NAV

$ 31.01

NAV Day Change

31.01 | 2
%
As of 07/18/2014 | USD

Yield

3.08%

Load

1.00

Total Assets

140.8 mil

Expenses

2.10%

Fee Level

High

Turnover

293%

Status

Open

Min. Inv.

2,000

52-Week Range

Category

High Yield Bond

Investment Style

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chbcx Quote

chbcx Price Today

chbcx Price History

NAV chbcx

Net Asset Value chbcx

Day Change chbcx

Yield chbcx

Category chbcx

Investment Style chbcx

Load chbcx

Expenses Ratio chbcx

Turnover chbcx

Minimum Investment chbcx

1 year range chbcx

52 weeek range chbcx

Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar Quote

Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar Price

Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar Price Today

Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar Price History

NAV Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Net Asset Value Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Day Change Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Yield Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Category Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Investment Style Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Load Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Expenses Ratio Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Turnover Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Minimum Investment Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

1 year range Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

52 weeek range Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar

Top Sectors  CHBCX More...

Top Sectors CHBCX

Corporate Bond
Convertible
Asset-Backed
Non-Agency Residential MBS
Commercial MBS

Dividend and Capital Gains Distributions  CHBCX

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Analysis  chbcx - Calvert High Yield Bond C More...

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Mutual Fund Quote: chbcx Calvert High Yield Bond C - Morningstar
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