INCOME FUND OF AMERICA CLASS R-5(RIDFX) USD 23.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.80%USD 0.185USD0.18492023-03-13
20227.13%USD 1.643USD1.1012022-12-13
USD0.18032022-09-12
USD0.1812022-06-13
USD0.18092022-03-14
20217.76%USD 1.789USD1.24522021-12-14
USD0.18152021-09-13
USD0.1822021-06-14
USD0.18032021-03-15
20203.52%USD 0.811USD0.27252020-12-15
USD0.17992020-09-14
USD0.17852020-06-15
USD0.18022020-03-16
20195.65%USD 1.301USD0.76882019-12-17
USD0.17862019-09-11
USD0.17712019-06-12
USD0.17692019-03-13
20187.03%USD 1.619USD1.0882018-12-18
USD0.1772018-09-12
USD0.17742018-06-13
USD0.17632018-03-14
20175.23%USD 1.204USD0.67592017-12-19
USD0.17682017-09-13
USD0.17552017-06-14
USD0.17582017-03-15
20163.10%USD 0.715USD0.1882016-12-20
USD0.17642016-09-14
USD0.17582016-06-15
USD0.17492016-03-16
20154.65%USD 1.072USD0.54362015-12-21
USD0.17572015-09-17
USD0.17532015-06-18
USD0.17752015-03-16
20143.60%USD 0.83USD0.30512014-12-23
USD0.17492014-09-22
USD0.17492014-06-16
USD0.17462014-03-17
20133.03%USD 0.697USD0.17412013-12-23
USD0.17482013-09-16
USD0.17452013-06-17
USD0.1742013-03-18
20123.10%USD 0.713USD0.19362012-12-21
USD0.17322012-09-17
USD0.17322012-06-18
USD0.17322012-03-19
20113.15%USD 0.726USD0.21092011-12-27
USD0.17132011-09-19
USD0.17212011-06-20
USD0.1722011-03-21
20103.40%USD 0.784USD0.25812010-12-27
USD0.17052010-09-20
USD0.17072010-06-21
USD0.0142010-04-30
USD0.17022010-03-22
20093.09%USD 0.713USD0.17042009-12-28
USD0.17062009-09-21
USD0.16992009-06-22
USD0.2022009-03-20
20083.73%USD 0.86USD0.2452008-12-24
USD0.2052008-09-19
USD0.2052008-06-20
USD0.2052008-03-20
20078.62%USD 1.985USD1.03232007-12-24
USD0.3352007-12-21
USD0.2062007-09-21
USD0.2062007-06-22
USD0.2062007-03-23
20066.63%USD 1.529USD0.60172006-12-26
USD0.3552006-12-22
USD0.1942006-09-22
USD0.1942006-06-23
USD0.1842006-03-24
20053.20%USD 0.737USD0.2352005-12-23
USD0.1742005-09-23
USD0.16862005-06-27
USD0.15942005-03-28
20044.72%USD 1.088USD0.3032004-12-27
USD0.1782004-12-23
USD0.15832004-09-27
USD0.0562004-08-31
USD0.0552004-07-30
USD0.15882004-06-28
USD0.17862004-03-29
20033.09%USD 0.712USD0.17992003-12-15
USD0.17592003-09-15
USD0.17792003-06-16
USD0.17792003-03-17
20023.40%USD 0.783USD0.19862002-12-14
USD0.1832002-12-13
USD0.20272002-09-14
USD0.19822002-06-15