AMERICAN BALANCED FUND CLASS F-1(BALFX) USD 29.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.097USD0.09732023-03-13
20222.17%USD 0.645USD0.18132022-12-13
USD0.09582022-09-12
USD0.27262022-06-13
USD0.09512022-03-14
20214.77%USD 1.417USD0.95432021-12-14
USD0.09482021-09-13
USD0.27282021-06-14
USD0.09462021-03-15
20204.38%USD 1.301USD0.86322020-12-15
USD0.0972020-09-14
USD0.24412020-06-15
USD0.09692020-03-16
20193.78%USD 1.123USD0.75082019-12-17
USD0.09632019-09-11
USD0.1812019-06-12
USD0.09492019-03-13
20185.00%USD 1.485USD1.15432018-12-18
USD0.09522018-09-12
USD0.14112018-06-13
USD0.09462018-03-14
20174.84%USD 1.437USD1.05672017-12-19
USD0.0942017-09-13
USD0.1922017-06-14
USD0.09422017-03-15
20163.46%USD 1.028USD0.59192016-12-20
USD0.09492016-09-14
USD0.24562016-06-15
USD0.09582016-03-16
20154.73%USD 1.406USD0.93152015-12-21
USD0.09482015-09-17
USD0.09532015-06-18
USD0.18682015-03-16
USD0.0982015-03-13
20146.67%USD 1.983USD1.4932014-12-26
USD0.0972014-12-23
USD0.08962014-09-18
USD0.09052014-06-13
USD0.122014-03-17
USD0.0932014-03-14
20131.24%USD 0.369USD0.09152013-12-20
USD0.09172013-09-13
USD0.09372013-06-13
USD0.0922013-03-18
20121.26%USD 0.375USD0.09272012-12-21
USD0.09312012-09-12
USD0.09522012-06-13
USD0.09442012-03-19
20111.33%USD 0.395USD0.09932011-12-27
USD0.09832011-09-14
USD0.09892011-06-08
USD0.09862011-03-07
20101.20%USD 0.356USD0.08872010-12-27
USD0.08852010-09-15
USD0.08982010-06-09
USD0.08912010-03-08
20091.38%USD 0.411USD0.09462009-12-16
USD0.09622009-08-17
USD0.11072009-05-27
USD0.10972009-02-23
20082.73%USD 0.81USD0.13352008-12-19
USD0.13322008-08-18
USD0.13432008-05-27
USD0.27322008-02-19
USD0.1362008-02-15
20073.67%USD 1.09USD0.57022007-12-26
USD0.1362007-12-24
USD0.13452007-08-20
USD0.12452007-05-21
USD0.12442007-02-20
20063.36%USD 0.998USD0.52792006-12-28
USD0.1262006-12-27
USD0.12432006-08-21
USD0.11032006-05-30
USD0.10952006-02-21
20052.80%USD 0.832USD0.43872005-12-29
USD0.1072005-12-28
USD0.10272005-08-22
USD0.09212005-05-31
USD0.09192005-02-22
20042.96%USD 0.878USD0.52692004-12-13
USD0.0882004-12-10
USD0.08742004-08-16
USD0.08692004-05-24
USD0.08892004-02-23
20031.22%USD 0.363USD0.08752003-12-15
USD0.08812003-08-18
USD0.0892003-05-19
USD0.0982003-02-22
20021.86%USD 0.554USD0.09922002-12-14
USD0.10852002-08-17
USD0.10752002-05-16
USD0.13072002-02-23
USD0.1082002-02-22
20013.00%USD 0.892USD0.39882001-12-15
USD0.1392001-12-14
USD0.08852001-08-20
USD0.1362001-08-17
USD0.13012001-05-21