AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS F-1(AFIFX) USD 64.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.164USD0.16412023-03-15
20224.59%USD 2.964USD1.28112022-12-16
USD0.16012022-09-14
USD1.36362022-06-15
USD0.15962022-03-16
202112.81%USD 8.283USD5.69072021-12-17
USD0.15772021-09-15
USD2.27692021-06-16
USD0.15772021-03-17
20202.75%USD 1.776USD0.50682020-12-18
USD0.16482020-09-16
USD0.93872020-06-17
USD0.16542020-03-18
20196.99%USD 4.52USD3.48522019-12-20
USD0.16332019-09-13
USD0.71662019-06-14
USD0.15442019-03-15
20188.79%USD 5.681USD4.70892018-12-21
USD0.15212018-09-14
USD0.67332018-06-15
USD0.14662018-03-16
20177.32%USD 4.733USD3.66292017-12-20
USD0.14662017-09-15
USD0.78042017-06-14
USD0.14342017-03-15
20163.87%USD 2.502USD1.67592016-12-21
USD0.14592016-09-16
USD0.54062016-06-15
USD0.13922016-03-16
20154.86%USD 3.141USD1.98372015-12-22
USD0.13942015-09-17
USD0.13742015-06-18
USD0.73932015-03-16
USD0.1412015-03-13
20147.83%USD 5.064USD3.53672014-12-23
USD0.5372014-12-22
USD0.13272014-09-18
USD0.12282014-06-13
USD0.60932014-03-17
USD0.1252014-03-14
20132.71%USD 1.755USD1.14772013-12-19
USD0.2632013-12-18
USD0.10942013-09-13
USD0.11832013-06-13
USD0.11622013-03-18
20120.96%USD 0.624USD0.2642012-12-20
USD0.11912012-09-13
USD0.12222012-06-14
USD0.11822012-03-19
20110.91%USD 0.585USD0.24032011-12-16
USD0.11852011-09-15
USD0.11312011-06-09
USD0.11332011-03-07
20100.84%USD 0.544USD0.19972010-12-16
USD0.11422010-09-16
USD0.11472010-06-10
USD0.11512010-03-08
20090.72%USD 0.468USD0.11532009-12-16
USD0.1172009-08-17
USD0.11712009-05-27
USD0.11822009-02-23
20081.43%USD 0.927USD0.21342008-12-17
USD0.11482008-08-18
USD0.11432008-05-27
USD0.36542008-02-19
USD0.1192008-02-15
20075.93%USD 3.836USD2.49122007-12-26
USD0.592007-12-24
USD0.11192007-08-20
USD0.1182007-08-17
USD0.11372007-05-21
USD0.122007-05-18
USD0.17182007-02-20
USD0.1192007-02-16
20063.98%USD 2.574USD1.69552006-12-28
USD0.2192006-12-27
USD0.11292006-08-21
USD0.1192006-08-18
USD0.10482006-05-30
USD0.1112006-05-26
USD0.10322006-02-21
USD0.1092006-02-17
20051.74%USD 1.123USD0.27712005-12-29
USD0.2932005-12-28
USD0.08962005-08-22
USD0.0952005-08-19
USD0.08942005-05-31
USD0.0952005-05-27
USD0.08922005-02-22
USD0.0952005-02-18
20041.62%USD 1.05USD0.08822004-12-13
USD0.15052004-12-11
USD0.2542004-12-10
USD0.092004-08-16
USD0.0962004-08-13
USD0.08962004-05-24
USD0.0952004-05-21
USD0.09072004-02-23
USD0.0962004-02-20
20031.17%USD 0.754USD0.09072003-12-15
USD0.0962003-12-12
USD0.08992003-08-18
USD0.0962003-08-15
USD0.09352003-05-19
USD0.0992003-05-16
USD0.09142003-02-22
USD0.0972003-02-21
20021.46%USD 0.941USD0.18242002-12-14
USD0.1942002-12-13
USD0.09272002-08-17
USD0.0992002-08-16
USD0.09072002-05-16
USD0.0962002-05-15
USD0.08992002-02-23
USD0.0962002-02-22
20010.85%USD 0.547USD0.09342001-12-15
USD0.0992001-12-14
USD0.0842001-08-20
USD0.0892001-08-17
USD0.0882001-05-21
USD0.0942001-05-18