AMERICAN MUTUAL FUND CLASS 529-E(CMLEX) USD 49.07
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.178USD0.17772023-03-15
20224.54%USD 2.227USD1.70872022-12-14
USD0.1772022-09-14
USD0.17092022-06-15
USD0.17042022-03-16
20214.78%USD 2.347USD1.82982021-12-15
USD0.16942021-09-15
USD0.17242021-06-16
USD0.17582021-03-17
20201.52%USD 0.748USD0.21382020-12-16
USD0.1772020-09-16
USD0.18122020-06-17
USD0.17592020-03-18
20193.97%USD 1.949USD1.43692019-12-18
USD0.17452019-09-13
USD0.16832019-06-14
USD0.16962019-03-15
20184.78%USD 2.346USD1.86592018-12-19
USD0.16022018-09-14
USD0.1632018-06-15
USD0.15682018-03-16
20174.80%USD 2.354USD1.87852017-12-18
USD0.15722017-09-15
USD0.15872017-06-16
USD0.15922017-03-17
20163.38%USD 1.657USD1.19122016-12-19
USD0.15462016-09-16
USD0.15482016-06-17
USD0.15612016-03-18
20154.23%USD 2.077USD1.61882015-12-18
USD0.15292015-09-21
USD0.15162015-06-22
USD0.15362015-03-16
20143.85%USD 1.892USD1.45792014-12-22
USD0.15142014-09-22
USD0.14322014-06-16
USD0.13912014-03-17
20132.89%USD 1.418USD0.85262013-12-23
USD0.1492013-12-20
USD0.14122013-09-16
USD0.13652013-06-17
USD0.13882013-03-18
20121.17%USD 0.574USD0.17722012-12-21
USD0.13452012-09-24
USD0.1312012-06-18
USD0.13112012-03-15
20111.13%USD 0.556USD0.17342011-12-23
USD0.13082011-09-19
USD0.12512011-06-20
USD0.12662011-03-21
20101.09%USD 0.537USD0.15282010-12-23
USD0.12822010-09-20
USD0.12772010-06-21
USD0.12792010-03-22
20091.20%USD 0.59USD0.1962009-12-23
USD0.132009-09-21
USD0.13092009-06-22
USD0.13312009-03-23
20081.96%USD 0.964USD0.30772008-12-16
USD0.2572008-12-15
USD0.1342008-09-22
USD0.13242008-06-23
USD0.13272008-03-17
20073.85%USD 1.888USD1.39172007-12-17
USD0.1312007-12-14
USD0.12672007-09-24
USD0.11742007-06-18
USD0.12112007-03-26
20062.60%USD 1.275USD0.81472006-12-22
USD0.1222006-12-21
USD0.11122006-09-25
USD0.11162006-06-19
USD0.1152006-03-17
20053.00%USD 1.47USD1.09072005-12-22
USD0.1032005-12-21
USD0.10012005-09-26
USD0.0892005-06-20
USD0.08742005-03-21
20040.94%USD 0.459USD0.1292004-12-03
USD0.0822004-12-02
USD0.08022004-09-27
USD0.0642004-06-21
USD0.10372004-03-19
20031.25%USD 0.615USD0.18742003-12-05
USD0.1012003-12-04
USD0.10762003-09-22
USD0.10312003-06-23
USD0.11542003-03-21
20021.56%USD 0.766USD0.40232002-12-06
USD0.12472002-09-21
USD0.11712002-06-22
USD0.12172002-03-22