AMERICAN FUNDS GLOBAL BALANCED FUND CLASS R-1(RGBLX) USD 34.16
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.12%USD 0.04USD0.03992023-03-24
20220.80%USD 0.272USD0.05782022-12-20
USD0.14642022-06-24
USD0.06822022-03-25
20215.94%USD 2.028USD1.75522021-12-21
USD0.10592021-09-24
USD0.07092021-06-25
USD0.09552021-03-26
20200.60%USD 0.204USD0.06462020-12-18
USD0.06882020-09-18
USD0.03262020-06-19
USD0.03752020-03-20
20191.13%USD 0.386USD0.08722019-12-19
USD0.07252019-09-20
USD0.14152019-06-21
USD0.08492019-03-22
20181.29%USD 0.442USD0.09282018-12-20
USD0.08332018-09-21
USD0.17032018-06-22
USD0.09572018-03-23
20172.24%USD 0.766USD0.56242017-12-21
USD0.06232017-09-22
USD0.11362017-06-23
USD0.02782017-03-24
20161.08%USD 0.369USD0.1082016-12-22
USD0.12282016-09-22
USD0.09652016-06-23
USD0.04152016-03-24
20152.10%USD 0.716USD0.61112015-12-23
USD0.03872015-09-25
USD0.03612015-06-26
USD0.03032015-03-30
20143.37%USD 1.152USD0.7712014-12-29
USD0.0492014-12-26
USD0.06282014-09-26
USD0.13632014-06-27
USD0.13322014-03-31
20132.68%USD 0.916USD0.5892013-12-30
USD0.0712013-12-27
USD0.06692013-09-27
USD0.12962013-06-28
USD0.05922013-03-28
20121.16%USD 0.397USD0.14512012-12-28
USD0.08732012-09-28
USD0.11682012-06-29
USD0.04782012-03-30
20110.49%USD 0.168USD0.05132011-12-27
USD0.05942011-09-19
USD0.05762011-06-20