CAPITAL WORLD GROWTH & INCOME FUND CLASS C(CWGCX) USD 54.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.1USD0.09962023-03-13
20221.23%USD 0.676USD0.23792022-12-13
USD0.10632022-09-12
USD0.24552022-06-13
USD0.08632022-03-14
20217.04%USD 3.868USD3.47132021-12-14
USD0.07692021-09-13
USD0.23012021-06-14
USD0.08992021-03-15
20200.64%USD 0.353USD0.02862020-12-15
USD0.12020-09-14
USD0.12092020-06-15
USD0.10362020-03-16
20191.65%USD 0.907USD0.43422019-12-17
USD0.10822019-09-11
USD0.25672019-06-12
USD0.10832019-03-13
20185.01%USD 2.751USD2.3162018-12-18
USD0.09772018-09-12
USD0.24312018-06-13
USD0.09422018-03-14
20175.51%USD 3.026USD2.57282017-12-20
USD0.09722017-09-13
USD0.252017-06-14
USD0.10622017-03-15
20163.52%USD 1.937USD1.45672016-12-21
USD0.10772016-09-14
USD0.25952016-06-15
USD0.1132016-03-16
20152.50%USD 1.371USD0.90082015-12-22
USD0.07582015-09-17
USD0.31942015-06-18
USD0.07532015-03-16
20141.21%USD 0.667USD0.19322014-12-15
USD0.07372014-09-22
USD0.32142014-06-16
USD0.0792014-03-17
20131.22%USD 0.67USD0.15872013-12-16
USD0.08592013-09-23
USD0.33252013-06-17
USD0.09252013-03-18
20121.26%USD 0.693USD0.19242012-12-17
USD0.08612012-09-24
USD0.33532012-06-18
USD0.0792012-03-19
20111.19%USD 0.654USD0.18272011-12-19
USD0.07992011-09-19
USD0.31582011-06-20
USD0.07562011-03-21
20101.12%USD 0.617USD0.12442010-12-20
USD0.08232010-09-20
USD0.32662010-06-21
USD0.08352010-03-22
20091.15%USD 0.634USD0.10642009-12-17
USD0.08962009-09-28
USD0.33782009-06-22
USD0.09982009-03-23
20081.55%USD 0.851USD0.23912008-12-18
USD0.16712008-09-25
USD0.33162008-06-26
USD0.11272008-03-24
20077.58%USD 4.164USD3.40432007-12-18
USD0.2032007-12-17
USD0.14852007-09-24
USD0.29532007-06-18
USD0.11322007-03-19
20064.42%USD 2.429USD1.87912006-12-21
USD0.1632006-12-20
USD0.11262006-09-20
USD0.20452006-06-20
USD0.072006-03-17
20054.32%USD 2.372USD1.58692005-12-21
USD0.2242005-12-20
USD0.0732005-09-26
USD0.0772005-09-23
USD0.12352005-06-06
USD0.132005-06-03
USD0.07682005-03-21
USD0.0812005-03-18
20044.78%USD 2.626USD1.73662004-12-13
USD0.2332004-12-10
USD0.07032004-09-27
USD0.09512004-09-25
USD0.1742004-09-24
USD0.11182004-06-07
USD0.1182004-06-04
USD0.0872004-03-22
20031.64%USD 0.901USD0.38982003-12-12
USD0.08912003-09-22
USD0.0942003-09-19
USD0.11742003-06-09
USD0.10262003-03-24
USD0.1082003-03-21
20020.95%USD 0.524USD0.05582002-12-13
USD0.0592002-12-12
USD0.09712002-09-21
USD0.12042002-06-08
USD0.1272002-06-07
USD0.06492002-03-23
20010.53%USD 0.289USD0.00692001-12-14
USD0.06422001-09-24
USD0.0682001-09-21
USD0.07292001-06-11
USD0.0772001-06-08