CAPITAL WORLD BOND FUND CLASS F-1(WBFFX) USD 16.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.55%USD 0.09USD0.08962023-03-17
20221.93%USD 0.316USD0.08022022-12-19
USD0.07882022-09-16
USD0.07852022-06-17
USD0.07862022-03-18
20213.16%USD 0.518USD0.15812021-12-20
USD0.07922021-09-17
USD0.20222021-06-18
USD0.07872021-03-19
20204.18%USD 0.685USD0.37332020-12-21
USD0.09962020-09-18
USD0.11082020-06-19
USD0.10112020-03-20
20192.79%USD 0.458USD0.16912019-12-17
USD0.10082019-09-20
USD0.0982019-06-21
USD0.092019-03-22
20182.53%USD 0.415USD0.14542018-12-18
USD0.09142018-09-21
USD0.08892018-06-22
USD0.08952018-03-23
20172.25%USD 0.368USD0.09022017-12-15
USD0.09022017-09-15
USD0.0912017-06-16
USD0.09682017-03-17
20161.81%USD 0.296USD0.15082016-12-16
USD0.07862016-10-03
USD0.06512016-06-17
USD0.00182016-03-18
20150.71%USD 0.116USD0.05162015-12-17
USD0.02192015-10-06
USD0.02082015-06-22
USD0.02212015-03-26
20143.99%USD 0.654USD0.34642014-12-19
USD0.0672014-12-18
USD0.07912014-10-07
USD0.08062014-06-26
USD0.08062014-03-27
20132.88%USD 0.472USD0.16972013-12-20
USD0.10122013-10-08
USD0.10122013-06-26
USD0.09962013-03-27
20125.59%USD 0.916USD0.41582012-12-21
USD0.1372012-12-20
USD0.10022012-10-09
USD0.13272012-06-27
USD0.13062012-03-28
20114.36%USD 0.714USD0.18052011-12-23
USD0.17852011-09-28
USD0.17762011-06-28
USD0.17782011-03-23
20104.90%USD 0.804USD0.27292010-12-27
USD0.17582010-09-28
USD0.1772010-06-23
USD0.17782010-03-24
20094.51%USD 0.74USD0.21282009-12-28
USD0.17692009-09-30
USD0.17532009-06-17
USD0.1752009-03-23
20084.84%USD 0.793USD0.26342008-12-26
USD0.1752008-10-03
USD0.17792008-06-19
USD0.17682008-03-12
20079.62%USD 1.576USD0.57652007-12-24
USD0.5282007-12-21
USD0.15782007-10-03
USD0.15612007-06-06
USD0.1582007-03-27
20063.82%USD 0.627USD0.15432006-12-22
USD0.15512006-10-03
USD0.15532006-06-19
USD0.1622006-03-17
20057.23%USD 1.185USD0.46352005-12-22
USD0.2622005-12-21
USD0.15182005-10-04
USD0.15392005-06-27
USD0.15392005-03-21
20047.37%USD 1.207USD0.44142004-12-16
USD0.3612004-12-15
USD0.13352004-10-04
USD0.13552004-06-21
USD0.13582004-03-22
20035.25%USD 0.86USD0.34382003-12-18
USD0.142003-11-03
USD0.13352003-10-02
USD0.13192003-06-23
USD0.11082003-03-24
20022.55%USD 0.418USD0.15232002-12-19
USD0.0742002-10-02
USD0.0452002-10-01
USD0.07442002-06-22
USD0.07192002-03-23
20011.39%USD 0.228USD0.07642001-12-20
USD0.07622001-10-02
USD0.07532001-06-27