Market Snapshot
  • U.S.
  • Europe
  • Asia
Ticker Volume Price Price Delta
DJIA 15,318.20 +138.38 0.91%
S&P 500 1,651.81 +12.77 0.78%
Nasdaq 3,482.18 +30.05 0.87%
Ticker Volume Price Price Delta
STOXX 50 2,700.93 -1.76 -0.07%
FTSE 100 6,374.21 +43.72 0.69%
DAX 8,229.51 +13.78 0.17%
Ticker Volume Price Price Delta
Nikkei 13,007.30 -25.84 -0.20%
Hang Seng 21,225.90 -0.02 0.00%
S&P/ASX 200 4,814.35 -11.53 -0.24%
  • Fund Type: Open-End Fund
  • Objective: Govt/Agency-Short Term
  • Asset Class: Debt
  • Geographic Focus: U.S.

American Short Term Bond Fund of America

+ Add to Watchlist

CBAMX:US

10.00 USD 0.01 0.10%

As of 09:29:30 ET on 06/17/2013.

Recently Viewed Symbols
Save as Watchlist
Saving as watchlist...

Snapshot for American Short Term Bond Fund of America (CBAMX)

Year To Date: -0.69% 3-Month: -0.50% 3-Year: -0.08% 52-Week Range: 9.99 - 10.10
1-Month: -0.40% 1-Year: -0.77% 5-Year: +0.77% Beta vs SPX: 0.33

Mutual Fund Chart for CBAMX

No chart data available.
  • CBAMX:US 10.00
  • 1M
  • 1Y
Interactive CBAMX Chart

Previous Close

Fund Profile & Information for CBAMX

American Funds - Short Term Bond Fund of America is an open-end fund incorporated in the US. The Fund's objective is to provide you with current income. The Fund invests in short-term debt securities, including securities issued and guaranteed by the U.S. government, mortgage and asset-backed securities.

Inception Date: 11-02-2006 Telephone: 1-415-421-9360
Managers: JOHN R QUEEN / DAVID A HOAG
Web Site: www.americanfunds.com

Fundamentals for CBAMX

NAV (on 2013-06-17) 10.00
Assets (M) (on 2013-05-31) 4,388.97
Fund Leveraged N
Minimum Investment 250.00
Minimum Subsequent Investment 50.00

Dividends for CBAMX

Dividend Type Daily Accrual
Dividend Frequency Monthly
Last Dividend Net -
Dividend Yield (ttm) 0.01

Fees & Expenses for CBAMX

Front Load 0.00
Back Load 5.00
Current Mgmt Fee 0.29
Redemption Fee 0.00
12b1 Fee 0.90
Expense Ratio 1.43

Top Fund Holdings for CBAMX

Filing Date: 03/31/2013
Name Position Value % of Total
T 3 ⅜ 07/31/13 93,750 94,777,500 2.075%
FNCI 3.5 4/13 82,750 87,740,901 1.921%
TII 1 ⅞ 07/15/13 66,100 84,534,365 1.851%
T 3 ⅛ 09/30/13 80,000 81,195,200 1.778%
FHLMC 1 ⅝ 04/15/13 80,000 80,057,600 1.753%
FREDN 0 08/26/13 64,200 64,165,974 1.405%
FN 889579 358,998 61,821,329 1.354%
T 1 03/31/17 60,000 61,068,600 1.337%
T 1 ½ 12/31/13 56,250 56,820,375 1.244%
FNMA 1 ⅜ 11/15/16 50,000 51,344,000 1.124%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

Sponsored Financial Commentaries

Advertisement
Advertisement
Sponsored Links
Advertisements
sec ||= nil