INCOME FUND OF AMERICA CLASS R-1(RIDAX) USD 22.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.55%USD 0.126USD0.12552023-03-13
20226.09%USD 1.393USD1.04052022-12-13
USD0.12032022-09-12
USD0.11692022-06-13
USD0.1152022-03-14
20216.65%USD 1.522USD1.17662021-12-14
USD0.11412021-09-13
USD0.11372021-06-14
USD0.11712021-03-15
20202.54%USD 0.581USD0.21272020-12-15
USD0.12252020-09-14
USD0.12672020-06-15
USD0.11862020-03-16
20194.65%USD 1.065USD0.70642019-12-17
USD0.11852019-09-11
USD0.11952019-06-12
USD0.12042019-03-13
20186.01%USD 1.376USD1.02832018-12-18
USD0.11492018-09-12
USD0.11762018-06-13
USD0.11522018-03-14
20174.23%USD 0.967USD0.6142017-12-19
USD0.11652017-09-13
USD0.1182017-06-14
USD0.11872017-03-15
20162.17%USD 0.496USD0.13072016-12-20
USD0.11972016-09-14
USD0.12192016-06-15
USD0.1242016-03-16
20153.72%USD 0.852USD0.48872015-12-21
USD0.12152015-09-17
USD0.1192015-06-18
USD0.12252015-03-16
20142.67%USD 0.611USD0.24922014-12-23
USD0.11922014-09-22
USD0.12052014-06-16
USD0.12172014-03-17
20132.17%USD 0.496USD0.12112013-12-23
USD0.12472013-09-16
USD0.12352013-06-17
USD0.12672013-03-18
20122.32%USD 0.532USD0.14512012-12-21
USD0.12742012-09-17
USD0.12992012-06-18
USD0.12952012-03-19
20112.42%USD 0.554USD0.16762011-12-27
USD0.12842011-09-19
USD0.12832011-06-20
USD0.12962011-03-21
20102.67%USD 0.611USD0.21562010-12-27
USD0.13062010-09-20
USD0.13122010-06-21
USD0.13312010-03-22
20092.49%USD 0.571USD0.13032009-12-28
USD0.13412009-09-21
USD0.13422009-06-22
USD0.1722009-03-20
20082.99%USD 0.684USD0.2072008-12-24
USD0.1612008-09-19
USD0.1592008-06-20
USD0.1572008-03-20
20077.49%USD 1.713USD0.97922007-12-24
USD0.2812007-12-21
USD0.1512007-09-21
USD0.152007-06-22
USD0.1522007-03-23
20065.79%USD 1.326USD0.60172006-12-26
USD0.3022006-12-22
USD0.1442006-09-22
USD0.1442006-06-23
USD0.1342006-03-24
20052.36%USD 0.539USD0.1852005-12-23
USD0.1242005-09-23
USD0.11982005-06-27
USD0.11032005-03-28
20043.61%USD 0.827USD0.25562004-12-27
USD0.132004-12-23
USD0.11262004-09-27
USD0.042004-08-31
USD0.042004-07-30
USD0.11362004-06-28
USD0.13472004-03-29
20032.46%USD 0.563USD0.12772003-12-15
USD0.14832003-09-15
USD0.14042003-06-16
USD0.1472003-03-17
20021.47%USD 0.337USD0.16752002-12-14
USD0.16982002-09-14