CAPITAL WORLD BOND FUND CLASS F-2(BFWFX) USD 16.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.64%USD 0.106USD0.10572023-03-17
20222.32%USD 0.38USD0.09472022-12-19
USD0.09452022-09-16
USD0.09452022-06-17
USD0.09632022-03-18
20213.62%USD 0.594USD0.1772021-12-20
USD0.0982021-09-17
USD0.22172021-06-18
USD0.09732021-03-19
20204.61%USD 0.755USD0.39152020-12-21
USD0.11762020-09-18
USD0.12832020-06-19
USD0.1182020-03-20
20193.16%USD 0.519USD0.18422019-12-17
USD0.11522019-09-20
USD0.1142019-06-21
USD0.10542019-03-22
20182.94%USD 0.482USD0.16242018-12-18
USD0.10662018-09-21
USD0.10512018-06-22
USD0.10742018-03-23
20172.49%USD 0.409USD0.10542017-12-15
USD0.10322017-09-15
USD0.09572017-06-16
USD0.10482017-03-17
20162.74%USD 0.449USD0.16392016-12-16
USD0.09392016-10-03
USD0.0932016-06-17
USD0.09822016-03-18
20151.01%USD 0.166USD0.0642015-12-17
USD0.03472015-10-06
USD0.03252015-06-22
USD0.03472015-03-26
20144.42%USD 0.726USD0.35892014-12-19
USD0.082014-12-18
USD0.09532014-10-07
USD0.09632014-06-26
USD0.0952014-03-27
20133.21%USD 0.526USD0.18532013-12-20
USD0.1132013-10-08
USD0.11442013-06-26
USD0.11332013-03-27
20126.02%USD 0.987USD0.43222012-12-21
USD0.1542012-12-20
USD0.11342012-10-09
USD0.14562012-06-27
USD0.14132012-03-28
20114.68%USD 0.768USD0.19452011-12-23
USD0.19172011-09-28
USD0.19062011-06-28
USD0.19072011-03-23
20105.23%USD 0.857USD0.2872010-12-27
USD0.18922010-09-28
USD0.18972010-06-23
USD0.19142010-03-24
20094.87%USD 0.798USD0.22632009-12-28
USD0.19242009-09-30
USD0.1912009-06-17
USD0.18842009-03-23
20082.86%USD 0.47USD0.27592008-12-26
USD0.19372008-10-03