AMERICAN MUTUAL FUND CLASS F-1(AMFFX) USD 49.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.42%USD 0.206USD0.2062023-03-15
20224.74%USD 2.332USD1.73412022-12-14
USD0.20312022-09-14
USD0.19752022-06-15
USD0.19762022-03-16
20214.99%USD 2.453USD1.85812021-12-15
USD0.19772021-09-15
USD0.19822021-06-16
USD0.19882021-03-17
20201.71%USD 0.839USD0.23782020-12-16
USD0.20112020-09-16
USD0.19962020-06-17
USD0.20092020-03-18
20194.16%USD 2.044USD1.4612019-12-18
USD0.19912019-09-13
USD0.19172019-06-14
USD0.19252019-03-15
20184.97%USD 2.444USD1.8922018-12-19
USD0.18612018-09-14
USD0.18532018-06-15
USD0.18052018-03-16
20174.97%USD 2.445USD1.90482017-12-18
USD0.1792017-09-15
USD0.18042017-06-16
USD0.18042017-03-17
20163.55%USD 1.747USD1.2152016-12-19
USD0.1772016-09-16
USD0.17742016-06-17
USD0.17752016-03-18
20154.43%USD 2.177USD1.64452015-12-18
USD0.17612015-09-21
USD0.17792015-06-22
USD0.17882015-03-16
20144.04%USD 1.989USD1.48612014-12-22
USD0.17352014-09-22
USD0.1662014-06-16
USD0.16352014-03-17
20133.12%USD 1.536USD0.87832013-12-23
USD0.1742013-12-20
USD0.16392013-09-16
USD0.16122013-06-17
USD0.15882013-03-18
20121.34%USD 0.659USD0.19822012-12-21
USD0.1562012-09-24
USD0.1532012-06-18
USD0.15192012-03-15
20111.30%USD 0.638USD0.19362011-12-23
USD0.15122011-09-19
USD0.14652011-06-20
USD0.14672011-03-21
20101.25%USD 0.614USD0.17362010-12-23
USD0.14662010-09-20
USD0.14732010-06-21
USD0.14632010-03-22
20091.35%USD 0.662USD0.21642009-12-23
USD0.14842009-09-21
USD0.14792009-06-22
USD0.14932009-03-23
20082.16%USD 1.061USD0.32362008-12-16
USD0.2732008-12-15
USD0.15522008-09-22
USD0.15452008-06-23
USD0.15452008-03-17
20074.10%USD 2.019USD1.41962007-12-17
USD0.1572007-12-14
USD0.15322007-09-24
USD0.14432007-06-18
USD0.14512007-03-26
20062.83%USD 1.394USD0.84012006-12-22
USD0.1462006-12-21
USD0.13422006-09-25
USD0.13442006-06-19
USD0.1392006-03-17
20053.29%USD 1.62USD1.11532005-12-22
USD0.1272005-12-21
USD0.12352005-09-26
USD0.11122005-06-20
USD0.0322005-04-22
USD0.11072005-03-21
20041.15%USD 0.566USD0.15092004-12-03
USD0.1042004-12-02
USD0.10232004-09-27
USD0.08572004-06-21
USD0.12322004-03-19
20031.43%USD 0.704USD0.20932003-12-05
USD0.1232003-12-04
USD0.12342003-09-22
USD0.1242003-06-23
USD0.12422003-03-21
20021.86%USD 0.917USD0.42532002-12-06
USD0.1232002-12-05
USD0.12442002-09-21
USD0.12122002-06-22
USD0.12312002-03-22
20012.63%USD 1.293USD0.80442001-12-07
USD0.172001-12-06
USD0.1762001-09-24
USD0.14282001-06-25