INCOME FUND OF AMERICA CLASS R-4(RIDEX) USD 23
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.73%USD 0.168USD0.16772023-03-13
20226.82%USD 1.57USD1.08332022-12-13
USD0.16262022-09-12
USD0.16222022-06-13
USD0.16162022-03-14
20217.44%USD 1.711USD1.22522021-12-14
USD0.16182021-09-13
USD0.16252021-06-14
USD0.16142021-03-15
20203.24%USD 0.745USD0.25522020-12-15
USD0.16322020-09-14
USD0.16352020-06-15
USD0.16292020-03-16
20195.36%USD 1.233USD0.75062019-12-17
USD0.16122019-09-11
USD0.16052019-06-12
USD0.16072019-03-13
20186.73%USD 1.548USD1.07032018-12-18
USD0.1592018-09-12
USD0.16012018-06-13
USD0.15882018-03-14
20174.95%USD 1.138USD0.6582017-12-19
USD0.15972017-09-13
USD0.1612017-06-14
USD0.15952017-03-15
20162.84%USD 0.653USD0.17192016-12-20
USD0.16032016-09-14
USD0.16022016-06-15
USD0.16022016-03-16
20154.38%USD 1.009USD0.52762015-12-21
USD0.16012015-09-17
USD0.1592015-06-18
USD0.16182015-03-16
20143.33%USD 0.767USD0.28932014-12-23
USD0.15862014-09-22
USD0.15942014-06-16
USD0.15942014-03-17
20132.78%USD 0.64USD0.15922013-12-23
USD0.16012013-09-16
USD0.16012013-06-17
USD0.16062013-03-18
20122.88%USD 0.661USD0.18042012-12-21
USD0.15982012-09-17
USD0.16022012-06-18
USD0.1612012-03-19
20112.94%USD 0.677USD0.19832011-12-27
USD0.15942011-09-19
USD0.15932011-06-20
USD0.15962011-03-21
20103.19%USD 0.734USD0.2462010-12-27
USD0.15882010-09-20
USD0.15952010-06-21
USD0.0112010-04-30
USD0.15882010-03-22
20092.93%USD 0.673USD0.15882009-12-28
USD0.162009-09-21
USD0.16052009-06-22
USD0.1942009-03-20
20083.51%USD 0.808USD0.2342008-12-24
USD0.1922008-09-19
USD0.1912008-06-20
USD0.1912008-03-20
20078.30%USD 1.908USD1.0172007-12-24
USD0.322007-12-21
USD0.192007-09-21
USD0.192007-06-22
USD0.1912007-03-23
20066.40%USD 1.472USD0.60172006-12-26
USD0.342006-12-22
USD0.182006-09-22
USD0.182006-06-23
USD0.172006-03-24
20052.96%USD 0.682USD0.2212005-12-23
USD0.162005-09-23
USD0.1552005-06-27
USD0.14572005-03-28
20043.97%USD 0.912USD0.28972004-12-27
USD0.1652004-12-23
USD0.14542004-09-27
USD0.1462004-06-28
USD0.16632004-03-29
20032.89%USD 0.665USD0.16472003-12-15
USD0.16682003-09-15
USD0.16582003-06-16
USD0.16762003-03-17
20021.68%USD 0.387USD0.19032002-12-14
USD0.19642002-09-14