AMERICAN MUTUAL FUND CLASS 529-A(CMLAX) USD 49.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.42%USD 0.206USD0.20552023-03-15
20224.76%USD 2.347USD1.73682022-12-14
USD0.20632022-09-14
USD0.2012022-06-15
USD0.20252022-03-16
20214.99%USD 2.463USD1.86092021-12-15
USD0.22021-09-15
USD0.20072021-06-16
USD0.2012021-03-17
20201.71%USD 0.842USD0.2382020-12-16
USD0.2012020-09-16
USD0.20142020-06-17
USD0.20132020-03-18
20194.15%USD 2.044USD1.46222019-12-18
USD0.1992019-09-13
USD0.19132019-06-14
USD0.19162019-03-15
20184.95%USD 2.441USD1.88932018-12-19
USD0.18492018-09-14
USD0.18552018-06-15
USD0.18162018-03-16
20174.97%USD 2.451USD1.90552017-12-18
USD0.18142017-09-15
USD0.18222017-06-16
USD0.18152017-03-17
20163.53%USD 1.74USD1.2132016-12-19
USD0.17562016-09-16
USD0.17582016-06-17
USD0.17572016-03-18
20154.39%USD 2.165USD1.63942015-12-18
USD0.17522015-09-21
USD0.17492015-06-22
USD0.17562015-03-16
20144.02%USD 1.981USD1.4812014-12-22
USD0.17412014-09-22
USD0.16532014-06-16
USD0.16012014-03-17
20133.08%USD 1.519USD0.87432013-12-23
USD0.1712013-12-20
USD0.16172013-09-16
USD0.15592013-06-17
USD0.15642013-03-18
20121.30%USD 0.643USD0.19472012-12-21
USD0.1522012-09-24
USD0.14792012-06-18
USD0.14832012-03-15
20111.27%USD 0.625USD0.18972011-12-23
USD0.14752011-09-19
USD0.14372011-06-20
USD0.14382011-03-21
20101.22%USD 0.603USD0.17072010-12-23
USD0.14442010-09-20
USD0.14422010-06-21
USD0.14412010-03-22
20091.31%USD 0.647USD0.21312009-12-23
USD0.14462009-09-21
USD0.14442009-06-22
USD0.14532009-03-23
20082.12%USD 1.046USD0.32132008-12-16
USD0.2712008-12-15
USD0.15172008-09-22
USD0.15082008-06-23
USD0.15122008-03-17
20074.05%USD 1.997USD1.41332007-12-17
USD0.1532007-12-14
USD0.14912007-09-24
USD0.13962007-06-18
USD0.14172007-03-26
20062.79%USD 1.378USD0.8362006-12-22
USD0.1432006-12-21
USD0.13192006-09-25
USD0.13182006-06-19
USD0.1352006-03-17
20053.19%USD 1.574USD1.11212005-12-22
USD0.1252005-12-21
USD0.12112005-09-26
USD0.1092005-06-20
USD0.10662005-03-21
20041.14%USD 0.562USD0.15072004-12-03
USD0.1042004-12-02
USD0.09952004-09-27
USD0.08762004-06-21
USD0.122004-03-19
20031.46%USD 0.72USD0.2152003-12-05
USD0.1292003-12-04
USD0.12122003-09-22
USD0.12892003-06-23
USD0.12562003-03-21
20021.63%USD 0.802USD0.43392002-12-06
USD0.12062002-09-21
USD0.12292002-06-22
USD0.12492002-03-22