American Beacon Money Market Select Fund

Fund information as of June 30, 2008


Fund Overview
Total Portfolio Assets1: $12.7 Billion
           
           
Inception Date 12/31/99        
Class Assets $8.4 Billion        
Fund NAV $1.00        
CUSIP 02368W101        
Trading Symbol ASRXX        
Investment Minimum $25 Million        
1American Beacon Master Money Market Portfolio
 
Investment Advisor
 
American Beacon Advisors, Inc. 100%
 
Order Deadlines2
 
Purchases - 4:00pm CT / 5:00pm ET  
Redemptions3- 2:00pm CT / 3:00pm ET  
2Or such other time as may be designated by the Fund
3 Orders placed by the deadline will generally be transmitted to shareholders on the same day
 
Expense Ratios
 
Gross Expense Ratio 0.12%        
Net Expense Ratio1 0.11%        
1The net expense ratio is net of acquired fund fees and expenses that the Fund incurred indirectly as a result of investment in certain pooled investment vehicles.
 
 
Investment Objective

A Fund seeking current income, liquidity and the maintenance of a stable $1.00 net asset value per share through investments in high-quality, short-term obligations.

 
Investment Style

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 Advisors, Inc. strives to increase returns by actively managing the duration and quality of the porfolio, consistent with historical relationships among economic growth, inflation and the direction of interest rates.

The Fund invests in high-quality, U.S. dollar-denominated, short-term obligations with minimal credit risk, as determined by American Beacon Advisors, Inc. The Fund invests in a broad range of instruments, including obligations of the U.S. Government, medium-term notes, certificates of deposit, bank notes, banker’s acceptances, commercial paper, and repurchase agreements. The dollar-weighted average maturity of the Fund will not exceed 90 days.

 
Money Market Select Fund Total Returns as of 6/30/2008
                           
 
1 Mo.
 
QTR
 
YTD
 
1 YR*
 
3 YR*
 
5 YR*
 
10 YR*
                           
June 2008 0.21   0.68   1.66   4.32   4.65   3.42   3.82
May 2008 0.23   0.75   1.44   4.54   4.66   3.39   3.85
April 2008 0.24   0.82   1.21   4.77   4.67   3.37   3.87
                           
 

Performance shown is historical and may not be indicative of future returns. Investment returns will vary, and shares may be worth more or less at redemption than at original purchase. Performance shown is as of date indicated, and current performance may be lower or higher than the performance data quoted.
Click here for up-to-date yield information or call (800) 967-9009. Performance as of the most recent month end is available here.

 
Term Sector Diversification (%)
     
Banking   55.5
Overnight Maturities/ Liquidity   31.9
Personal Credit   5.2
Motor Vehicles   3.7
Trade Receivables   2.3
Securities Broker/Dealers   1.4
     
 
Term Portfolio Composition (%)
 
 
CDs/Bank Notes 48.8
Overnight Maturities/ Liquidity 31.9
Commercial Paper 11.2
Medium-Term Notes 3.4
Asset-Backed Commercial Paper 2.3
Variable Rate MTNs 1.2
Variable Rate CDs/Bank Notes 1.2
 
PDF View All Holdings
 
Credit Quality (%)
 
     
A-1+/P-1   92.9
A-1/P-1   7.1
 
Portfolio Statistics
 
  7-Day
Current Yield*
7-Day
Effective Yield*
Money Market Select Fund 2.63% 2.67%
 
Weighted Average Maturity   34 Days
S&P Rating   AAAm
Moody's Rating   Aaa
NAIC Class 1 Approved    
 

* Annualized. Yield is a more accurate reflection of the Fund's current earnings than total return.

The 7-day yields refer to the income generated by an investment in the Fund over a 7-day period. This income is then annualized. The 7-day effective yield is calculated similarly, but the income earned is assumed to have been reinvested. The effective yield will be slightly higher than the current yield because of the compounding effect of this assumed reinvestment.
 
Final Maturity Distribution (%)
     

 
1 to 7 Days   34.3
8 to 30 Days   16.9
31 to 90 Days   41.8
91 to 180 Days   7.0
181 + Days   0.0
 

You should consider the investment objectives, risks, fees and expenses of any mutual fund carefully before investing. This and other information is available in the Fund's prospectus. Please read the prospectus carefully before investing.

* Annualized.
** The Lipper Institutional Money Market Funds Average is calculated by taking an arithmetic average of the returns of the mutual funds in the Lipper Institutional Money Market Funds category. Lipper is an independent mutual fund research and ranking service.

An investment in the Money Market Select Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in this Fund.

Performance shown prior to the 12/31/99 inception of the American Beacon Money Market Select Fund (“Select Fund”) is that of the American Beacon Money Market Fund – Institutional Class (“Beacon Fund”). The returns have not been adjusted for any difference between the fees and expenses of the Select Fund and the historical fees and expenses of the Beacon Fund. Because the Beacon Fund had higher expenses, its performance was worse than the Select Fund would have realized during the same period. A portion of the fees charged to the Select Fund was waived through 2001. Performance prior to waiving fees was lower than the actual returns shown for periods through 2001.

Distributed by Foreside Fund Services, LLC.