, Class A1, 2.00% 5/25/20591,3,5 11,958 10,839
BRAVO Residential Funding Trust, Series 2020-RPL1, Class A1, 2.50% 5/26/20591,3,5 5,391 5,092
BRAVO Residential Funding Trust, Series 2022-RPL1, Class A1, 2.75% 9/25/20611,5 9,386 8,395
BRAVO Residential Funding Trust, Series 2022-NQM1, Class A1, 3.626% 9/25/2061 (4.626% on 2/25/2026)1,5,6 2,655 2,413
BRAVO Residential Funding Trust, Series 2022-NQM2, Class A1, 4.272% 11/25/2061 (5.272% on 5/25/2026)1,5,6 1,301 1,240
BRAVO Residential Funding Trust, Series 2022-NQM3, Class A1, 5.108% 7/25/2062 (6.108% on 9/1/2026)1,5,6 17,373 16,982
BRAVO Residential Funding Trust, Series 2022-R1, Class A, 3.125% 1/29/2070 (6.125% on 1/29/2025)1,5,6 16,326 14,546
Bunker Hill Loan Depositary Trust, Series 2019-2, Class A3, 3.185% 7/25/20491,3,5 1,258 1,168
Cascade Funding Mortgage Trust, Series 2020-HB4, Class A, 0.946% 12/26/20301,3,5 10,776 10,444
Cascade Funding Mortgage Trust, Series 2020-HB4, Class M3, 2.72% 12/26/20301,3,5 500 462
Cascade Funding Mortgage Trust, Series 2021-HB5, Class A, 0.801% 2/25/20311,3,5 5,940 5,724
Cascade Funding Mortgage Trust, Series 2021-HB7, Class A, 1.151% 10/27/20311,3,5 20,512 19,265
Cascade Funding Mortgage Trust, Series 2021-HB7, Class M1, 2.125% 10/27/20311,3,5 527 484
Cascade Funding Mortgage Trust, Series 2021-HB6, Class A, 0.898% 6/25/20361,3,5 69,325 65,614
Cascade Funding Mortgage Trust, Series 2018-RM2, Class A, 4.00% 10/25/20681,3,5 6,681 6,434
CFCRE Commercial Mortgage Trust, Series 2016-C7, Class A2, 3.585% 12/10/20541 2,550 2,379
Chase Mortgage Finance Corp., Series 2019-ATR2, Class A3, 3.50% 7/25/20491,3,5 276 248
CIM Trust, Series 2018-R3, Class A1, 5.00% 12/25/20571,3,5 4,356 4,259
CIM Trust, Series 2022-R2, Class A1, 3.75% 12/25/20611,3,5 43,509 40,979
Citigroup Mortgage Loan Trust, Series 2020-EXP1, Class A1A, 1.804% 5/25/20601,3,5 2,006 1,842
Citigroup Mortgage Loan Trust, Series 2018-RP1, Class M1, 3.00% 9/25/20641,3,5 10,000 8,908
COLT Mortgage Loan Trust, Series 2020-2, Class A1, 1.853% 3/25/20651,5 179 175
COLT Mortgage Loan Trust, Series 2021-5, Class A1, 1.726% 11/26/20661,3,5 1,975 1,622
Connecticut Avenue Securities Trust, Series 2014-C04, Class 1M2,
(1-month USD-LIBOR + 4.90%) 8.916% 11/25/20241,3
1,096 1,126
Connecticut Avenue Securities Trust, Series 2021-R01, Class 1M1,
(30-day Average USD-SOFR + 0.75%) 4.271% 10/25/20411,3,5
1,617 1,602
Connecticut Avenue Securities Trust, Series 2021-R03, Class 1M1,
(30-day Average USD-SOFR + 0.85%) 4.371% 12/25/20411,3,5
1,960 1,922
Credit Suisse Mortgage Trust, Series 2020-NET, Class A, 2.257% 8/15/20371,5 4,096 3,665
Credit Suisse Mortgage Trust, Series 2017-RPL3, Class A1, 4.00% 8/1/20571,3,5 5,042 4,561
Credit Suisse Mortgage Trust, Series 2019-RPL1, Class A1A, 3.65% 7/25/20581,3,5 1,688 1,607
Credit Suisse Mortgage Trust, Series 2017-RPL3, Class A1, 2.00% 1/25/20601,3,5 12,486 10,702
Credit Suisse Mortgage Trust, Series 2022-ATH3, Class A1, 9.982% 8/25/20671,3,5 13,923 13,562
CS First Boston Mortgage Securities Corp., Series 2002-30, Class IA1, 7.50% 11/25/20321 71 70
CS First Boston Mortgage Securities Corp., Series 2002-34, Class IA1, 7.50% 12/25/20321 76 77
CS First Boston Mortgage Securities Corp., Series 2003-21, Class VA1, 6.50% 7/25/20331 107 100
Intermediate Bond Fund of America — Page 8 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Collateralized mortgage-backed obligations (privately originated) (continued)
  Principal amount
(000)
Value
(000)
CS First Boston Mortgage Securities Corp., Series 2003-29, Class VA1, 7.00% 12/25/20331 USD111 $108
Finance of America Structured Securities Trust, Series 2019-JR1, Class A, 2.00% 3/25/20691,5 10,644 11,314
Finance of America Structured Securities Trust, Series 2019-JR2, Class A1, 2.00% 6/25/20691,5 14,359 14,945
Finance of America Structured Securities Trust, Series 2019-JR3, Class A, 2.00% 9/25/20691,5 2,083 2,127
Finance of America Structured Securities Trust, Series 2019-JR4, Class A, 2.00% 11/25/20691,5 2,348 2,307
Flagstar Mortgage Trust, Series 2021-8INV, Class A3, 2.50% 9/25/20511,3,5 5,593 4,551
Flagstar Mortgage Trust, Series 2021-10INV, Class A3, 2.50% 10/25/20511,3,5 23,928 19,441
Flagstar Mortgage Trust, Series 2021-11INV, Class A2, 3.00% 11/25/20511,3,5 17,547 14,796
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2014-DN4, Class M3,
(1-month USD-LIBOR + 4.55%) 8.566% 10/25/20241,3
50 51
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2015-DNA3, Class M3,
(1-month USD-LIBOR + 4.70%) 8.716% 4/25/20281,3
1,825 1,883
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2016-DNA1, Class M3,
(1-month USD-LIBOR + 5.55%) 9.566% 7/25/20281,3
12,468 12,991
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2016-DNA2, Class M3,
(1-month USD-LIBOR + 4.65%) 8.666% 10/25/20281,3
676 694
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2021-DNA2, Class M1,
(30-day Average USD-SOFR + 0.80%) 4.321% 8/25/20331,3,5
154 153
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2021-DNA3, Class M1,
(1-month USD-SOFR + 0.75%) 4.271% 10/25/20331,3,5
1,617 1,598
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2021-DNA6, Class M1,
(30-day Average USD-SOFR + 0.80%) 0.80% 10/25/20411,3,5
5,884 5,781
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2022-DNA2, Class M1A,
(30-day Average USD-SOFR + 1.30%) 4.821% 2/25/20421,3,5
2,301 2,259
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2022-DNA3, Class M1A,
(30-day Average USD-SOFR + 2.00%) 5.521% 4/25/20421,3,5
806 796
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2022-DNA4, Class M1A,
(30-day Average USD-SOFR + 2.20%) 5.721% 5/25/20421,3,5
539 536
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2022-DNA5, Class M1A,
(30-day Average USD-SOFR + 2.95%) 6.471% 6/25/20421,3,5
2,253 2,274
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2022-DNA6, Class M1A,
(30-day Average USD-SOFR + 2.15%) 5.671% 9/25/20421,3,5
2,240 2,236
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2020-DNA2, Class M2,
(1-month USD-LIBOR + 1.85%) 5.866% 2/25/20501,3,5
1,445 1,435
Freddie Mac Structured Agency Credit Risk Debt Notes, Series 2020-DNA5, Class M2,
(30-day Average USD-SOFR + 2.80%) 6.321% 10/25/20501,3,5
2,103 2,108
GCAT Trust, Series 2021-NQM6, Class A1, 1.855% 8/25/20661,3,5 31,038 26,228
GS Mortgage-Backed Securities Trust, Series 2020-PJ4, Class A2, 3.00% 1/25/20511,3,5 2,067 1,764
GS Mortgage-Backed Securities Trust, Series 2022-PJ5, Class A4, 2.50% 10/25/20521,3,5 54,685 44,086
Home Partners of America Trust, Series 2021-2, Class A, 1.901% 12/17/20261,5 18,189 15,705
Home Partners of America Trust, Series 2022-1, Class A, 3.93% 4/17/20391,5 21,566 20,207
Home Partners of America Trust, Series 2019-1, Class A, 2.908% 9/17/20391,5 2,773 2,509
HSI Asset Securitization Corp. Trust, Series 2006-OPT2, Class M2, 4.629% 1/25/20361,3 5,491 5,393
Hundred Acre Wood Trust, Series 2021-INV1, Class A9, 2.50% 7/25/20511,3,5 6,991 6,009
Hundred Acre Wood Trust, Series 2021-INV1, Class A3, 2.50% 7/25/20511,3,5 3,378 2,745
Imperial Fund Mortgage Trust, Series 2022-NQM7, Class A1, 7.369% 11/25/20671,5,6 26,327 26,377
JPMorgan Mortgage Trust, Series 2017-3, Class 1A3, 3.50% 8/25/20471,3,5 2,923 2,624
JPMorgan Mortgage Trust, Series 2018-3, Class A1, 3.50% 9/25/20481,3,5 797 703
JPMorgan Mortgage Trust, Series 2019-1, Class A3, 4.00% 5/25/20491,3,5 67 63
Legacy Mortgage Asset Trust, Series 2019-GS7, Class A1, 3.25% 11/25/20591,3,5 12,929 12,689
Legacy Mortgage Asset Trust, Series 2020-GS4, Class A1, 3.25% 2/25/20601,3,5 9,475 9,284
Legacy Mortgage Asset Trust, Series 2022-GS1, Class A1, 4.00% 2/25/2061 (7.00% on 4/25/2025)1,5,6 21,837 20,315
Legacy Mortgage Asset Trust, Series 2021-GS2, Class A1, 1.75% 4/25/20611,3,5 12,334 11,143
Legacy Mortgage Asset Trust, Series 2021-GS5, Class A1, 2.25% 7/25/2067 (5.25% on 11/25/2024)1,5,6 14,410 12,872
Intermediate Bond Fund of America — Page 9 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Collateralized mortgage-backed obligations (privately originated) (continued)
  Principal amount
(000)
Value
(000)
Mello Warehouse Securitization Trust, Series 2021-3, Class A,
(1-month USD-LIBOR + 0.85%) 4.894% 11/25/20551,3,5
USD51,006 $49,296
MetLife Securitization Trust, Series 2018-1A, Class A, 3.75% 3/25/20571,3,5 971 913
MFRA Trust, Series 2020-NQM1, Class A1, 1.479% 3/25/20651,3,5 1,676 1,591
Mill City Mortgage Trust, Series 15-1, Class M3, 3.662% 6/25/20561,3,5 1,448 1,395
Mill City Mortgage Trust, Series 2019-3, Class A1, 3.50% 8/26/20581,3,5 2,321 2,210
Mill City Mortgage Trust, Series 2019-GS1, Class A1, 2.75% 7/25/20591,3,5 329 307
Mill City Mortgage Trust, Series 2019-GS2, Class A1, 2.75% 8/25/20591,3,5 1,587 1,494
Mill City Mortgage Trust, Series 2017-3, Class A1, 2.75% 1/25/20611,3,5 52 50
Mill City Mortgage Trust, Series 2018-1, Class A1, 3.25% 5/25/20621,3,5 283 273
Mill City Mortgage Trust, Series 2019-1, Class A1, 3.25% 10/25/20691,3,5 6,830 6,434
New Residential Mortgage Loan Trust, Series 2016-1A, Class A1, 3.75% 3/25/20561,3,5 758 699
New Residential Mortgage Loan Trust, Series 2018-RPL1, Class A1, 3.50% 12/25/20571,3,5 1,470 1,387
New Residential Mortgage Loan Trust, Series 2018-1A, Class A1A, 4.00% 12/25/20571,3,5 47 45
New Residential Mortgage Loan Trust, Series 2019-2A, Class A1, 4.25% 12/25/20571,3,5 1,987 1,887
New Residential Mortgage Loan Trust, Series 2018-5A, Class A1, 4.75% 12/25/20571,3,5 1,867 1,794
New Residential Mortgage Loan Trust, Series 2019-RPL3, Class A1, 2.75% 7/25/20591,3,5 2,932 2,725
New Residential Mortgage Loan Trust, Series 2020-RPL1, Class A1, 2.75% 11/25/20591,3,5 4,460 4,072
NewRez Warehouse Securitization Trust, Series 2021-1, Class A,
(1-month USD-LIBOR + 0.75%) 4.794% 5/25/20551,3,5
68,234 66,900
NewRez Warehouse Securitization Trust, Series 2021-1, Class B,
(1-month USD-LIBOR + 0.90%) 4.944% 5/25/20551,3,5
1,700 1,659
Onslow Bay Financial Mortgage Loan Trust, Series 2022-J1, Class A2, 2.50% 2/25/20521,3,5 16,187 13,171
Onslow Bay Financial Mortgage Loan Trust, Series 2020-EXP1, Class 2A1B, 4.794% 2/25/20601,3,5 5,186 4,809
Onslow Bay Financial Mortgage Loan Trust, Series 2022-NQM7, Class A1,
5.11% 8/25/2062 (6.11% on 9/1/2026)1,5,6
8,289 8,058
PRKCM Trust, Series 2021-AFC2, Class A1, 2.071% 11/25/20561,3,5 23,065 19,140
Progress Residential Trust, Series 2019-SFR3, Class A, 2.271% 9/17/20361,5 3,564 3,371
Progress Residential Trust, Series 2020-SFR2, Class A, 2.078% 6/18/20371,5 3,920 3,597
Progress Residential Trust, Series 2022-SFR3, Class A, 3.20% 4/17/20391,5 1,617 1,464
Reverse Mortgage Investment Trust, Series 2021-HB1, Class A, 1.259% 11/25/20311,3,5 16,495 15,693
RMF Proprietary Issuance Trust, Series 2019-1, Class A, 2.75% 10/25/20631,3,5 1,080 999
Towd Point Mortgage Trust, Series 2015-4, Class M2, 3.75% 4/25/20551,3,5 3,750 3,630
Towd Point Mortgage Trust, Series 2016-2, Class B2, 3.474% 8/25/20551,3,5 5,800 5,047
Towd Point Mortgage Trust, Series 2016-4, Class M2, 3.75% 7/25/20561,3,5 4,905 4,576
Towd Point Mortgage Trust, Series 2016-5, Class A1, 2.50% 10/25/20561,3,5 918 902
Towd Point Mortgage Trust, Series 2017-1, Class A1, 2.75% 10/25/20561,3,5 146 143
Towd Point Mortgage Trust, Series 2017-5, Class A1, 4.616% 2/25/20571,3,5 908 893
Towd Point Mortgage Trust, Series 2017-2, Class A1, 2.75% 4/25/20571,3,5 169 167
Towd Point Mortgage Trust, Series 2017-2, Class M1, 3.75% 4/25/20571,3,5 7,350 6,962
Towd Point Mortgage Trust, Series 2017-4, Class A1, 2.75% 6/25/20571,3,5 1,148 1,090
Towd Point Mortgage Trust, Series 2017-4, Class M1, 3.25% 6/25/20571,3,5 5,575 4,854
Towd Point Mortgage Trust, Series 2017-3, Class A1, 2.75% 7/25/20571,3,5 1,207 1,176
Towd Point Mortgage Trust, Series 2017-3, Class A2, 3.00% 7/25/20571,3,5 5,709 5,349
Towd Point Mortgage Trust, Series 2017-6, Class A1, 2.75% 10/25/20571,3,5 5,088 4,859
Towd Point Mortgage Trust, Series 2017-6, Class A2, 3.00% 10/25/20571,3,5 7,835 7,081
Towd Point Mortgage Trust, Series 2018-1, Class A1, 3.00% 1/25/20581,3,5 103 99
Towd Point Mortgage Trust, Series 2018-2, Class A1, 3.25% 3/25/20581,3,5 7,411 7,077
Towd Point Mortgage Trust, Series 2019-1, Class A1, 3.75% 3/25/20581,3,5 5,243 4,883
Towd Point Mortgage Trust, Series 2018-3, Class A1, 3.75% 5/25/20581,3,5 2,975 2,807
Towd Point Mortgage Trust, Series 2018-3, Class M2, 3.875% 5/25/20581,3,5 5,935 4,739
Towd Point Mortgage Trust, Series 2019-HY2, Class A1, (1-month USD-LIBOR + 1.00%) 5.044% 5/25/20581,3,5 3,670 3,620
Towd Point Mortgage Trust, Series 2018-4, Class A1, 3.00% 6/25/20581,3,5 8,942 8,173
Towd Point Mortgage Trust, Series 2018-5, Class A1A, 3.25% 7/25/20581,3,5 1,780 1,704
Intermediate Bond Fund of America — Page 10 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Collateralized mortgage-backed obligations (privately originated) (continued)
  Principal amount
(000)
Value
(000)
Towd Point Mortgage Trust, Series 2018-5, Class A1, 3.25% 7/25/20581,3,5 USD1,397 $1,297
Towd Point Mortgage Trust, Series 2019-A2, Class A2, 3.75% 12/25/20581,3,5 5,000 4,248
Towd Point Mortgage Trust, Series 2019-4, Class A2, 3.25% 10/25/20591,3,5 4,785 3,997
Towd Point Mortgage Trust, Series 2020-4, Class A1, 1.75% 10/25/20601,5 10,237 9,062
Tricon American Homes Trust, Series 2020-SFR2, Class A, 1.482% 11/17/20391,5 6,654 5,531
Tricon Residential Trust, Series 2021-SFR1, Class A, 1.943% 7/17/20381,5 22,756 19,852
Verus Securitization Trust, Series 2020-2, Class A1, 2.226% 5/25/20601,3,5 608 584
      984,186
Commercial mortgage-backed securities 3.59%      
3650R Commercial Mortgage Trust, Series 2022-PF2, Class A5, 5.289% 11/15/20551,3 3,412 3,432
AMSR Trust, Series 2019-SFR1, Class A, 2.774% 1/19/20391,5 3,500 3,150
Arbor Multi Family Mortgage Securities Trust, Series 2020-MF1, Class A5, 2.756% 5/15/20531,5 1,500 1,274
Banc of America Commercial Mortgage, Inc., Series 2015-UBS7, Class A4, 3.705% 9/15/20481 3,750 3,545
Bank Commercial Mortgage Trust, Series 2022-BNK44, Class A5, 5.746% 10/15/20321,3 6,000 6,341
Bank Commercial Mortgage Trust, Series 2022-BNK43, Class A5, 4.399% 8/15/20551 2,476 2,361
Bank Commercial Mortgage Trust, Series 2020-BN26, Class A4, 2.403% 3/15/20631 2,157 1,810
Bank Commercial Mortgage Trust, Series 2022-BNK40, Class A4, 3.394% 3/15/20641,3 10,201 9,002
Bank of America Merrill Lynch Large Loan, Inc., Series 2015-200P, Class A, 3.218% 4/14/20331,5 10,896 10,087
Barclays Commercial Mortgage Securities, LLC, Series 2022-C17, Class A5, 4.441% 9/15/20551 9,497 9,052
Benchmark Mortgage Trust, Series 2018-B2, Class A4, 3.615% 2/15/20511 3,500 3,246
Benchmark Mortgage Trust, Series 2018-B3, Class A5, 4.025% 4/10/20511 2,500 2,359
Benchmark Mortgage Trust, Series 2020-B17, Class A5, 2.289% 3/15/20531 2,202 1,830
Benchmark Mortgage Trust, Series 2018-B7, Class A3, 4.241% 5/15/20531 2,200 2,082
Benchmark Mortgage Trust, Series 2022-B32, Class A5, 3.002% 1/15/20551 1,000 851
Benchmark Mortgage Trust, Series 2022-B33, Class A5, 3.458% 3/15/20551 3,000 2,671
Benchmark Mortgage Trust, Series 2022-B35, Class A5, 4.445% 5/15/20551,3 17,838 17,139
Benchmark Mortgage Trust, Series 2022-B36, Class A5, 4.47% 7/15/20551,3 4,895 4,690
Benchmark Mortgage Trust, Series 2022-B37, Class A5, 5.943% 11/15/20551,3 4,522 4,810
Benchmark Mortgage Trust, Series 2019-B13, Class A4, 2.952% 8/15/20571 1,650 1,446
BMO Mortgage Trust, Series 2022-C1, Class A5, 3.374% 2/15/20551 833 727
BOCA Commercial Mortgage Trust, Series 2022-BOCA, Class A,
(1-month USD CME Term SOFR + 1.77%) 5.564% 5/15/20391,3,5
17,453 16,938
BPR Trust, Series 2022-OANA, Class A, (1-month USD CME Term SOFR + 1.898%) 5.692% 4/15/20371,3,5 33,026 32,214
BX Trust, Series 2022-CSMO, Class A, (1-month USD CME Term SOFR + 2.115%) 5.909% 6/15/20271,3,5 27,203 26,975
BX Trust, Series 2021-SDMF, Class A, (1-month USD-LIBOR + 0.589%) 4.462% 9/15/20341,3,5 41,644 39,753
BX Trust, Series 2018-GW, Class A, (1-month USD-LIBOR + 0.80%) 4.675% 5/15/20351,3,5 1,684 1,633
BX Trust, Series 2021-VOLT, Class A, (1-month USD-LIBOR + 0.70%) 4.575% 9/15/20361,3,5 52,563 50,390
BX Trust, Series 2021-VOLT, Class B, (1-month USD-LIBOR + 0.95%) 4.825% 9/15/20361,3,5 5,089 4,767
BX Trust, Series 2021-ARIA, Class A, (1-month USD-LIBOR + 0.899%) 4.774% 10/15/20361,3,5 48,790 45,898
BX Trust, Series 2022-IND, Class A, (1-month USD CME Term SOFR + 1.491%) 5.285% 4/15/20371,3,5 14,828 14,436
BX Trust, Series 2021-SOAR, Class A, (1-month USD-LIBOR + 0.67%) 4.545% 6/15/20381,3,5 30,773 29,508
BX Trust, Series 2021-SOAR, Class B, (1-month USD-LIBOR + 0.87%) 4.745% 6/15/20381,3,5 6,077 5,783
BX Trust, Series 2021-SOAR, Class C, (1-month USD-LIBOR + 1.10%) 4.975% 6/15/20381,3,5 3,049 2,880
BX Trust, Series 2021-ACNT, Class A, (1-month USD-LIBOR + 0.85%) 4.725% 11/15/20381,3,5 14,011 13,459
BX Trust, Series 2022-AHP, Class A, (1-month USD CME Term SOFR + 0.99%) 4.784% 2/15/20391,3,5 10,000 9,575
BX Trust, Series 2022-PSB, Class A, (1-month USD CME Term SOFR + 2.451%) 6.245% 8/15/20391,3,5 9,588 9,517
BXP Trust, Series 2017-GM, Class A, 3.379% 6/13/20391,5 8,755 7,858
CD Commercial Mortgage Trust, Series 2017-CD6, Class A5, 3.456% 11/13/20501 8,609 8,000
Citigroup Commercial Mortgage Trust, Series 2012-GC8, Class B, 4.285% 9/10/20451,5 138 135
Citigroup Commercial Mortgage Trust, Series 2014-GC21, Class B, 4.328% 5/10/20471,3 1,500 1,405
Citigroup Commercial Mortgage Trust, Series 2014-GC23, Class A4, 3.622% 7/10/20471 1,600 1,544
Citigroup Commercial Mortgage Trust, Series 2017-B1, Class A3, 3.197% 8/15/20501 8,626 7,860
Citigroup Commercial Mortgage Trust, Series 2017-C4, Class A4, 3.471% 10/12/20501 5,000 4,619
Intermediate Bond Fund of America — Page 11 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Commercial mortgage-backed securities (continued)
  Principal amount
(000)
Value
(000)
Citigroup Commercial Mortgage Trust, Series 2015-GC33, Class A3, 3.515% 9/10/20581 USD12,113 $11,514
Commercial Mortgage Trust, Series 2012-CR3, Class AM, 3.416% 10/15/20451,5 1,000 905
Commercial Mortgage Trust, Series 2013-CR6, Class B, 3.397% 3/10/20461,5 2,250 2,230
Commercial Mortgage Trust, Series 2013-CR7, Class C, 4.21% 3/10/20461,3,5 3,740 3,650
Commercial Mortgage Trust, Series 2014-CR16, Class A3, 3.775% 4/10/20471 1,921 1,871
Commercial Mortgage Trust, Series 2014-CR18, Class A5, 3.828% 7/15/20471 2,500 2,418
Commercial Mortgage Trust, Series 2014-LC17, Class B, 4.49% 10/10/20471,3 3,000 2,853
Commercial Mortgage Trust, Series 2014-CR20, Class A4, 3.59% 11/10/20471 1,821 1,754
Commercial Mortgage Trust, Series 2016-COR1, Class A4, 3.091% 10/10/20491 5,975 5,440
Commercial Mortgage Trust, Series 2015-PC1, Class A4, 3.62% 7/10/20501 3,609 3,473
Commercial Mortgage Trust, Series 2013-CR11, Class B, 5.276% 8/10/20501,3 1,000 978
Commercial Mortgage Trust, Series 2017-COR2, Class A2, 3.239% 9/10/20501 851 782
CSAIL Commercial Mortgage Trust, Series 2015-C4, Class C, 4.71% 11/18/20481,3 138 124
CSAIL Commercial Mortgage Trust, Series 2017-CX9, Class A4, 3.176% 9/15/20501 2,375 2,193
CSAIL Commercial Mortgage Trust, Series 2019-C17, Class A5, 3.016% 9/15/20521 3,000 2,583
CSAIL Commercial Mortgage Trust, Series 2015-C2, Class A3, 3.231% 6/15/20571 2,760 2,617
Deutsche Bank Commercial Mortgage Trust, Series 2016-C1, Class AM, 3.539% 5/10/20491 150 137
Ellington Financial Mortgage Trust, Series 2020-1, Class A1, 2.006% 5/25/20651,3,5 584 565
Extended Stay America Trust, Series 2021-ESH, Class A, (1-month USD-LIBOR + 1.08%) 4.955% 7/15/20381,3,5 17,540 16,900
Extended Stay America Trust, Series 2021-ESH, Class B, (1-month USD-LIBOR + 1.38%) 5.256% 7/15/20381,3,5 2,806 2,671
Grace Mortgage Trust, Series 2020-GRCE, Class A, 2.347% 12/10/20401,5 11,935 9,238
GS Mortgage Securities Trust, Series 2022-SHIP, Class A,
(1-month USD CME Term SOFR + 0.731%) 4.525% 8/15/20241,3,5
9,715 9,527
GS Mortgage Securities Trust, Series 2018-HULA, Class A, 4.795% 7/15/20251,3,5 13,173 12,761
GS Mortgage Securities Trust, Series 2013-GC10, Class B, 3.682% 2/10/20461,5 3,220 3,213
GS Mortgage Securities Trust, Series 2013-GC12, Class A4, 3.135% 6/10/20461 3,000 2,963
GS Mortgage Securities Trust, Series 2013-GC12, Class B, 3.777% 6/10/20461,3 2,100 2,065
GS Mortgage Securities Trust, Series 2016-GS4, Class A3, 3.178% 11/10/20491 2,581 2,380
GS Mortgage Securities Trust, Series 2020-GC47, Class A5, 2.377% 5/12/20531 1,809 1,497
Hawaii Hotel Trust, Series 2019-MAUI, Class A, (1-month USD-LIBOR + 1.15%) 5.023% 5/17/20381,3,5 29,000 28,051
Hilton USA Trust, Series 2016-HHV, Class A, 3.719% 11/5/20381,5 795 726
JPMBB Commercial Mortgage Securities Trust, Series 2013-C15, Class B, 4.927% 11/15/20451,3 5,000 4,893
JPMBB Commercial Mortgage Securities Trust, Series 2014-C19, Class A4, 3.997% 4/15/20471 5,687 5,541
JPMBB Commercial Mortgage Securities Trust, Series 2014-C26, Class B, 3.951% 1/15/20481 5,333 4,895
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2022-OPO, Class A, 3.024% 1/5/20391,5 14,140 12,184
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2022-OPO, Class C, 3.377% 1/5/20391,5 1,735 1,425
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2021-410T, Class A, 2.287% 3/5/20421,5 16,514 13,602
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2013-C10, Class B, 3.674% 12/15/20471,3 2,000 1,947
JPMorgan Chase Commercial Mortgage Securities Trust, Series 2013-C10, Class C, 4.353% 12/15/20471,3 1,750 1,660
La Quinta Mortgage Trust, Series 2022-LAQ, Class A,
(1-month USD CME Term SOFR + 1.724%) 5.535% 3/15/20391,3,5
6,704 6,534
LUXE Commercial Mortgage Trust, Series 2021-TRIP, Class A,
(1-month USD-LIBOR + 1.05%) 4.925% 10/15/20381,3,5
10,977 10,430
Manhattan West Mortgage Trust, Series 2020-1MW, Class A, 2.13% 9/10/20391,5 19,418 16,723
MHC Commercial Mortgage Trust, CMO, Series 2021-MHC, Class A,
(1-month USD-LIBOR + 0.801%) 4.676% 4/15/20261,3,5
18,624 18,000
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C9, Class A4, 3.102% 5/15/20461 2,000 1,979
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C9, Class B, 3.708% 5/15/20461,3 3,032 2,965
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C11, Class A4, 4.345% 8/15/20461,3 8,085 7,964
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C12, Class A4, 4.259% 10/15/20461,3 12,000 11,839
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C13, Class A-4, 4.039% 11/15/20461 4,000 3,910
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C22, Class A4, 4.051% 4/15/20471 750 734
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C16, Class A4, 3.60% 6/15/20471 753 733
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C17, Class A5, 3.741% 8/15/20471 3,000 2,899
Intermediate Bond Fund of America — Page 12 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Mortgage-backed obligations (continued)
Commercial mortgage-backed securities (continued)
  Principal amount
(000)
Value
(000)
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C27, Class A4, 3.753% 12/15/20471 USD1,500 $1,425
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C19, Class B, 4.00% 12/15/20471,3 2,910 2,699
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C21, Class A4, 3.338% 3/15/20481 14,000 13,237
Morgan Stanley Capital I Trust, Series 2015-UBS8, Class AS, 4.114% 12/15/20481 400 367
Morgan Stanley Capital I Trust, Series 2016-UBS9, Class C, 4.748% 3/15/20491,3 138 118
One Market Plaza Trust, Series 2017-1MKT, Class A, 3.614% 2/10/20321,5 10,935 10,503
One Market Plaza Trust, Series 2017-1MKT, Class C, 4.016% 2/10/20321,5 1,164 1,096
SLG Office Trust, Series 2021-OVA, Class A, 2.585% 7/15/20411,5 1,408 1,139
SREIT Trust, Series 2021-FLWR, Class A, (1-month USD-LIBOR + 0.577%) 4.452% 7/15/20361,3,5 14,480 13,866
SREIT Trust, Series 2021-MFP, Class A, (1-month USD-LIBOR + 0.731%) 4.606% 11/15/20381,3,5 37,502 35,897
StorageMart Commercial Mortgage Trust, Series 2022-MINI, Class A,
(1-month USD CME Term SOFR + 1.00%) 4.794% 1/15/20391,3,5
32,592 31,324
Wells Fargo Commercial Mortgage Trust, Series 2014-LC18, Class A5, 3.405% 12/15/20471 800 761
Wells Fargo Commercial Mortgage Trust, Series 2015-C28, Class A4, 3.54% 5/15/20481 3,000 2,861
Wells Fargo Commercial Mortgage Trust, Series 2015-C28, Class C, 4.219% 5/15/20481,3 138 123
Wells Fargo Commercial Mortgage Trust, Series 2015-C31, Class A4, 3.695% 11/15/20481 4,000 3,792
Wells Fargo Commercial Mortgage Trust, Series 2016-C34, Class A4, 3.096% 6/15/20491 15,455 14,274
Wells Fargo Commercial Mortgage Trust, Series 2014-LC16, Class A5, 3.817% 8/15/20501 4,000 3,874
Wells Fargo Commercial Mortgage Trust, Series 2018-C46, Class A3, 3.888% 8/15/20511 11,000 10,384
Wells Fargo Commercial Mortgage Trust, Series 2015-NXS3, Class D, 3.153% 9/15/20571,5 1,000 825
Wells Fargo Commercial Mortgage Trust, Series 2015-NXS3, Class B, 4.647% 9/17/20571,3 2,250 2,106
Wells Fargo Commercial Mortgage Trust, Series 2015-LC22, Class C, 4.708% 9/15/20581,3 1,690 1,560
Wells Fargo Commercial Mortgage Trust, Series 2016-C33, Class A4, 3.426% 3/15/20591 1,000 937
Wells Fargo Commercial Mortgage Trust, Series 2016-C36, Class A4, 3.065% 11/15/20591 5,000 4,552
WF-RBS Commercial Mortgage Trust, Series 2013-C13, Class B, 3.553% 5/15/20451 1,250 1,222
WF-RBS Commercial Mortgage Trust, Series 2013-C16, Class B, 5.148% 9/15/20461,3 3,250 3,091
WF-RBS Commercial Mortgage Trust, Series 2014-C19, Class B, 4.723% 3/15/20471,3 4,900 4,673
WF-RBS Commercial Mortgage Trust, Series 2014-C25, Class A5, 3.631% 11/15/20471 1,500 1,437
WF-RBS Commercial Mortgage Trust, Series 2013-C12, Class B, 3.863% 3/15/20481,3 2,750 2,722
WF-RBS Commercial Mortgage Trust, Series 2014-C22, Class A4, 3.488% 9/15/20571 8,282 7,957
WMRK Commercial Mortgage Trust, Series 2022-WMRK, Class A,
(1-month USD CME Term SOFR + 2.789%) 6.289% 11/15/20271,3,5
19,755 19,714
      894,524
Total mortgage-backed obligations     7,640,670
U.S. Treasury bonds & notes 28.68%
U.S. Treasury 15.19%
     
U.S. Treasury 7.125% 2/15/20237 15,000 15,090
U.S. Treasury 1.50% 2/28/2023 13,900 13,800
U.S. Treasury 0.125% 4/30/2023 12,000 11,782
U.S. Treasury 0.125% 6/30/2023 17,200 16,754
U.S. Treasury 0.125% 8/31/2023 100,000 96,664
U.S. Treasury 1.375% 9/30/2023 13,750 13,376
U.S. Treasury 0.375% 10/31/2023 9,000 8,651
U.S. Treasury 0.50% 11/30/2023 143,951 138,047
U.S. Treasury 0.125% 12/15/2023 69,867 66,633
U.S. Treasury 2.25% 12/31/2023 4,855 4,729
U.S. Treasury 0.875% 1/31/2024 14,500 13,884
U.S. Treasury 0.25% 3/15/2024 300,000 283,709
U.S. Treasury 2.25% 3/31/2024 9,341 9,057
U.S. Treasury 0.375% 4/15/2024 100,000 94,422
U.S. Treasury 0.375% 7/15/2024 60,000 56,170
U.S. Treasury 3.00% 7/31/2024 33,000 32,228
Intermediate Bond Fund of America — Page 13 of 40

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 3.25% 8/31/2024 USD355,069 $347,995
U.S. Treasury 1.50% 9/30/2024 15,000 14,236
U.S. Treasury 2.125% 9/30/2024 25,250 24,251
U.S. Treasury 4.25% 9/30/2024 8,916 8,892
U.S. Treasury 0.625% 10/15/2024 42,560 39,714
U.S. Treasury 1.50% 10/31/2024 175,000 165,900
U.S. Treasury 4.50% 11/30/2024 26,639 26,727
U.S. Treasury 1.125% 1/15/2025 29,035 27,175
U.S. Treasury 1.50% 2/15/2025 50,593 47,636
U.S. Treasury 2.625% 4/15/2025 11,357 10,947
U.S. Treasury 2.875% 6/15/2025 29,794 28,888
U.S. Treasury 3.00% 7/15/2025 1,800 1,749
U.S. Treasury 3.125% 8/15/2025 37,400 36,449
U.S. Treasury 3.50% 9/15/2025 22,938 22,582
U.S. Treasury 4.25% 10/15/2025 53,431 53,650
U.S. Treasury 4.50% 11/15/2025 242,410 245,221
U.S. Treasury 0.375% 1/31/2026 3,750 3,346
U.S. Treasury 0.50% 2/28/2026 12,700 11,347
U.S. Treasury 0.75% 3/31/2026 95,000 85,496
U.S. Treasury 0.75% 5/31/2026 5,222 4,673
U.S. Treasury 0.875% 6/30/2026 13,662 12,257
U.S. Treasury 0.625% 7/31/2026 8,708 7,722
U.S. Treasury 0.75% 8/31/2026 14,981 13,319
U.S. Treasury 0.875% 9/30/2026 12,691 11,315
U.S. Treasury 1.50% 1/31/2027 19,000 17,258
U.S. Treasury 0.625% 3/31/2027 72,500 63,188
U.S. Treasury 2.50% 3/31/2027 18,694 17,672
U.S. Treasury 3.25% 6/30/2027 35,357 34,473
U.S. Treasury 2.75% 7/31/2027 189,000 180,286
U.S. Treasury 0.50% 8/31/2027 11,000 9,418
U.S. Treasury 3.125% 8/31/2027 3,500 3,397
U.S. Treasury 4.125% 9/30/20277 517,942 524,781
U.S. Treasury 4.125% 10/31/2027 36,509 37,011
U.S. Treasury 3.875% 11/30/2027 231,755 232,801
U.S. Treasury 0.75% 1/31/2028 1,261 1,081
U.S. Treasury 1.25% 3/31/2028 2,800 2,458
U.S. Treasury 1.25% 5/31/2028 4,300 3,761
U.S. Treasury 1.25% 6/30/2028 16,000 13,966
U.S. Treasury 1.00% 7/31/2028 2 2
U.S. Treasury 1.125% 8/31/2028 18,000 15,542
U.S. Treasury 1.50% 11/30/2028 12,210 10,725
U.S. Treasury 1.375% 12/31/2028 5,000 4,361
U.S. Treasury 1.75% 1/31/2029 15,000 13,340
U.S. Treasury 3.875% 9/30/2029 25,972 26,188
U.S. Treasury 3.875% 11/30/2029 76,272 77,013
U.S. Treasury 0.625% 5/15/2030 23,000 18,515
U.S. Treasury 1.625% 5/15/2031 35,940 30,786
U.S. Treasury 1.25% 8/15/2031 13,370 11,030
U.S. Treasury 1.875% 2/15/2032 10,000 8,628
U.S. Treasury 2.875% 5/15/2032 41,343 38,806
U.S. Treasury 2.75% 8/15/2032 1,500 1,391
U.S. Treasury 4.125% 11/15/2032 166,759 173,489
U.S. Treasury 4.25% 5/15/2039 14,330 15,139
U.S. Treasury 1.375% 11/15/2040 1,970 1,310
Intermediate Bond Fund of America — Page 14 of 40

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 1.875% 2/15/2041 USD1,455 $1,055
U.S. Treasury 2.25% 5/15/2041 355 273
U.S. Treasury 3.375% 8/15/2042 4,432 4,063
U.S. Treasury 2.50% 2/15/2046 19,500 14,980
U.S. Treasury 2.50% 5/15/20467 37,000 28,368
U.S. Treasury 2.875% 11/15/20467 13,500 11,126
U.S. Treasury 1.875% 2/15/2051 1,156 764
U.S. Treasury 2.375% 5/15/2051 2,056 1,533
U.S. Treasury 3.00% 8/15/2052 1,973 1,693
U.S. Treasury 4.00% 11/15/2052 622 648
      3,778,800
U.S. Treasury inflation-protected securities 13.49%      
U.S. Treasury Inflation-Protected Security 0.125% 1/15/20238 281,295 280,964
U.S. Treasury Inflation-Protected Security 0.625% 4/15/20238 710,147 704,648
U.S. Treasury Inflation-Protected Security 0.375% 7/15/20238 282,933 279,937
U.S. Treasury Inflation-Protected Security 0.625% 1/15/20248 141,106 138,514
U.S. Treasury Inflation-Protected Security 0.50% 4/15/20248 137,729 134,447
U.S. Treasury Inflation-Protected Security 0.125% 7/15/20248 286,098 278,025
U.S. Treasury Inflation-Protected Security 0.125% 10/15/20248 449,910 435,740
U.S. Treasury Inflation-Protected Security 0.25% 1/15/20258 114,904 111,042
U.S. Treasury Inflation-Protected Security 0.125% 4/15/20258 124,437 119,487
U.S. Treasury Inflation-Protected Security 0.125% 4/15/20268 226,225 214,911
U.S. Treasury Inflation-Protected Security 0.125% 4/15/20278 45,694 43,154
U.S. Treasury Inflation-Protected Security 1.625% 10/15/20278 267,863 271,714
U.S. Treasury Inflation-Protected Security 0.125% 1/15/20317,8 193,817 175,901
U.S. Treasury Inflation-Protected Security 0.625% 7/15/20328 19,714 18,581
U.S. Treasury Inflation-Protected Security 2.125% 2/15/20418 1,477 1,604
U.S. Treasury Inflation-Protected Security 0.75% 2/15/20427,8 172,238 148,463
      3,357,132
Total U.S. Treasury bonds & notes     7,135,932
Corporate bonds, notes & loans 19.20%
Financials 6.27%
     
AerCap Ireland Capital DAC 1.65% 10/29/2024 1,250 1,151
AerCap Ireland Capital DAC 2.45% 10/29/2026 33,108 29,128
AerCap Ireland Capital DAC 3.00% 10/29/2028 15,592 13,185
AerCap Ireland Capital DAC 3.30% 1/30/2032 3,166 2,525
AerCap Ireland Capital, Ltd. / AerCap Global Aviation Trust 1.15% 10/29/2023 1,800 1,720
AIB Group PLC 7.583% 10/14/2026 (USD-SOFR + 3.456% on 10/14/2025)5,6 15,650 15,881
Allstate Corp. 0.75% 12/15/2025 6,899 6,106
American Express Co. 1.65% 11/4/2026 18,400 16,366
American Express Co. 2.55% 3/4/2027 875 796
American Express Co. 5.85% 11/5/2027 8,575 8,908
American Express Co. 4.05% 5/3/2029 10,000 9,554
Aon Corp. 2.85% 5/28/2027 10,775 9,904
Australia & New Zealand Banking Group, Ltd. 5.088% 12/8/2025 25,636 25,862
Banco Santander, SA 5.147% 8/18/2025 6,600 6,563
Bank of America Corp. 3.55% 3/5/2024 (3-month USD-LIBOR + 0.78% on 3/5/2023)6 2,549 2,536
Bank of America Corp. 1.843% 2/4/2025 (USD-SOFR + 0.67% on 2/4/2024)6 14,450 13,804
Bank of America Corp. 0.976% 4/22/2025 (USD-SOFR + 0.69% on 4/22/2024)6 845 790
Bank of America Corp. 2.456% 10/22/2025 (3-month USD-LIBOR + 0.87% on 10/22/2024)6 13,274 12,498
Bank of America Corp. 1.53% 12/6/2025 (USD-SOFR + 0.65% on 12/6/2024)6 38,750 35,603
Intermediate Bond Fund of America — Page 15 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
Bank of America Corp. 1.319% 6/19/2026 (USD-SOFR + 1.15% on 6/19/2025)6 USD1,900 $1,715
Bank of America Corp. 4.827% 7/22/2026 (USD-SOFR + 1.75% on 7/22/2025)6 10,700 10,565
Bank of America Corp. 1.734% 7/22/2027 (USD-SOFR + 0.96% on 7/22/2026)6 13,975 12,254
Bank of America Corp. 2.551% 2/4/2028 (USD-SOFR + 1.05% on 2/4/2027)6 20,775 18,599
Bank of America Corp. 4.376% 4/27/2028 (USD-SOFR + 1.58% on 4/27/2027)6 9,000 8,647
Bank of America Corp. 4.948% 7/22/2028 (USD-SOFR + 2.04% on 7/22/2027)6 650 638
Bank of America Corp. 2.087% 6/14/2029 (USD-SOFR + 1.06% on 6/14/2028)6 600 507
Bank of America Corp. 1.922% 10/24/2031 (USD-SOFR + 1.37% on 10/24/2030)6 4,207 3,263
Bank of America Corp. 5.015% 7/22/2033 (USD-SOFR + 2.16% on 7/22/2032)6 7,299 7,052
Bank of America Corp. 2.676% 6/19/2041 (USD-SOFR + 1.93% on 6/19/2040)6 5,000 3,494
Bank of Ireland Group PLC 6.253% 9/16/2026
(1-year UST Yield Curve Rate T Note Constant Maturity + 2.65% on 9/16/2025)5,6
10,800 10,589
Bank of New York Mellon Corp. 1.60% 4/24/2025 28,000 26,020
Bank of New York Mellon Corp. 5.802% 10/25/2028 (USD-SOFR + 1.802% on 10/25/2027)3 600 623
Bank of Nova Scotia 1.45% 1/10/2025 17,000 15,841
Bank of Nova Scotia 1.35% 6/24/2026 15,000 13,347
Berkshire Hathaway, Inc. 2.30% 3/15/2027 850 792
Berkshire Hathaway, Inc. 2.875% 3/15/2032 462 408
BNP Paribas SA 1.323% 1/13/2027 (USD-SOFR + 1.004% on 1/13/2026)5,6 7,410 6,440
BNP Paribas SA 2.591% 1/20/2028 (USD-SOFR + 1.228% on 1/20/2027)5,6 5,976 5,228
BNP Paribas SA 2.159% 9/15/2029 (USD-SOFR + 1.218% on 9/15/2028)5,6 5,325 4,325
BNP Paribas SA 3.052% 1/13/2031 (USD-SOFR + 1.507% on 1/13/2030)5,6 2,278 1,891
BNP Paribas SA 2.871% 4/19/2032 (USD-SOFR + 1.387% on 4/19/2031)5,6 600 474
Capital One Financial Corp. 4.927% 5/10/2028 (USD-SOFR + 2.057% on 5/10/2027)6 12,000 11,523
Charles Schwab Corp. 1.15% 5/13/2026 1,675 1,492
Charles Schwab Corp. 2.45% 3/3/2027 875 804
Citigroup, Inc. 1.281% 11/3/2025 (USD-SOFR + 0.528% on 11/3/2024)6 616 565
Citigroup, Inc. 2.014% 1/25/2026 (USD-SOFR + 0.694% on 1/25/2025)6 15,975 14,837
Citigroup, Inc. 1.462% 6/9/2027 (USD-SOFR + 0.67% on 6/9/2026)6 700 610
Citigroup, Inc. 4.658% 5/24/2028 (USD-SOFR + 1.887% on 5/24/2027)6 10,895 10,613
Citigroup, Inc. 2.572% 6/3/2031 (USD-SOFR + 2.107% on 6/3/2030)6 4,979 4,086
Citigroup, Inc. 4.91% 5/24/2033 (USD-SOFR + 2.086% on 5/24/2032)6 1,511 1,440
Corebridge Financial, Inc. 3.50% 4/4/20255 8,458 8,105
Corebridge Financial, Inc. 3.65% 4/5/20275 32,226 30,183
Corebridge Financial, Inc. 3.85% 4/5/20295 454 414
Corebridge Financial, Inc. 3.90% 4/5/20325 281 248
Crédit Agricole SA 4.375% 3/17/20255 3,025 2,913
Credit Suisse Group AG 3.80% 6/9/2023 10,000 9,576
Credit Suisse Group AG 2.997% 12/14/2023 (3-month USD-LIBOR + 1.20% on 12/14/2022)5,6 21,863 21,645
Credit Suisse Group AG 3.091% 5/14/2032 (USD-SOFR + 1.73% on 5/14/2031)5,6 5,290 3,609
Danske Bank AS 3.875% 9/12/20235 15,000 14,784
Deutsche Bank AG 2.311% 11/16/2027 (USD-SOFR + 1.219% on 11/16/2026)6 928 776
Deutsche Bank AG 2.552% 1/7/2028 (USD-SOFR + 1.318% on 1/7/2027)6 5,000 4,200
DNB Bank ASA 1.127% 9/16/2026
(1-year UST Yield Curve Rate T Note Constant Maturity + 0.85% on 9/16/2025)5,6
6,500 5,719
DNB Bank ASA 5.896% 10/9/2026 (USD-SOFR + 1.95% on 10/9/2025)3,5 15,850 15,851
DNB Bank ASA 1.535% 5/25/2027
(5-year UST Yield Curve Rate T Note Constant Maturity + 0.72% on 5/25/2026)5,6
12,150 10,604
Goldman Sachs Group, Inc. 0.657% 9/10/2024 (USD-SOFR + 0.505% on 9/10/2023)6 1,205 1,155
Goldman Sachs Group, Inc. 5.70% 11/1/2024 19,175 19,414
Goldman Sachs Group, Inc. 1.757% 1/24/2025 (USD-SOFR + 0.73% on 1/24/2024)6 11,700 11,155
Goldman Sachs Group, Inc. 3.50% 4/1/2025 1,433 1,387
Goldman Sachs Group, Inc. 1.093% 12/9/2026 (USD-SOFR + 0.789% on 12/9/2025)6 15,500 13,661
Goldman Sachs Group, Inc. 1.431% 3/9/2027 (USD-SOFR + 0.795% on 3/9/2026)6 20,000 17,595
Intermediate Bond Fund of America — Page 16 of 40

unaudited
Bonds, notes & other debt instruments (continued)
Corporate bonds, notes & loans (continued)
Financials (continued)
  Principal amount
(000)
Value
(000)
Goldman Sachs Group, Inc. 1.948% 10/21/2027 (USD-SOFR + 0.913% on 10/21/2026)6 USD6,657 $5,831
Goldman Sachs Group, Inc. 2.64% 2/24/2028 (USD-SOFR + 1.114% on 2/24/2027)6 9,667 8,631
Goldman Sachs Group, Inc. 3.615% 3/15/2028 (USD-SOFR + 1.846% on 3/15/2027)6 575 535
Goldman Sachs Group, Inc. 2.60% 2/7/2030 1,000 838
Goldman Sachs Group, Inc. 2.615% 4/22/2032 (USD-SOFR + 1.281% on 4/22/2031)6 4,466 3,613
Goldman Sachs Group, Inc. 3.102% 2/24/2033 (USD-SOFR + 1.41% on 2/24/2032)6 2,088 1,736
Groupe BPCE SA 5.15% 7/21/20245 7,545 7,402
Groupe BPCE SA 1.625% 1/14/20255 12,000 11,151
Groupe BPCE SA 1.00% 1/20/20265 24,000 21,090
Groupe BPCE SA 1.652% 10/6/2026 (USD-SOFR + 1.52% on 10/6/2025)5,6 17,025 14,992
Groupe BPCE SA 2.045% 10/19/2027 (USD-SOFR + 1.087% on 10/19/2026)5,6 250 214
Groupe BPCE SA 2.277% 1/20/2032 (USD-SOFR + 1.312% on 1/20/2031)5,6 1,267 946
Guardian Life Global Funding 2.90% 5/6/20245 21,285 20,682
Guardian Life Global Funding 0.875% 12/10/20255 14,800 13,103
Guardian Life Global Funding 1.25% 11/19/20275 925 780
HSBC Holdings PLC 0.732% 8/17/2024 (USD-SOFR + 0.534% on 8/17/2023)6 1,285 1,230
HSBC Holdings PLC 2.633% 11/7/2025 (3-month USD-LIBOR + 1.14% on 11/7/2024)6 12,550 11,672