AMERICAN BALANCED FUND CLASS 529-E(CLBEX) USD 29.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.27%USD 0.08USD0.08042023-03-13
20221.96%USD 0.58USD0.16542022-12-13
USD0.082022-09-12
USD0.25632022-06-13
USD0.07852022-03-14
20214.55%USD 1.349USD0.93642021-12-14
USD0.0762021-09-13
USD0.25642021-06-14
USD0.08012021-03-15
20203.68%USD 1.092USD0.8472020-12-15
USD0.08072020-09-14
USD0.08342020-06-15
USD0.08082020-03-16
20193.57%USD 1.059USD0.73482019-12-17
USD0.07992019-09-11
USD0.16452019-06-12
USD0.07982019-03-13
20184.86%USD 1.443USD1.16232018-12-18
USD0.07752018-09-12
USD0.12512018-06-13
USD0.07772018-03-14
20174.61%USD 1.368USD1.03552017-12-19
USD0.07782017-09-13
USD0.17612017-06-14
USD0.0792017-03-15
20163.24%USD 0.962USD0.57362016-12-20
USD0.07922016-09-14
USD0.22992016-06-15
USD0.07952016-03-16
20154.43%USD 1.314USD0.91012015-12-21
USD0.07762015-09-17
USD0.07742015-06-18
USD0.16852015-03-16
USD0.082015-03-13
20146.29%USD 1.866USD1.46662014-12-26
USD0.0782014-12-23
USD0.07222014-09-18
USD0.0732014-06-13
USD0.10112014-03-17
USD0.0752014-03-14
20131.01%USD 0.3USD0.07292013-12-20
USD0.07512013-09-13
USD0.07512013-06-13
USD0.07692013-03-18
20121.04%USD 0.31USD0.07692012-12-21
USD0.07662012-09-12
USD0.07822012-06-13
USD0.07792012-03-19
20111.12%USD 0.333USD0.08342011-12-27
USD0.08282011-09-14
USD0.08292011-06-08
USD0.08352011-03-07
20101.19%USD 0.354USD0.07342010-12-27
USD0.07452010-09-15
USD0.0752010-06-09
USD0.0562010-04-22
USD0.07532010-03-08
20091.20%USD 0.356USD0.07952009-12-16
USD0.08132009-08-17
USD0.09752009-05-27
USD0.0982009-02-23
20082.46%USD 0.729USD0.122008-12-19
USD0.11722008-08-18
USD0.11742008-05-27
USD0.25552008-02-19
USD0.1192008-02-15
20073.36%USD 0.995USD0.54922007-12-26
USD0.1172007-12-24
USD0.1162007-08-20
USD0.10612007-05-21
USD0.1072007-02-20
20063.07%USD 0.911USD0.50832006-12-28
USD0.1092006-12-27
USD0.10762006-08-21
USD0.09312006-05-30
USD0.09312006-02-21
20052.53%USD 0.75USD0.42052005-12-29
USD0.0912005-12-28
USD0.08612005-08-22
USD0.07612005-05-31
USD0.07612005-02-22
20042.68%USD 0.796USD0.50812004-12-13
USD0.0712004-12-10
USD0.07122004-08-16
USD0.07152004-05-24
USD0.07382004-02-23
20031.03%USD 0.307USD0.07272003-12-15
USD0.07292003-08-18
USD0.07522003-05-19
USD0.08582003-02-22
20020.94%USD 0.28USD0.08722002-12-14
USD0.09442002-08-17
USD0.0982002-05-16