CAPITAL WORLD BOND FUND CLASS R-2(RCWBX) USD 16.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.41%USD 0.067USD0.06652023-03-17
20221.30%USD 0.211USD0.05632022-12-19
USD0.05422022-09-16
USD0.05262022-06-17
USD0.04822022-03-18
20212.40%USD 0.39USD0.12782021-12-20
USD0.04692021-09-17
USD0.17162021-06-18
USD0.04322021-03-19
20203.40%USD 0.551USD0.33972020-12-21
USD0.06522020-09-18
USD0.07932020-06-19
USD0.06692020-03-20
20191.74%USD 0.282USD0.092019-12-17
USD0.06722019-09-20
USD0.06682019-06-21
USD0.0582019-03-22
20181.73%USD 0.28USD0.11252018-12-18
USD0.05542018-09-21
USD0.05712018-06-22
USD0.0552018-03-23
20171.39%USD 0.226USD0.05542017-12-15
USD0.05562017-09-15
USD0.05672017-06-16
USD0.05782017-03-17
20161.52%USD 0.246USD0.11362016-12-16
USD0.04742016-10-03
USD0.04332016-06-17
USD0.0422016-03-18
20150.07%USD 0.011USD0.01072015-12-17
20142.74%USD 0.444USD0.3042014-12-19
USD0.0252014-12-18
USD0.0382014-10-07
USD0.0382014-06-26
USD0.03872014-03-27
20131.92%USD 0.312USD0.12922013-12-20
USD0.06092013-10-08
USD0.06092013-06-26
USD0.0612013-03-27
20124.34%USD 0.704USD0.37622012-12-21
USD0.0982012-12-20
USD0.05592012-10-09
USD0.08382012-06-27
USD0.08962012-03-28
20113.46%USD 0.561USD0.14162011-12-23
USD0.13892011-09-28
USD0.13952011-06-28
USD0.14072011-03-23
20104.04%USD 0.655USD0.23352010-12-27
USD0.13892010-09-28
USD0.13992010-06-23
USD0.14262010-03-24
20093.69%USD 0.599USD0.17432009-12-28
USD0.1362009-09-30
USD0.14342009-06-17
USD0.14522009-03-23
20084.01%USD 0.651USD0.23322008-12-26
USD0.13412008-10-03
USD0.13742008-06-19
USD0.14612008-03-12
20078.62%USD 1.398USD0.54312007-12-24
USD0.4942007-12-21
USD0.1112007-10-03
USD0.12832007-06-06
USD0.12192007-03-27
20063.01%USD 0.488USD0.12342006-12-22
USD0.11442006-10-03
USD0.12062006-06-19
USD0.132006-03-17
20056.30%USD 1.022USD0.43272005-12-22
USD0.232005-12-21
USD0.11552005-10-04
USD0.11942005-06-27
USD0.12432005-03-21
20046.55%USD 1.062USD0.4142004-12-16
USD0.3332004-12-15
USD0.09962004-10-04
USD0.10652004-06-21
USD0.1092004-03-22
20034.45%USD 0.721USD0.32132003-12-18
USD0.112003-11-03
USD0.10532003-10-02
USD0.10192003-06-23
USD0.08252003-03-24
20021.11%USD 0.181USD0.12812002-12-19
USD0.05252002-10-02