INCOME FUND OF AMERICA CLASS F-1(IFAFX) USD 22.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.73%USD 0.167USD0.16682023-03-13
20226.81%USD 1.565USD1.08262022-12-13
USD0.16112022-09-12
USD0.16052022-06-13
USD0.16062022-03-14
20217.41%USD 1.703USD1.22342021-12-14
USD0.15972021-09-13
USD0.15972021-06-14
USD0.16012021-03-15
20203.22%USD 0.74USD0.25362020-12-15
USD0.16212020-09-14
USD0.16242020-06-15
USD0.16212020-03-16
20195.35%USD 1.229USD0.74942019-12-17
USD0.16072019-09-11
USD0.15942019-06-12
USD0.15922019-03-13
20186.73%USD 1.547USD1.07022018-12-18
USD0.15922018-09-12
USD0.15832018-06-13
USD0.15922018-03-14
20174.93%USD 1.133USD0.65692017-12-19
USD0.15842017-09-13
USD0.15862017-06-14
USD0.15882017-03-15
20162.82%USD 0.648USD0.17052016-12-20
USD0.15932016-09-14
USD0.15842016-06-15
USD0.15992016-03-16
20154.39%USD 1.008USD0.52742015-12-21
USD0.15922015-09-17
USD0.16012015-06-18
USD0.16082015-03-16
20143.32%USD 0.763USD0.28832014-12-23
USD0.15722014-09-22
USD0.15792014-06-16
USD0.15992014-03-17
20132.78%USD 0.639USD0.15912013-12-23
USD0.15922013-09-16
USD0.16112013-06-17
USD0.15932013-03-18
20122.89%USD 0.664USD0.17992012-12-21
USD0.16062012-09-17
USD0.1622012-06-18
USD0.1612012-03-19
20112.97%USD 0.681USD0.19972011-12-27
USD0.16012011-09-19
USD0.16072011-06-20
USD0.16072011-03-21
20103.25%USD 0.745USD0.24662010-12-27
USD0.15912010-09-20
USD0.16052010-06-21
USD0.0192010-04-01
USD0.16022010-03-22
20092.94%USD 0.676USD0.16022009-12-28
USD0.16132009-09-21
USD0.16092009-06-22
USD0.1942009-03-20
20083.55%USD 0.816USD0.2362008-12-24
USD0.1942008-09-19
USD0.1932008-06-20
USD0.1932008-03-20
20078.37%USD 1.922USD1.01982007-12-24
USD0.3232007-12-21
USD0.1932007-09-21
USD0.1932007-06-22
USD0.1932007-03-23
20066.46%USD 1.484USD0.60172006-12-26
USD0.3432006-12-22
USD0.1832006-09-22
USD0.1832006-06-23
USD0.1732006-03-24
20052.97%USD 0.682USD0.2242005-12-23
USD0.1582005-09-26
USD0.15482005-06-27
USD0.14542005-03-28
20044.41%USD 1.014USD0.14562004-12-27
USD0.1442004-12-24
USD0.1652004-12-23
USD0.14562004-09-27
USD0.0512004-08-31
USD0.0512004-07-30
USD0.14582004-06-28
USD0.16552004-03-29
20032.90%USD 0.667USD0.16482003-12-15
USD0.16792003-09-15
USD0.16692003-06-16
USD0.16732003-03-17
20024.08%USD 0.937USD0.18892002-12-14
USD0.1732002-12-13
USD0.19192002-09-14
USD0.1922002-06-15
USD0.19072002-03-16
20014.05%USD 0.929USD0.34552001-12-15
USD0.1992001-12-14
USD0.18782001-09-20
USD0.1972001-06-15