AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS R-3(RFNCX) USD 64.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.119USD0.11912023-03-15
20224.31%USD 2.78USD1.23652022-12-16
USD0.11942022-09-14
USD1.31832022-06-15
USD0.10542022-03-16
202112.52%USD 8.073USD5.63712021-12-17
USD0.10252021-09-15
USD2.22492021-06-16
USD0.10892021-03-17
20202.50%USD 1.609USD0.4622020-12-18
USD0.12092020-09-16
USD0.90832020-06-17
USD0.11822020-03-18
20196.74%USD 4.348USD3.44022019-12-20
USD0.11872019-09-13
USD0.67342019-06-14
USD0.11582019-03-15
20188.49%USD 5.476USD4.64572018-12-21
USD0.10292018-09-14
USD0.62952018-06-15
USD0.09782018-03-16
20177.05%USD 4.548USD3.60392017-12-20
USD0.1062017-09-15
USD0.73572017-06-14
USD0.10222017-03-15
20163.64%USD 2.348USD1.63062016-12-21
USD0.10622016-09-16
USD0.50492016-06-15
USD0.10612016-03-16
20154.57%USD 2.948USD1.9352015-12-22
USD0.10182015-09-17
USD0.09692015-06-18
USD0.70512015-03-16
USD0.1092015-03-13
20147.48%USD 4.821USD3.48752014-12-23
USD0.5022014-12-22
USD0.09222014-09-18
USD0.08672014-06-13
USD0.5682014-03-17
USD0.0852014-03-14
20132.48%USD 1.599USD1.11132013-12-19
USD0.232013-12-18
USD0.08332013-09-13
USD0.08562013-06-13
USD0.08912013-03-18
20120.79%USD 0.511USD0.23552012-12-20
USD0.08982012-09-13
USD0.09172012-06-14
USD0.09412012-03-19
20110.74%USD 0.477USD0.21412011-12-16
USD0.09212011-09-15
USD0.08412011-06-09
USD0.08662011-03-07
20100.71%USD 0.459USD0.17482010-12-16
USD0.09122010-09-16
USD0.092010-06-10
USD0.0112010-04-30
USD0.09172010-03-08
20090.59%USD 0.379USD0.08742009-12-16
USD0.09482009-08-17
USD0.10022009-05-27
USD0.09682009-02-23
20081.19%USD 0.771USD0.19242008-12-17
USD0.08272008-08-18
USD0.08112008-05-27
USD0.33042008-02-19
USD0.0842008-02-15
20075.46%USD 3.522USD2.44092007-12-26
USD0.5482007-12-24
USD0.07482007-08-20
USD0.0792007-08-17
USD0.07682007-05-21
USD0.0812007-05-18
USD0.13732007-02-20
USD0.0842007-02-16
20063.53%USD 2.276USD1.65272006-12-28
USD0.1812006-12-27
USD0.07752006-08-21
USD0.0822006-08-18
USD0.06752006-05-30
USD0.0722006-05-26
USD0.06972006-02-21
USD0.0742006-02-17
20051.41%USD 0.907USD0.24522005-12-29
USD0.262005-12-28
USD0.0632005-08-22
USD0.0672005-08-19
USD0.06772005-05-31
USD0.0722005-05-27
USD0.06392005-02-22
USD0.0682005-02-18
20041.32%USD 0.849USD0.06692004-12-13
USD0.14992004-12-11
USD0.2312004-12-10
USD0.06392004-08-16
USD0.0682004-08-13
USD0.0622004-05-24
USD0.0662004-05-21
USD0.06872004-02-23
USD0.0732004-02-20
20030.79%USD 0.512USD0.06442003-12-15
USD0.0692003-12-12
USD0.07172003-08-18
USD0.0772003-08-15
USD0.07292003-05-19
USD0.0782003-05-16
USD0.07852003-02-22
20020.37%USD 0.238USD0.16592002-12-14
USD0.07232002-08-17