CFACX:Cl 529-C/Bond Fund of America, Inc. - Stock Price Quote and Dividend Data
CFACX STOCK PRICE LATEST CLOSE
$13.46
EXCHANGE
NASDAQ
SECTOR / SEGMENT / INDUSTRY
Financials / Miscellaneous / Holding and other Investment Offices
Trailing 12 Month Dividend Yield4.10%
Projected 10 Year Dividend Yield66.82%
Dividend Yield 5 Year Average2.08%
Dividend Rate$0.12
Dividend Payout Ratio0.00%
Dividend Payout Ratio 5 yr Average0.00%
Dividend Growth Rate 3 yr Average60.47%
Dividend Growth Rate 5 yr Average35.61%
Dividend AllStar™ Ranking
Consecutive Dividend Increases4 Years
Dividend Declaration DateNone
Dividend Ex DateNone
Dividend Record DateNone
Dividend Pay DateApr. 01, 2021
Dividend Amount Current$0.005
Dividend Amount Previous$0.005
Dividends Paid in the Last 12 Months14
First Dividend Paid2005
52-Week Low/High Stock Price$13.31 - $14.27
Percent Held by Institutions0.00%
Revenue$733,181,000
Net Income$0
Cash Flow$0
EPS0.00%
Market Cap$0
PE Ratio to Industry74%
Debt-Equity Ratio0.00%
Debt-Equity to Industry5.50%
Total Return Last 12 Months1.76%
Total Return Last 3 Years15.73%
Total Return Last 5 Years14.82%
Latest Trade DateApr. 15, 2021
The Fund is an open-end investment company. The Fund seeks as high a level of current income as is consistent with preservation of capital through a diversified portfolio of bonds and other fixed-income obligations.
SectorFinancials
SegmentMiscellaneous
IndustryHolding and other Investment Offices
Dividend AllStar™ Ranking
Re-Investment AgentNone
Direct Purchase Minimum$0
Optional Cash Pay Min-Max$0 - $0
Optional Cash Payment FrequencyNone
Apr. 02, 2021DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 04-02-2021 decreased dividend rate > 3% from $0.13 to $0.12
Mar. 03, 2021DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 03-03-2021 decreased dividend rate > 3% from $0.14 to $0.13
Feb. 02, 2021DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 02-02-2021 decreased dividend rate > 3% from $0.15 to $0.14
Jan. 05, 2021DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 01-05-2021 decreased dividend rate > 3% from $0.16 to $0.15
Dec. 31, 2020DIVIDEND ANNOUNCEMENT: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 12-31-2020 declared a dividend of $0.4366 per share
Nov. 03, 2020DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 11-03-2020 decreased dividend rate > 3% from $0.17 to $0.16
Oct. 02, 2020DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 10-02-2020 decreased dividend rate > 3% from $0.18 to $0.17
Sep. 02, 2020DIVIDEND RATE DECREASE: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 09-02-2020 decreased dividend rate > 3% from $0.19 to $0.18
Aug. 07, 202052 WEEK HIGH: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 08-07-2020 hit a 52 week high of $14.27
Aug. 05, 202052 WEEK HIGH: Cl 529-C/Bond Fund of America, Inc. (NASDAQ: CFACX) on 08-05-2020 hit a 52 week high of $14.26
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl M/Putnam Diversified Income Trust (NASDAQ: PDVMX) on 04-16-2021 declared a dividend of $0.0180 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl R6/Putnam Mortgage Securities Fund (NASDAQ: POLYX) on 04-16-2021 declared a dividend of $0.0450 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl R6/Putnam Diversified Income Trust (NASDAQ: PDVGX) on 04-16-2021 declared a dividend of $0.0210 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Dynamic Asset Allocation Conservative Fd Cl R5/Putnam Dynamic Asset Allocation Fund (NASDAQ: PACDX) on 04-16-2021 declared a dividend of $0.0150 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Dynamic Asset Allocation Conservative Fd Cl R6/Putnam Dynamic Asset Allocation Fund (NASDAQ: PCCEX) on 04-16-2021 declared a dividend of $0.0160 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl R/Putnam Mortgage Securities Fund (NASDAQ: PGVRX) on 04-16-2021 declared a dividend of $0.0380 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl Y/Putnam Mortgage Securities Fund (NASDAQ: PUSYX) on 04-16-2021 declared a dividend of $0.0440 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl C/Putnam Mortgage Securities Fund (NASDAQ: PGVCX) on 04-16-2021 declared a dividend of $0.0340 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl B/Putnam Mortgage Securities Fund (NASDAQ: PGSBX) on 04-16-2021 declared a dividend of $0.0330 per share
Apr. 16, 2021DIVIDEND ANNOUNCEMENT: Cl R/Putnam Diversified Income Trust (NASDAQ: PDVRX) on 04-16-2021 declared a dividend of $0.0180 per share