AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS C(AFICX) USD 64.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.08%USD 0.051USD0.05052023-03-15
20223.90%USD 2.506USD1.17162022-12-16
USD0.05372022-09-14
USD1.24622022-06-15
USD0.03482022-03-16
202112.06%USD 7.755USD5.55422021-12-17
USD0.02042021-09-15
USD2.14192021-06-16
USD0.03852021-03-17
20202.10%USD 1.35USD0.39282020-12-18
USD0.0522020-09-16
USD0.85182020-06-17
USD0.05322020-03-18
20196.37%USD 4.095USD3.37352019-12-20
USD0.0562019-09-13
USD0.61242019-06-14
USD0.05352019-03-15
20188.13%USD 5.226USD4.59892018-12-21
USD0.03572018-09-14
USD0.562018-06-15
USD0.03092018-03-16
20176.68%USD 4.298USD3.54752017-12-20
USD0.03782017-09-15
USD0.67232017-06-14
USD0.03992017-03-15
20163.30%USD 2.122USD1.57492016-12-21
USD0.04682016-09-16
USD0.44962016-06-15
USD0.05112016-03-16
20154.15%USD 2.668USD1.88772015-12-22
USD0.04432015-09-17
USD0.04252015-06-18
USD0.64692015-03-16
USD0.0472015-03-13
20146.92%USD 4.448USD3.40142014-12-23
USD0.442014-12-22
USD0.03512014-09-18
USD0.02942014-06-13
USD0.51442014-03-17
USD0.0282014-03-14
20132.07%USD 1.332USD1.05952013-12-19
USD0.1722013-12-18
USD0.0292013-09-13
USD0.03282013-06-13
USD0.0392013-03-18
20120.51%USD 0.329USD0.18732012-12-20
USD0.04442012-09-13
USD0.04962012-06-14
USD0.04732012-03-19
20110.48%USD 0.308USD0.17462011-12-16
USD0.05082011-09-15
USD0.03922011-06-09
USD0.04372011-03-07
20100.46%USD 0.294USD0.13422010-12-16
USD0.05282010-09-16
USD0.05272010-06-10
USD0.05442010-03-08
20090.39%USD 0.253USD0.05042009-12-16
USD0.06122009-08-17
USD0.07132009-05-27
USD0.06982009-02-23
20080.96%USD 0.618USD0.16542008-12-17
USD0.04182008-08-18
USD0.0442008-08-15
USD0.03772008-05-27
USD0.28942008-02-19
USD0.042008-02-15
20074.87%USD 3.129USD2.40422007-12-26
USD0.4992007-12-24
USD0.02882007-08-20
USD0.03082007-05-21
USD0.0332007-05-18
USD0.09492007-02-20
USD0.0382007-02-16
20063.04%USD 1.955USD1.61582006-12-28
USD0.1352006-12-27
USD0.03942006-08-21
USD0.0422006-08-18
USD0.02732006-05-30
USD0.0292006-05-26
USD0.03222006-02-21
USD0.0342006-02-17
20050.96%USD 0.616USD0.21052005-12-29
USD0.2232005-12-28
USD0.02652005-08-22
USD0.0282005-08-19
USD0.03312005-05-31
USD0.0352005-05-27
USD0.0262005-04-22
USD0.03422005-02-22
20040.96%USD 0.616USD0.03282004-12-13
USD0.15122004-12-11
USD0.1952004-12-10
USD0.03852004-08-16
USD0.0412004-08-13
USD0.03832004-05-24
USD0.0412004-05-21
USD0.03792004-02-23
USD0.042004-02-20
20030.54%USD 0.35USD0.04372003-12-15
USD0.0442003-08-18
USD0.0472003-08-15
USD0.05152003-05-19
USD0.0552003-05-16
USD0.05282003-02-22
USD0.0562003-02-21
20020.88%USD 0.567USD0.14242002-12-14
USD0.1512002-12-13
USD0.04982002-08-17
USD0.0532002-08-16
USD0.04412002-05-16
USD0.0472002-05-15
USD0.03882002-02-23
USD0.0412002-02-22
20010.32%USD 0.208USD0.05372001-12-15
USD0.0572001-12-14
USD0.02442001-08-20
USD0.0262001-08-17
USD0.02252001-05-21
USD0.0242001-05-18