AMERICAN MUTUAL FUND CLASS C(AMFCX) USD 48.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.12USD0.12022023-03-15
20224.10%USD 1.991USD1.65132022-12-14
USD0.12062022-09-14
USD0.11032022-06-15
USD0.10922022-03-16
20214.35%USD 2.113USD1.76852021-12-15
USD0.10952021-09-15
USD0.11152021-06-16
USD0.1232021-03-17
20201.13%USD 0.551USD0.16272020-12-16
USD0.1262020-09-16
USD0.13712020-06-17
USD0.12522020-03-18
20193.62%USD 1.758USD1.3862019-12-18
USD0.12562019-09-13
USD0.1222019-06-14
USD0.12432019-03-15
20184.44%USD 2.156USD1.82032018-12-19
USD0.11232018-09-14
USD0.1152018-06-15
USD0.10852018-03-16
20174.46%USD 2.169USD1.83192017-12-18
USD0.112017-09-15
USD0.11272017-06-16
USD0.11422017-03-17
20163.08%USD 1.496USD1.14922016-12-19
USD0.11232016-09-16
USD0.11542016-06-17
USD0.11862016-03-18
20153.94%USD 1.916USD1.58062015-12-18
USD0.1122015-09-21
USD0.11062015-06-22
USD0.11312015-03-16
20143.56%USD 1.732USD1.41732014-12-22
USD0.112014-09-22
USD0.1032014-06-16
USD0.10132014-03-17
20132.55%USD 1.238USD0.81542013-12-23
USD0.1112013-12-20
USD0.10462013-09-16
USD0.10112013-06-17
USD0.10572013-03-18
20120.93%USD 0.452USD0.14492012-12-21
USD0.1032012-09-24
USD0.10232012-06-18
USD0.10142012-03-15
20110.91%USD 0.444USD0.14592011-12-23
USD0.10272011-09-19
USD0.09682011-06-20
USD0.09832011-03-21
20100.89%USD 0.431USD0.1252010-12-23
USD0.10242010-09-20
USD0.10162010-06-21
USD0.10192010-03-22
20091.04%USD 0.504USD0.17092009-12-23
USD0.10782009-09-21
USD0.1112009-06-22
USD0.1142009-03-23
20081.72%USD 0.837USD0.28612008-12-16
USD0.2352008-12-15
USD0.1072008-09-22
USD0.10372008-06-23
USD0.10482008-03-17
20073.56%USD 1.73USD1.36182007-12-17
USD0.0982007-12-14
USD0.09482007-09-24
USD0.08492007-06-18
USD0.09052007-03-26
20062.30%USD 1.119USD0.78362006-12-22
USD0.0892006-12-21
USD0.0812006-09-25
USD0.08142006-06-19
USD0.0842006-03-17
20052.82%USD 1.371USD1.06372005-12-22
USD0.0742005-12-21
USD0.07232005-09-26
USD0.06352005-06-20
USD0.0362005-04-22
USD0.06112005-03-21
20040.70%USD 0.341USD0.10532004-12-03
USD0.0572004-12-02
USD0.05652004-09-27
USD0.04422004-06-21
USD0.07762004-03-19
20031.05%USD 0.508USD0.16872003-12-05
USD0.0822003-12-04
USD0.08262003-09-22
USD0.08862003-06-23
USD0.08632003-03-21
20021.51%USD 0.735USD0.39232002-12-06
USD0.092002-12-05
USD0.08342002-09-21
USD0.08662002-06-22
USD0.08242002-03-22
20012.38%USD 1.156USD0.77492001-12-07
USD0.142001-12-06
USD0.13462001-09-24
USD0.10632001-06-25