WASHINGTON MUTUAL INVESTORS FUND CLASS 529-E(CWMEX) USD 52.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.17USD0.16952023-03-15
20225.93%USD 3.132USD1.10932022-12-16
USD0.16852022-09-14
USD1.68792022-06-15
USD0.16612022-03-16
20216.64%USD 3.507USD1.29722021-12-17
USD0.16412021-09-15
USD1.87412021-06-16
USD0.17192021-03-17
20202.68%USD 1.415USD0.88712020-12-18
USD0.17492020-09-16
USD0.17972020-06-17
USD0.17282020-03-18
20195.90%USD 3.117USD1.71652019-12-20
USD0.16922019-09-13
USD1.0622019-06-14
USD0.1692019-03-15
20186.01%USD 3.176USD1.20842018-12-21
USD0.16392018-09-14
USD1.64112018-06-15
USD0.16262018-03-16
20176.12%USD 3.232USD1.71222017-12-18
USD0.15892017-09-15
USD1.20052017-06-16
USD0.16022017-03-17
20164.68%USD 2.471USD1.99982016-12-19
USD0.15662016-09-16
USD0.15692016-06-17
USD0.15792016-03-18
20154.26%USD 2.252USD1.80432015-12-18
USD0.14992015-09-21
USD0.14752015-06-22
USD0.15032015-03-23
20145.16%USD 2.726USD2.29342014-12-22
USD0.14262014-09-22
USD0.14462014-06-23
USD0.14572014-03-24
20133.41%USD 1.799USD1.07072013-12-23
USD0.2962013-12-20
USD0.14252013-09-23
USD0.1432013-06-24
USD0.14652013-03-25
20121.15%USD 0.609USD0.19582012-12-26
USD0.13572012-09-24
USD0.13842012-06-18
USD0.13872012-03-26
20111.11%USD 0.584USD0.19842011-12-19
USD0.12952011-09-26
USD0.12762011-06-20
USD0.12882011-03-21
20101.09%USD 0.573USD0.19342010-12-20
USD0.12732010-09-27
USD0.12642010-06-21
USD0.1262010-03-22
20091.17%USD 0.621USD0.14942009-12-21
USD0.15362009-09-28
USD0.15532009-06-22
USD0.16222009-03-23
20082.38%USD 1.255USD0.64452008-12-22
USD0.1622008-12-19
USD0.15042008-09-22
USD0.1492008-06-23
USD0.14912008-03-24
20074.94%USD 2.611USD2.0452007-12-24
USD0.1452007-12-21
USD0.14242007-09-24
USD0.14162007-06-25
USD0.13662007-03-26
20062.81%USD 1.482USD0.81892006-12-26
USD0.1392006-12-22
USD0.13612006-10-26
USD0.12732006-09-18
USD0.12772006-06-19
USD0.1332006-03-17
20051.94%USD 1.023USD0.55062005-12-19
USD0.1312005-12-16
USD0.11832005-09-19
USD0.1162005-06-20
USD0.1072005-03-21
20041.58%USD 0.833USD0.36952004-12-20
USD0.1472004-12-17
USD0.10752004-09-20
USD0.10252004-06-21
USD0.10642004-03-22
20031.18%USD 0.622USD0.10582003-12-22
USD0.18142003-12-19
USD0.10922003-09-22
USD0.10982003-06-23
USD0.11582003-03-31
20020.99%USD 0.522USD0.15222002-12-21
USD0.11632002-09-21
USD0.12742002-06-22
USD0.12632002-03-23