CAPITAL WORLD BOND FUND CLASS R-4(RCWEX) USD 16.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.58%USD 0.096USD0.09592023-03-17
20222.07%USD 0.34USD0.08612022-12-19
USD0.08462022-09-16
USD0.08452022-06-17
USD0.08442022-03-18
20213.31%USD 0.544USD0.16512021-12-20
USD0.08542021-09-17
USD0.20952021-06-18
USD0.08392021-03-19
20204.30%USD 0.705USD0.37852020-12-21
USD0.10522020-09-18
USD0.11612020-06-19
USD0.10542020-03-20
20192.89%USD 0.474USD0.17272019-12-17
USD0.10512019-09-20
USD0.10262019-06-21
USD0.09362019-03-22
20182.59%USD 0.424USD0.14852018-12-18
USD0.09172018-09-21
USD0.09172018-06-22
USD0.09232018-03-23
20172.27%USD 0.372USD0.09312017-12-15
USD0.0932017-09-15
USD0.09272017-06-16
USD0.09362017-03-17
20162.43%USD 0.399USD0.15262016-12-16
USD0.08232016-10-03
USD0.08192016-06-17
USD0.08242016-03-18
20150.73%USD 0.12USD0.05222015-12-17
USD0.02362015-10-06
USD0.02052015-06-22
USD0.02352015-03-26
20144.02%USD 0.66USD0.34692014-12-19
USD0.0682014-12-18
USD0.08092014-10-07
USD0.08242014-06-26
USD0.08152014-03-27
20132.90%USD 0.476USD0.1712013-12-20
USD0.10162013-10-08
USD0.10172013-06-26
USD0.10132013-03-27
20125.59%USD 0.918USD0.41832012-12-21
USD0.142012-12-20
USD0.09922012-10-09
USD0.12992012-06-27
USD0.13052012-03-28
20114.36%USD 0.715USD0.18022011-12-23
USD0.17872011-09-28
USD0.17822011-06-28
USD0.17822011-03-23
20104.91%USD 0.805USD0.27352010-12-27
USD0.17642010-09-28
USD0.1772010-06-23
USD0.17842010-03-24
20094.53%USD 0.744USD0.21192009-12-28
USD0.17752009-09-30
USD0.17692009-06-17
USD0.17742009-03-23
20084.84%USD 0.795USD0.26332008-12-26
USD0.17722008-10-03
USD0.17822008-06-19
USD0.17612008-03-12
20079.54%USD 1.565USD0.57442007-12-24
USD0.5262007-12-21
USD0.1542007-10-03
USD0.15432007-06-06
USD0.15612007-03-27
20063.77%USD 0.618USD0.15182006-12-22
USD0.1522006-10-03
USD0.15342006-06-19
USD0.1612006-03-17
20057.22%USD 1.184USD0.46192005-12-22
USD0.262005-12-21
USD0.15382005-10-04
USD0.15422005-06-27
USD0.15452005-03-21
20047.38%USD 1.212USD0.44152004-12-16
USD0.3612004-12-15
USD0.13772004-10-04
USD0.13522004-06-21
USD0.13622004-03-22
20034.47%USD 0.733USD0.34242003-12-18
USD0.14512003-10-02
USD0.1332003-06-23
USD0.11272003-03-24
20021.44%USD 0.237USD0.15152002-12-19
USD0.08552002-10-02