AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS R-2(RFNBX) USD 64.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.08%USD 0.052USD0.05152023-03-15
20223.88%USD 2.49USD1.16852022-12-16
USD0.05332022-09-14
USD1.24422022-06-15
USD0.02362022-03-16
202112.06%USD 7.742USD5.55242021-12-17
USD0.01792021-09-15
USD2.14282021-06-16
USD0.0292021-03-17
20202.10%USD 1.349USD0.39332020-12-18
USD0.05472020-09-16
USD0.85022020-06-17
USD0.05072020-03-18
20196.37%USD 4.088USD3.36822019-12-20
USD0.05342019-09-13
USD0.61182019-06-14
USD0.05462019-03-15
20188.10%USD 5.201USD4.5762018-12-21
USD0.03162018-09-14
USD0.56482018-06-15
USD0.02872018-03-16
20176.67%USD 4.283USD3.53322017-12-20
USD0.03832017-09-15
USD0.67192017-06-14
USD0.042017-03-15
20163.31%USD 2.126USD1.56842016-12-21
USD0.0492016-09-16
USD0.4512016-06-15
USD0.05712016-03-16
20154.19%USD 2.691USD1.87982015-12-22
USD0.05132015-09-17
USD0.0492015-06-18
USD0.65382015-03-16
USD0.0572015-03-13
20147.01%USD 4.501USD3.43282014-12-23
USD0.4472014-12-22
USD0.03892014-09-18
USD0.03222014-06-13
USD0.51672014-03-17
USD0.0332014-03-14
20132.13%USD 1.369USD1.06342013-12-19
USD0.1812013-12-18
USD0.03732013-09-13
USD0.04042013-06-13
USD0.04642013-03-18
20120.54%USD 0.346USD0.19342012-12-20
USD0.04792012-09-13
USD0.05132012-06-14
USD0.05332012-03-19
20110.50%USD 0.32USD0.17542011-12-16
USD0.0532011-09-15
USD0.04462011-06-09
USD0.04712011-03-07
20100.49%USD 0.314USD0.1362010-12-16
USD0.05362010-09-16
USD0.05332010-06-10
USD0.0162010-04-30
USD0.05532010-03-08
20090.37%USD 0.236USD0.05362009-12-16
USD0.05582009-08-17
USD0.06572009-05-27
USD0.06062009-02-23
20080.93%USD 0.594USD0.16072008-12-17
USD0.03952008-08-18
USD0.03112008-05-27
USD0.0332008-05-23
USD0.28882008-02-19
USD0.0412008-02-15
20074.88%USD 3.136USD2.38992007-12-26
USD0.4952007-12-24
USD0.02782007-08-20
USD0.032007-08-17
USD0.03042007-05-21
USD0.0322007-05-18
USD0.09362007-02-20
USD0.0372007-02-16
20060.66%USD 0.426USD0.12672006-12-28
USD0.1342006-12-27
USD0.03892006-08-21
USD0.0412006-08-18
USD0.0262006-05-30
USD0.0282006-05-26
USD0.03142006-02-21
20050.98%USD 0.628USD0.20752005-12-29
USD0.2212005-12-28
USD0.02732005-08-22
USD0.0292005-08-19
USD0.03472005-05-31
USD0.0372005-05-27
USD0.03492005-02-22
USD0.0372005-02-18
20040.97%USD 0.626USD0.03342004-12-13
USD0.14982004-12-11
USD0.1962004-12-10
USD0.03912004-08-16
USD0.0422004-08-13
USD0.03872004-05-24
USD0.0412004-05-21
USD0.04152004-02-23
USD0.0442004-02-20
20030.56%USD 0.362USD0.0442003-12-15
USD0.0472003-12-12
USD0.04782003-08-18
USD0.0512003-08-15
USD0.05462003-05-19
USD0.0582003-05-16
USD0.062003-02-22
20020.32%USD 0.208USD0.15342002-12-14
USD0.05432002-08-17