AMCAP FUND CLASS R-1(RAFAX) USD 28.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.02%USD 2.267USD2.26682022-06-15
20219.55%USD 2.7USD1.1712021-12-15
USD1.5292021-06-16
20205.09%USD 1.441USD0.8592020-12-16
USD0.58172020-06-17
20195.19%USD 1.467USD1.292019-12-19
USD0.1772019-06-14
201810.11%USD 2.86USD2.0072018-12-20
USD0.8532018-06-15
20175.53%USD 1.563USD1.1342017-12-18
USD0.4292017-06-16
201615.97%USD 4.517USD42016-12-19
USD0.5172016-06-17
20158.13%USD 2.299USD1.3392015-12-18
USD0.962015-06-22
20149.21%USD 2.606USD1.6962014-12-22
USD0.912014-06-16
20137.65%USD 2.163USD1.7032013-12-23
USD0.462013-06-17
20090.24%USD 0.068USD0.06792009-06-22
20082.49%USD 0.704USD0.7042008-06-23
20074.32%USD 1.223USD1.05912007-12-17
USD0.0372007-12-14
USD0.11042007-06-18
USD0.0162007-06-15
20062.05%USD 0.581USD0.4352006-12-22
USD0.1462006-06-19
20051.37%USD 0.387USD0.1652005-12-22
USD0.2222005-06-20
20040.44%USD 0.125USD0.1252004-12-03
20030.03%USD 0.007USD0.00722003-06-23
20020.34%USD 0.096USD0.0962002-06-22