AMERICAN MUTUAL FUND CLASS R-2(RMFBX) USD 48.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.12USD0.11982023-03-15
20224.05%USD 1.975USD1.64772022-12-14
USD0.11742022-09-14
USD0.10792022-06-15
USD0.10232022-03-16
20214.32%USD 2.104USD1.76742021-12-15
USD0.10772021-09-15
USD0.11272021-06-16
USD0.11662021-03-17
20201.12%USD 0.544USD0.16192020-12-16
USD0.12592020-09-16
USD0.13462020-06-17
USD0.12112020-03-18
20193.58%USD 1.746USD1.38052019-12-18
USD0.12182019-09-13
USD0.12082019-06-14
USD0.12292019-03-15
20184.40%USD 2.144USD1.81262018-12-19
USD0.10822018-09-14
USD0.11712018-06-15
USD0.1062018-03-16
20174.44%USD 2.162USD1.82742017-12-18
USD0.10922017-09-15
USD0.11262017-06-16
USD0.11292017-03-17
20163.06%USD 1.489USD1.14652016-12-19
USD0.11172016-09-16
USD0.11292016-06-17
USD0.11832016-03-18
20153.93%USD 1.914USD1.57442015-12-18
USD0.11282015-09-21
USD0.11112015-06-22
USD0.11612015-03-16
20143.54%USD 1.727USD1.41632014-12-22
USD0.10922014-09-22
USD0.10142014-06-16
USD0.09992014-03-17
20132.54%USD 1.24USD0.81322013-12-23
USD0.112013-12-20
USD0.10592013-09-16
USD0.10312013-06-17
USD0.10732013-03-18
20120.92%USD 0.45USD0.14542012-12-21
USD0.10192012-09-24
USD0.10072012-06-18
USD0.10232012-03-15
20110.90%USD 0.438USD0.14392011-12-23
USD0.10122011-09-19
USD0.09552011-06-20
USD0.09782011-03-21
20100.87%USD 0.424USD0.1232010-12-23
USD0.10162010-09-20
USD0.09942010-06-21
USD0.10032010-03-22
20090.98%USD 0.48USD0.16762009-12-23
USD0.10292009-09-21
USD0.10242009-06-22
USD0.10662009-03-23
20081.65%USD 0.805USD0.28112008-12-16
USD0.232008-12-15
USD0.10092008-09-22
USD0.09452008-06-23
USD0.09862008-03-17
20073.52%USD 1.716USD1.35642007-12-17
USD0.0952007-12-14
USD0.0922007-09-24
USD0.08342007-06-18
USD0.08872007-03-26
20062.28%USD 1.113USD0.78132006-12-22
USD0.0882006-12-21
USD0.08062006-09-25
USD0.07992006-06-19
USD0.0832006-03-17
20052.73%USD 1.332USD1.06082005-12-22
USD0.0732005-12-21
USD0.07082005-09-26
USD0.06462005-06-20
USD0.06292005-03-21
20040.70%USD 0.344USD0.10552004-12-03
USD0.0582004-12-02
USD0.05722004-09-27
USD0.04352004-06-21
USD0.07942004-03-19
20031.08%USD 0.528USD0.1692003-12-05
USD0.0832003-12-04
USD0.08472003-09-22
USD0.09192003-06-23
USD0.09912003-03-21
20021.26%USD 0.615USD0.39872002-12-06
USD0.10542002-09-21
USD0.11132002-06-22