AMERICAN FUNDS FUNDAMENTAL INVESTORS CLASS R-6(RFNGX) USD 64.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.22USD0.22022023-03-15
20224.96%USD 3.21USD1.33742022-12-16
USD0.21842022-09-14
USD1.42772022-06-15
USD0.22612022-03-16
202113.25%USD 8.573USD5.76452021-12-17
USD0.23152021-09-15
USD2.35052021-06-16
USD0.22612021-03-17
20203.10%USD 2.005USD0.56782020-12-18
USD0.2212020-09-16
USD0.9942020-06-17
USD0.2222020-03-18
20197.32%USD 4.737USD3.54442019-12-20
USD0.21932019-09-13
USD0.76652019-06-14
USD0.20672019-03-15
20189.10%USD 5.888USD4.74832018-12-21
USD0.20922018-09-14
USD0.72842018-06-15
USD0.2022018-03-16
20177.63%USD 4.934USD3.70882017-12-20
USD0.20232017-09-15
USD0.82972017-06-14
USD0.19312017-03-15
20164.15%USD 2.683USD1.71862016-12-21
USD0.19412016-09-16
USD0.58852016-06-15
USD0.1822016-03-16
20155.20%USD 3.366USD2.0232015-12-22
USD0.18522015-09-17
USD0.18292015-06-18
USD0.78442015-03-16
USD0.192015-03-13
20148.25%USD 5.337USD3.57672014-12-23
USD0.5932014-12-22
USD0.17912014-09-18
USD0.17032014-06-13
USD0.64932014-03-17
USD0.1692014-03-14
20133.06%USD 1.979USD1.19272013-12-19
USD0.3142013-12-18
USD0.15882013-09-13
USD0.15722013-06-13
USD0.15632013-03-18
20121.17%USD 0.755USD0.29952012-12-20
USD0.1522012-09-13
USD0.15172012-06-14
USD0.15192012-03-19
20111.09%USD 0.706USD0.26932011-12-16
USD0.14772011-09-15
USD0.1452011-06-09
USD0.14392011-03-07
20101.01%USD 0.65USD0.22842010-12-16
USD0.14082010-09-16
USD0.14072010-06-10
USD0.14052010-03-08
20090.63%USD 0.409USD0.13782009-12-16
USD0.14032009-08-17
USD0.13062009-05-27