AMERICAN BALANCED FUND CLASS C(BALCX) USD 29.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.16%USD 0.046USD0.04582023-03-13
20221.48%USD 0.437USD0.13122022-12-13
USD0.0462022-09-12
USD0.222022-06-13
USD0.04012022-03-14
20214.05%USD 1.197USD0.89712021-12-14
USD0.03792021-09-13
USD0.21732021-06-14
USD0.04432021-03-15
20203.74%USD 1.103USD0.81142020-12-15
USD0.04542020-09-14
USD0.19932020-06-15
USD0.04712020-03-16
20193.17%USD 0.934USD0.70172019-12-17
USD0.04792019-09-11
USD0.13442019-06-12
USD0.05012019-03-13
20184.48%USD 1.323USD1.13692018-12-18
USD0.04632018-09-12
USD0.09372018-06-13
USD0.04642018-03-14
20174.24%USD 1.25USD1.00782017-12-19
USD0.04672017-09-13
USD0.1462017-06-14
USD0.04962017-03-15
20162.91%USD 0.857USD0.54692016-12-20
USD0.05152016-09-14
USD0.20452016-06-15
USD0.05452016-03-16
20154.01%USD 1.183USD0.88772015-12-21
USD0.05062015-09-17
USD0.05052015-06-18
USD0.14192015-03-16
USD0.0522015-03-13
20145.77%USD 1.704USD1.44512014-12-26
USD0.0492014-12-23
USD0.04352014-09-18
USD0.04492014-06-13
USD0.07442014-03-17
USD0.0472014-03-14
20130.68%USD 0.2USD0.04682013-12-20
USD0.04962013-09-13
USD0.05022013-06-13
USD0.05312013-03-18
20120.75%USD 0.222USD0.05382012-12-21
USD0.05512012-09-12
USD0.05712012-06-13
USD0.05582012-03-19
20110.85%USD 0.252USD0.06332011-12-27
USD0.06252011-09-14
USD0.06272011-06-08
USD0.06312011-03-07
20100.76%USD 0.224USD0.05372010-12-27
USD0.05612010-09-15
USD0.05692010-06-09
USD0.05712010-03-08
20091.00%USD 0.295USD0.06142009-12-16
USD0.06572009-08-17
USD0.08392009-05-27
USD0.08422009-02-23
20082.16%USD 0.637USD0.10482008-12-19
USD0.0992008-08-18
USD0.09792008-05-27
USD0.23672008-02-19
USD0.0992008-02-15
20073.03%USD 0.893USD0.53022007-12-26
USD0.0952007-12-24
USD0.09542007-08-20
USD0.08542007-05-21
USD0.08682007-02-20
20062.75%USD 0.81USD0.48892006-12-28
USD0.0872006-12-27
USD0.08792006-08-21
USD0.07312006-05-30
USD0.07342006-02-21
20052.23%USD 0.657USD0.40232005-12-29
USD0.072005-12-28
USD0.06682005-08-22
USD0.05882005-05-31
USD0.05892005-02-22
20042.41%USD 0.711USD0.49252004-12-13
USD0.0532004-12-10
USD0.05432004-08-16
USD0.05452004-05-24
USD0.05632004-02-23
20030.83%USD 0.244USD0.05732003-12-15
USD0.05652003-08-18
USD0.05912003-05-19
USD0.07122003-02-22
20021.04%USD 0.307USD0.07152002-12-14
USD0.07942002-08-17
USD0.07772002-05-16
USD0.07872002-02-23
20012.41%USD 0.712USD0.36872001-12-15
USD0.1082001-12-14
USD0.02562001-08-20
USD0.1022001-08-17
USD0.10792001-05-21