WASHINGTON MUTUAL INVESTORS FUND CLASS A(AWSHX) USD 53.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.205USD0.2052023-03-15
20226.15%USD 3.282USD1.14522022-12-16
USD0.2052022-09-14
USD1.72722022-06-15
USD0.2052022-03-16
20216.86%USD 3.66USD1.3372021-12-17
USD0.2052021-09-15
USD1.91272021-06-16
USD0.2052021-03-17
20202.88%USD 1.535USD0.92042020-12-18
USD0.2052020-09-16
USD0.2052020-06-17
USD0.2052020-03-18
20196.09%USD 3.253USD1.74882019-12-20
USD0.20252019-09-13
USD1.09892019-06-14
USD0.20252019-03-15
20186.23%USD 3.325USD1.24632018-12-21
USD0.19972018-09-14
USD1.67922018-06-15
USD0.19972018-03-16
20176.33%USD 3.377USD1.7512017-12-18
USD0.19452017-09-15
USD1.23662017-06-16
USD0.19452017-03-17
20164.88%USD 2.603USD2.03432016-12-19
USD0.18942016-09-16
USD0.18942016-06-17
USD0.18942016-03-18
20154.48%USD 2.392USD1.842015-12-18
USD0.18412015-09-21
USD0.18412015-06-22
USD0.18412015-03-23
20145.37%USD 2.868USD2.33232014-12-22
USD0.17862014-09-22
USD0.17862014-06-23
USD0.17862014-03-24
20133.66%USD 1.955USD1.10632013-12-23
USD0.332013-12-20
USD0.1732013-09-23
USD0.1732013-06-24
USD0.1732013-03-25
20121.33%USD 0.711USD0.22242012-12-26
USD0.16282012-09-24
USD0.16282012-06-18
USD0.16282012-03-26
20111.27%USD 0.68USD0.2222011-12-19
USD0.15262011-09-26
USD0.15262011-06-20
USD0.15262011-03-21
20101.23%USD 0.659USD0.21662010-12-20
USD0.14732010-09-27
USD0.14732010-06-21
USD0.14732010-03-22
20091.30%USD 0.693USD0.17192009-12-21
USD0.17192009-09-28
USD0.17192009-06-22
USD0.17682009-03-23
20082.57%USD 1.373USD0.66292008-12-22
USD0.182008-12-19
USD0.17682008-09-22
USD0.17682008-06-23
USD0.17682008-03-24
20075.21%USD 2.783USD2.08212007-12-24
USD0.182007-12-21
USD0.17682007-09-24
USD0.17682007-06-25
USD0.1672007-03-26
20063.06%USD 1.631USD0.9872006-12-26
USD0.172006-12-22
USD0.15712006-09-18
USD0.15712006-06-19
USD0.162006-03-17
20052.19%USD 1.172USD0.57942005-12-19
USD0.162005-12-16
USD0.14732005-09-19
USD0.14732005-06-20
USD0.13752005-03-21
20041.85%USD 0.985USD0.40272004-12-20
USD0.182004-12-17
USD0.13752004-09-20
USD0.13262004-06-21
USD0.13262004-03-22
20031.33%USD 0.712USD0.31432003-12-19
USD0.13262003-09-22
USD0.13262003-06-23
USD0.13262003-03-31
20021.38%USD 0.737USD0.17092002-12-21
USD0.1352002-12-20
USD0.0332002-10-18
USD0.13262002-09-21
USD0.13262002-06-22
USD0.13262002-03-23
20012.44%USD 1.304USD0.76112001-12-22
USD0.1352001-12-21
USD0.13262001-09-24
USD0.13262001-06-25
USD0.14242001-03-16
20005.93%USD 3.165USD2.59272000-12-26
USD0.1452000-12-22
USD0.14242000-09-25
USD0.14242000-06-19
USD0.14242000-03-16