AMERICAN BALANCED FUND CLASS F-2(AMBFX) USD 29.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.116USD0.11642023-03-13
20222.43%USD 0.724USD0.19912022-12-13
USD0.11472022-09-12
USD0.29342022-06-13
USD0.11632022-03-14
20215.06%USD 1.504USD0.97652021-12-14
USD0.1172021-09-13
USD0.2952021-06-14
USD0.11582021-03-15
20204.63%USD 1.376USD0.88312020-12-15
USD0.11592020-09-14
USD0.26082020-06-15
USD0.11572020-03-16
20194.02%USD 1.194USD0.76892019-12-17
USD0.11492019-09-11
USD0.19852019-06-12
USD0.11152019-03-13
20185.34%USD 1.587USD1.20252018-12-18
USD0.11362018-09-12
USD0.15882018-06-13
USD0.11242018-03-14
20175.07%USD 1.506USD1.07532017-12-19
USD0.11162017-09-13
USD0.20832017-06-14
USD0.11092017-03-15
20163.69%USD 1.096USD0.60872016-12-20
USD0.11242016-09-14
USD0.26332016-06-15
USD0.11112016-03-16
20154.99%USD 1.483USD0.94812015-12-21
USD0.11052015-09-17
USD0.10932015-06-18
USD0.20232015-03-16
USD0.1132015-03-13
20146.99%USD 2.078USD1.51022014-12-26
USD0.1142014-12-23
USD0.10762014-09-18
USD0.10712014-06-13
USD0.13312014-03-17
USD0.1062014-03-14
20131.42%USD 0.422USD0.10562013-12-20
USD0.10632013-09-13
USD0.10622013-06-13
USD0.10422013-03-18
20121.42%USD 0.421USD0.10592012-12-21
USD0.10522012-09-12
USD0.10572012-06-13
USD0.10462012-03-19
20111.47%USD 0.437USD0.10932011-12-27
USD0.10892011-09-14
USD0.10922011-06-08
USD0.10952011-03-07
20101.32%USD 0.393USD0.09862010-12-27
USD0.09832010-09-15
USD0.09882010-06-09
USD0.09762010-03-08
20091.50%USD 0.445USD0.10472009-12-16
USD0.10362009-08-17
USD0.11912009-05-27
USD0.11722009-02-23
20080.95%USD 0.282USD0.14212008-12-19
USD0.13962008-08-18