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FEBMX Chart NMFQS:FEBMX

Emerging Markets Bond | American Funds
$8.03
↑ $0.01 (0.12%)
Last Updated: Aug 11, 2026

FEBMX Price Chart



Performance Summary

YTD Return 1.68%
1-Year Return 7.37%
3-Year Return 7.25%
5-Year Return 3.18%
NAV $8.03
Previous Close $8.02

Fund Metrics

Net Assets $3.28 Billion
Expense Ratio 0.65%
Dividend Yield 0.06%
Morning Star Rating -
Inception Date -
Update Date 2026-06-30