AMERICAN FUNDS EMERGING MARKETS BOND FUND CLASS 529-E(CBNEX) USD 7.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.12%USD 0.086USD0.040342023-02-28
USD0.045452023-01-31
20227.05%USD 0.54USD0.043722022-12-30
USD0.043912022-11-30
USD0.043332022-10-31
USD0.04052022-09-30
USD0.048212022-08-31
USD0.048382022-07-29
USD0.05522022-06-30
USD0.047042022-05-31
USD0.046122022-04-29
USD0.042932022-03-31
USD0.038962022-02-28
USD0.041232022-01-31
20215.64%USD 0.432USD0.037772021-12-31
USD0.036092021-11-30
USD0.037532021-10-29
USD0.036692021-09-30
USD0.037072021-08-31
USD0.036662021-07-30
USD0.033342021-06-30
USD0.036952021-05-28
USD0.034162021-04-30
USD0.036062021-03-31
USD0.031432021-02-26
USD0.037822021-01-29
20206.23%USD 0.477USD0.036142020-12-31
USD0.035472020-11-30
USD0.034682020-10-30
USD0.034552020-09-30
USD0.04092020-08-31
USD0.042012020-07-31
USD0.04252020-06-30
USD0.045252020-05-29
USD0.040872020-04-30
USD0.040862020-03-31
USD0.038862020-02-28
USD0.044882020-01-31
20198.27%USD 0.633USD0.0782019-12-31
USD0.049962019-11-29
USD0.049542019-10-31
USD0.046782019-09-30
USD0.050052019-08-30
USD0.051252019-07-31
USD0.050922019-06-28
USD0.0522019-05-31
USD0.052019-04-30
USD0.0532019-03-29
USD0.0482019-02-28
USD0.0532019-01-31
20186.91%USD 0.529USD0.0562018-12-31
USD0.0552018-11-30
USD0.0512018-10-31
USD0.0432018-09-28
USD0.0472018-08-31
USD0.0452018-07-31
USD0.00162018-06-29
USD0.0452018-05-31
USD0.0442018-04-30
USD0.0462018-03-29
USD0.0462018-02-28
USD0.0492018-01-31
20177.27%USD 0.556USD0.02012017-12-29
USD0.0472017-11-30
USD0.0462017-10-31
USD0.0462017-09-29
USD0.0512017-08-31
USD0.0522017-07-31
USD0.052017-06-30
USD0.0532017-05-31
USD0.0482017-04-28
USD0.0482017-03-31
USD0.0452017-02-28
USD0.052017-01-31
20163.02%USD 0.231USD0.052016-12-30
USD0.0492016-11-30
USD0.0512016-10-31
USD0.0452016-09-30
USD0.0362016-08-31