AMERICAN BALANCED FUND CLASS 529-C(CLBCX) USD 29.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.041USD0.04142023-03-13
20221.41%USD 0.418USD0.12562022-12-13
USD0.0412022-09-12
USD0.21592022-06-13
USD0.03542022-03-14
20213.96%USD 1.176USD0.89032021-12-14
USD0.03142021-09-13
USD0.21312021-06-14
USD0.04072021-03-15
20203.14%USD 0.933USD0.80722020-12-15
USD0.03372020-09-14
USD0.04882020-06-15
USD0.04372020-03-16
20193.09%USD 0.917USD0.69732019-12-17
USD0.04312019-09-11
USD0.12992019-06-12
USD0.04632019-03-13
20184.37%USD 1.298USD1.12712018-12-18
USD0.04152018-09-12
USD0.0882018-06-13
USD0.04172018-03-14
20174.07%USD 1.209USD0.97842017-12-19
USD0.04242017-09-13
USD0.14212017-06-14
USD0.04632017-03-15
20162.81%USD 0.835USD0.54042016-12-20
USD0.04632016-09-14
USD0.19872016-06-15
USD0.04912016-03-16
20153.88%USD 1.153USD0.87692015-12-21
USD0.04542015-09-17
USD0.04582015-06-18
USD0.13662015-03-16
USD0.0482015-03-13
20145.62%USD 1.671USD1.43332014-12-26
USD0.0442014-12-23
USD0.03892014-09-18
USD0.0412014-06-13
USD0.07042014-03-17
USD0.0432014-03-14
20130.62%USD 0.183USD0.04212013-12-20
USD0.04532013-09-13
USD0.04582013-06-13
USD0.04982013-03-18
20120.70%USD 0.208USD0.05062012-12-21
USD0.05052012-09-12
USD0.05422012-06-13
USD0.05312012-03-19
20110.81%USD 0.24USD0.06012011-12-27
USD0.05892011-09-14
USD0.06032011-06-08
USD0.06112011-03-07
20101.10%USD 0.326USD0.05152010-12-27
USD0.05382010-09-15
USD0.05482010-06-09
USD0.112010-04-22
USD0.05562010-03-08
20090.96%USD 0.285USD0.05912009-12-16
USD0.06272009-08-17
USD0.08082009-05-27
USD0.0822009-02-23
20082.09%USD 0.622USD0.10292008-12-19
USD0.09572008-08-18
USD0.09472008-05-27
USD0.23252008-02-19
USD0.0962008-02-15
20072.94%USD 0.873USD0.5242007-12-26
USD0.0922007-12-24
USD0.09142007-08-20
USD0.08172007-05-21
USD0.08372007-02-20
20062.68%USD 0.797USD0.48732006-12-28
USD0.0842006-12-27
USD0.08452006-08-21
USD0.07042006-05-30
USD0.07082006-02-21
20052.14%USD 0.637USD0.39832005-12-29
USD0.0682005-12-28
USD0.06252005-08-22
USD0.0542005-05-31
USD0.0542005-02-22
20042.30%USD 0.684USD0.48522004-12-13
USD0.0482004-12-10
USD0.04892004-08-16
USD0.04982004-05-24
USD0.05192004-02-23
20030.77%USD 0.23USD0.05272003-12-15
USD0.05272003-08-18
USD0.0562003-05-19
USD0.06852003-02-22
20020.75%USD 0.223USD0.06922002-12-14
USD0.07542002-08-17
USD0.0782002-05-16