AMERICAN MUTUAL FUND CLASS F-2(AMRFX) USD 49.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.48%USD 0.236USD0.23552023-03-15
20224.98%USD 2.463USD1.76552022-12-14
USD0.23442022-09-14
USD0.23122022-06-15
USD0.23142022-03-16
20215.23%USD 2.585USD1.89222021-12-15
USD0.23152021-09-15
USD0.23162021-06-16
USD0.22942021-03-17
20201.92%USD 0.947USD0.26582020-12-16
USD0.22812020-09-16
USD0.22462020-06-17
USD0.22842020-03-18
20194.35%USD 2.152USD1.48892019-12-18
USD0.22692019-09-13
USD0.21862019-06-14
USD0.21742019-03-15
20185.17%USD 2.555USD1.91882018-12-19
USD0.21632018-09-14
USD0.21172018-06-15
USD0.20812018-03-16
20175.15%USD 2.545USD1.93262017-12-18
USD0.20112017-09-15
USD0.20522017-06-16
USD0.20562017-03-17
20163.72%USD 1.841USD1.2392016-12-19
USD0.20212016-09-16
USD0.2012016-06-17
USD0.19882016-03-18
20154.59%USD 2.267USD1.66712015-12-18
USD0.19892015-09-21
USD0.1992015-06-22
USD0.2022015-03-16
20144.68%USD 2.315USD1.50992014-12-22
USD0.2322014-12-19
USD0.20022014-09-22
USD0.192014-06-16
USD0.18332014-03-17
20133.30%USD 1.633USD0.89992013-12-23
USD0.1962013-12-20
USD0.18552013-09-16
USD0.1762013-06-17
USD0.17542013-03-18
20121.47%USD 0.726USD0.21652012-12-21
USD0.17292012-09-24
USD0.16662012-06-18
USD0.16972012-03-15
20111.41%USD 0.698USD0.20862011-12-23
USD0.16552011-09-19
USD0.16162011-06-20
USD0.16242011-03-21
20101.36%USD 0.672USD0.18792010-12-23
USD0.16152010-09-20
USD0.16152010-06-21
USD0.1612010-03-22
20091.45%USD 0.716USD0.2312009-12-23
USD0.16222009-09-21
USD0.16242009-06-22
USD0.162009-03-23
20081.59%USD 0.786USD0.33662008-12-16
USD0.2862008-12-15
USD0.16342008-09-22