AMERICAN BALANCED FUND CLASS 529-A(CLBAX) USD 29.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.097USD0.09712023-03-13
20222.20%USD 0.652USD0.18212022-12-13
USD0.09752022-09-12
USD0.27492022-06-13
USD0.09782022-03-14
20214.80%USD 1.425USD0.95622021-12-14
USD0.09632021-09-13
USD0.2752021-06-14
USD0.09712021-03-15
20203.89%USD 1.156USD0.86392020-12-15
USD0.09712020-09-14
USD0.09742020-06-15
USD0.09742020-03-16
20193.77%USD 1.12USD0.75132019-12-17
USD0.09542019-09-11
USD0.17952019-06-12
USD0.09412019-03-13
20185.07%USD 1.506USD1.1782018-12-18
USD0.09372018-09-12
USD0.14022018-06-13
USD0.09392018-03-14
20174.83%USD 1.433USD1.05342017-12-19
USD0.09392017-09-13
USD0.19162017-06-14
USD0.09362017-03-15
20163.43%USD 1.019USD0.58832016-12-20
USD0.09382016-09-14
USD0.24412016-06-15
USD0.0932016-03-16
20154.67%USD 1.387USD0.92422015-12-21
USD0.09282015-09-17
USD0.09312015-06-18
USD0.18282015-03-16
USD0.0942015-03-13
20146.60%USD 1.959USD1.48272014-12-26
USD0.0942014-12-23
USD0.08782014-09-18
USD0.08822014-06-13
USD0.11582014-03-17
USD0.092014-03-14
20131.20%USD 0.355USD0.08792013-12-20
USD0.0892013-09-13
USD0.08872013-06-13
USD0.08952013-03-18
20121.21%USD 0.359USD0.08962012-12-21
USD0.08942012-09-12
USD0.092012-06-13
USD0.092012-03-19
20111.28%USD 0.381USD0.0952011-12-27
USD0.09452011-09-14
USD0.09562011-06-08
USD0.09572011-03-07
20101.24%USD 0.369USD0.08592010-12-27
USD0.08642010-09-15
USD0.08632010-06-09
USD0.0242010-04-22
USD0.08642010-03-08
20091.34%USD 0.398USD0.0912009-12-16
USD0.09212009-08-17
USD0.10672009-05-27
USD0.10812009-02-23
20082.66%USD 0.79USD0.13022008-12-19
USD0.12942008-08-18
USD0.132008-05-27
USD0.26832008-02-19
USD0.1322008-02-15
20073.59%USD 1.065USD0.56342007-12-26
USD0.1322007-12-24
USD0.12992007-08-20
USD0.1192007-05-21
USD0.12082007-02-20
20063.30%USD 0.98USD0.52212006-12-28
USD0.1232006-12-27
USD0.12112006-08-21
USD0.10662006-05-30
USD0.10682006-02-21
20052.76%USD 0.821USD0.43442005-12-29
USD0.1052005-12-28
USD0.10122005-08-22
USD0.08932005-05-31
USD0.09072005-02-22
20042.94%USD 0.872USD0.52312004-12-13
USD0.0872004-12-10
USD0.08562004-08-16
USD0.08622004-05-24
USD0.08972004-02-23
20031.24%USD 0.369USD0.08522003-12-15
USD0.09162003-08-18
USD0.09132003-05-19
USD0.10052003-02-22
20021.04%USD 0.308USD0.09972002-12-14
USD0.10332002-08-17
USD0.10482002-05-16