INTERNATIONAL GROWTH AND INCOME FUND CLASS R-1(RIGAX) USD 34.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.08USD0.08042023-03-24
20223.02%USD 1.053USD0.43452022-12-20
USD0.31742022-09-23
USD0.23992022-06-24
USD0.06082022-03-25
20217.01%USD 2.443USD1.83932021-12-21
USD0.24062021-09-24
USD0.27872021-06-25
USD0.0842021-03-26
20200.86%USD 0.299USD0.06722020-12-21
USD0.10262020-09-18
USD0.04962020-06-19
USD0.07922020-03-20
20191.78%USD 0.619USD0.13772019-12-23
USD0.11922019-09-20
USD0.25062019-06-21
USD0.11132019-03-22
20181.61%USD 0.561USD0.00212018-12-24
USD0.16432018-09-21
USD0.32732018-06-22
USD0.06732018-03-23
20171.14%USD 0.397USD0.04452017-12-19
USD0.07762017-09-22
USD0.22442017-06-23
USD0.05072017-03-24
20161.33%USD 0.465USD0.08052016-12-20
USD0.09722016-09-22
USD0.22482016-06-23
USD0.06272016-03-16
20152.02%USD 0.705USD0.09072015-12-21
USD0.22122015-09-17
USD0.27712015-06-26
USD0.11572015-03-16
20145.57%USD 1.943USD1.10422014-12-22
USD0.13612014-09-18
USD0.29632014-06-25
USD0.40592014-03-17
20136.67%USD 2.326USD1.49762013-12-23
USD0.1252013-12-20
USD0.20132013-09-13
USD0.34812013-06-20
USD0.15412013-03-18
20122.21%USD 0.769USD0.15342012-12-26
USD0.15282012-09-12
USD0.35132012-06-13
USD0.11132012-03-19
20113.98%USD 1.386USD0.61782011-12-27
USD0.1042011-12-23
USD0.1392011-09-14
USD0.43372011-06-15
USD0.09142011-03-16
20103.09%USD 1.078USD0.38732010-12-27
USD0.2122010-12-23
USD0.12222010-09-15
USD0.27162010-06-16
USD0.0212010-04-30
USD0.06352010-03-17
20092.81%USD 0.978USD0.43292009-12-16
USD0.0622009-12-15
USD0.12992009-09-16
USD0.29142009-06-17
USD0.06212009-03-18