WASHINGTON MUTUAL INVESTORS FUND CLASS 529-C(CWMCX) USD 52.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.1USD0.09952023-03-15
20225.37%USD 2.84USD1.03772022-12-16
USD0.09972022-09-14
USD1.61242022-06-15
USD0.09022022-03-16
20216.07%USD 3.212USD1.21522021-12-17
USD0.08842021-09-15
USD1.80122021-06-16
USD0.10742021-03-17
20202.20%USD 1.161USD0.82442020-12-18
USD0.09752020-09-16
USD0.12522020-06-17
USD0.1142020-03-18
20195.45%USD 2.884USD1.65472019-12-20
USD0.112019-09-13
USD1.00482019-06-14
USD0.11442019-03-15
20185.55%USD 2.937USD1.15032018-12-21
USD0.10572018-09-14
USD1.57972018-06-15
USD0.10092018-03-16
20175.57%USD 2.943USD1.59072017-12-18
USD0.1022017-09-15
USD1.14462017-06-16
USD0.10582017-03-17
20164.28%USD 2.263USD1.9452016-12-19
USD0.10232016-09-16
USD0.10662016-06-17
USD0.10872016-03-18
20153.86%USD 2.041USD1.75032015-12-18
USD0.09762015-09-21
USD0.09472015-06-22
USD0.09812015-03-23
20144.75%USD 2.514USD2.23822014-12-22
USD0.08772014-09-22
USD0.09232014-06-23
USD0.09572014-03-24
20132.95%USD 1.561USD1.02012013-12-23
USD0.2452013-12-20
USD0.09472013-09-23
USD0.09662013-06-24
USD0.10422013-03-25
20120.86%USD 0.452USD0.15512012-12-26
USD0.09522012-09-24
USD0.10122012-06-18
USD0.10082012-03-26
20110.84%USD 0.444USD0.16282011-12-19
USD0.09412011-09-26
USD0.09192011-06-20
USD0.09472011-03-21
20100.85%USD 0.45USD0.16062010-12-20
USD0.09692010-09-27
USD0.09592010-06-21
USD0.09642010-03-22
20090.98%USD 0.516USD0.11942009-12-21
USD0.12562009-09-28
USD0.12912009-06-22
USD0.14162009-03-23
20082.05%USD 1.085USD0.61662008-12-22
USD0.1342008-12-19
USD0.11452008-09-22
USD0.10972008-06-23
USD0.11012008-03-24
20074.51%USD 2.386USD22007-12-24
USD0.0992007-12-21
USD0.09652007-09-24
USD0.0962007-06-25
USD0.09462007-03-26
20062.40%USD 1.271USD0.91092006-12-26
USD0.0942006-12-22
USD0.0862006-09-18
USD0.08722006-06-19
USD0.0932006-03-17
20051.57%USD 0.832USD0.51142005-12-19
USD0.0922005-12-16
USD0.07982005-09-19
USD0.07862005-06-20
USD0.06982005-03-21
20041.22%USD 0.648USD0.33142004-12-20
USD0.1082004-12-17
USD0.07122004-09-20
USD0.0682004-06-21
USD0.06892004-03-22
20030.95%USD 0.5USD0.25632003-12-19
USD0.07572003-09-22
USD0.0812003-06-23
USD0.08692003-03-31
20020.80%USD 0.421USD0.12382002-12-21
USD0.08462002-09-21
USD0.09672002-06-22
USD0.11582002-03-23