AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS R-5(RFNFX) USD 64.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.212USD0.21222023-03-15
20224.90%USD 3.174USD1.32922022-12-16
USD0.21052022-09-14
USD1.41892022-06-15
USD0.21572022-03-16
202113.18%USD 8.533USD5.75512021-12-17
USD0.22152021-09-15
USD2.34072021-06-16
USD0.2162021-03-17
20203.05%USD 1.975USD0.56032020-12-18
USD0.21352020-09-16
USD0.98722020-06-17
USD0.2142020-03-18
20197.27%USD 4.706USD3.5372019-12-20
USD0.212019-09-13
USD0.75982019-06-14
USD0.19932019-03-15
20189.04%USD 5.855USD4.73942018-12-21
USD0.20062018-09-14
USD0.72162018-06-15
USD0.1932018-03-16
20177.57%USD 4.904USD3.70032017-12-20
USD0.19482017-09-15
USD0.82272017-06-14
USD0.1862017-03-15
20164.10%USD 2.657USD1.71292016-12-21
USD0.18542016-09-16
USD0.58242016-06-15
USD0.17642016-03-16
20155.14%USD 3.331USD0.34252015-12-22
USD1.66852015-12-18
USD0.17922015-09-17
USD0.17632015-06-18
USD0.77972015-03-16
USD0.1852015-03-13
20148.18%USD 5.298USD3.572014-12-23
USD0.5862014-12-22
USD0.17252014-09-18
USD0.16342014-06-13
USD0.64332014-03-17
USD0.1632014-03-14
20133.01%USD 1.95USD1.18672013-12-19
USD0.3082013-12-18
USD0.15282013-09-13
USD0.15172013-06-13
USD0.1512013-03-18
20121.14%USD 0.736USD0.29432012-12-20
USD0.14712012-09-13
USD0.14712012-06-14
USD0.14742012-03-19
20111.06%USD 0.688USD0.26492011-12-16
USD0.14322011-09-15
USD0.142011-06-09
USD0.13942011-03-07
20100.98%USD 0.635USD0.22442010-12-16
USD0.13692010-09-16
USD0.13682010-06-10
USD0.1372010-03-08
20090.83%USD 0.54USD0.13462009-12-16
USD0.13682009-08-17
USD0.1362009-05-27
USD0.13232009-02-23
20081.60%USD 1.036USD0.22812008-12-17
USD0.13732008-08-18
USD0.13942008-05-27
USD0.38742008-02-19
USD0.1442008-02-15
20076.21%USD 4.023USD2.50682007-12-26
USD0.6162007-12-24
USD0.13632007-08-20
USD0.1442007-08-17
USD0.13742007-05-21
USD0.1462007-05-18
USD0.19312007-02-20
USD0.1432007-02-16
20064.23%USD 2.742USD1.71172006-12-28
USD0.2432006-12-27
USD0.13342006-08-21
USD0.1422006-08-18
USD0.12512006-05-30
USD0.1332006-05-26
USD0.12292006-02-21
USD0.1312006-02-17
20052.00%USD 1.296USD0.29172005-12-29
USD0.312005-12-28
USD0.11212005-08-22
USD0.122005-08-19
USD0.11232005-05-31
USD0.122005-05-27
USD0.11122005-02-22
USD0.1192005-02-18
20041.89%USD 1.226USD0.11032004-12-13
USD0.14992004-12-11
USD0.2782004-12-10
USD0.11022004-08-16
USD0.1182004-08-13
USD0.10972004-05-24
USD0.1172004-05-21
USD0.11252004-02-23
USD0.122004-02-20
20031.38%USD 0.893USD0.10872003-12-15
USD0.1162003-12-12
USD0.10912003-08-18
USD0.1172003-08-15
USD0.10912003-05-19
USD0.1162003-05-16
USD0.10482003-02-22
USD0.1122003-02-21
20020.81%USD 0.522USD0.22002-12-14
USD0.2142002-12-13
USD0.10822002-08-17