INCOME FUND OF AMERICA CLASS R-2(RIDBX) USD 22.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.56%USD 0.126USD0.12642023-03-13
20226.13%USD 1.392USD1.04052022-12-13
USD0.122022-09-12
USD0.11752022-06-13
USD0.11412022-03-14
20216.72%USD 1.525USD1.17842021-12-14
USD0.11432021-09-13
USD0.11592021-06-14
USD0.11672021-03-15
20202.56%USD 0.583USD0.21372020-12-15
USD0.12262020-09-14
USD0.12652020-06-15
USD0.11972020-03-16
20194.70%USD 1.067USD0.70572019-12-17
USD0.1192019-09-11
USD0.12092019-06-12
USD0.12112019-03-13
20186.08%USD 1.38USD1.02812018-12-18
USD0.11572018-09-12
USD0.122018-06-13
USD0.11612018-03-14
20174.27%USD 0.969USD0.61442017-12-19
USD0.11752017-09-13
USD0.11892017-06-14
USD0.11862017-03-15
20162.20%USD 0.499USD0.13082016-12-20
USD0.12122016-09-14
USD0.1222016-06-15
USD0.12472016-03-16
20153.78%USD 0.858USD0.48872015-12-21
USD0.12282015-09-17
USD0.12252015-06-18
USD0.12432015-03-16
20143.80%USD 0.864USD0.12162014-12-23
USD0.2512014-12-22
USD0.12832014-12-19
USD0.11972014-09-22
USD0.12062014-06-16
USD0.12242014-03-17
20132.21%USD 0.503USD0.12312013-12-23
USD0.12572013-09-16
USD0.1262013-06-17
USD0.12812013-03-18
20122.35%USD 0.534USD0.14762012-12-21
USD0.1272012-09-17
USD0.12942012-06-18
USD0.12962012-03-19
20112.44%USD 0.553USD0.16762011-12-27
USD0.12812011-09-19
USD0.12822011-06-20
USD0.12942011-03-21
20102.71%USD 0.616USD0.21522010-12-27
USD0.13052010-09-20
USD0.132010-06-21
USD0.0112010-04-30
USD0.12922010-03-22
20092.47%USD 0.561USD0.1292009-12-28
USD0.13172009-09-21
USD0.12992009-06-22
USD0.172009-03-20
20082.96%USD 0.672USD0.2022008-12-24
USD0.1582008-09-19
USD0.1552008-06-20
USD0.1572008-03-20
20077.54%USD 1.711USD0.97822007-12-24
USD0.282007-12-21
USD0.1512007-09-21
USD0.152007-06-22
USD0.1522007-03-23
20065.84%USD 1.327USD0.60172006-12-26
USD0.3022006-12-22
USD0.1442006-09-22
USD0.1442006-06-23
USD0.1352006-03-24
20052.38%USD 0.541USD0.1862005-12-23
USD0.12122005-09-26
USD0.12152005-06-27
USD0.11212005-03-28
20043.32%USD 0.755USD0.11332004-12-27
USD0.1442004-12-24
USD0.1322004-12-23
USD0.11422004-09-27
USD0.11522004-06-28
USD0.13632004-03-29
20032.50%USD 0.567USD0.12962003-12-15
USD0.14832003-09-15
USD0.14272003-06-16
USD0.14672003-03-17
20022.34%USD 0.532USD0.1762002-12-14
USD0.1772002-09-14
USD0.17852002-06-15