AMERICAN FUNDS BALANCED PORTFOLIO CLASS A(BLPAX) USD 15.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.056USD0.05562023-03-29
20225.76%USD 0.908USD0.71362022-12-28
USD0.07082022-09-28
USD0.07032022-06-28
USD0.05312022-03-29
20215.85%USD 0.921USD0.75142021-12-29
USD0.06122021-09-28
USD0.05962021-06-28
USD0.0492021-03-29
20202.78%USD 0.439USD0.27542020-12-23
USD0.05842020-09-25
USD0.06522020-06-25
USD0.03962020-03-26
20193.77%USD 0.595USD0.42872019-12-27
USD0.06422019-09-25
USD0.06382019-06-25
USD0.03782019-03-26
20184.01%USD 0.633USD0.47122018-12-27
USD0.06482018-09-25
USD0.06142018-06-26
USD0.03532018-03-26
20173.27%USD 0.515USD0.38292017-12-27
USD0.05412017-09-21
USD0.04852017-06-22
USD0.02992017-03-23
20163.05%USD 0.481USD0.36762016-12-28
USD0.04422016-09-22
USD0.03992016-06-23
USD0.02892016-03-24
20153.01%USD 0.474USD0.3652015-12-29
USD0.03192015-09-25
USD0.04332015-06-26
USD0.03372015-03-26
20142.40%USD 0.379USD0.16522014-12-30
USD0.0792014-12-29
USD0.03822014-09-26
USD0.05242014-06-26
USD0.0442014-03-27
20131.35%USD 0.213USD0.08842013-12-30
USD0.03862013-09-27
USD0.04982013-06-27
USD0.03662013-03-28
20120.90%USD 0.142USD0.08172012-12-28
USD0.02472012-09-27
USD0.03512012-06-28