AMERICAN MUTUAL FUND CLASS R-5(RMFFX) USD 49.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.49%USD 0.242USD0.24192023-03-15
20225.04%USD 2.494USD1.77592022-12-14
USD0.24212022-09-14
USD0.23842022-06-15
USD0.23762022-03-16
20215.28%USD 2.613USD1.90012021-12-15
USD0.23892021-09-15
USD0.23912021-06-16
USD0.23472021-03-17
20201.95%USD 0.963USD0.27212020-12-16
USD0.22592020-09-16
USD0.2312020-06-17
USD0.23422020-03-18
20194.40%USD 2.175USD1.49672019-12-18
USD0.23172019-09-13
USD0.22352019-06-14
USD0.22282019-03-15
20185.20%USD 2.572USD1.92252018-12-19
USD0.21862018-09-14
USD0.21852018-06-15
USD0.2122018-03-16
20175.20%USD 2.57USD1.93632017-12-18
USD0.21242017-09-15
USD0.21092017-06-16
USD0.21062017-03-17
20163.76%USD 1.86USD1.24382016-12-19
USD0.2072016-09-16
USD0.20532016-06-17
USD0.20392016-03-18
20154.63%USD 2.288USD1.67012015-12-18
USD0.20522015-09-21
USD0.20492015-06-22
USD0.20752015-03-16
20144.24%USD 2.1USD1.51262014-12-22
USD0.20352014-09-22
USD0.19452014-06-16
USD0.18892014-03-17
20133.35%USD 1.659USD0.90272013-12-23
USD0.22013-12-20
USD0.18962013-09-16
USD0.18372013-06-17
USD0.1832013-03-18
20121.49%USD 0.739USD0.21972012-12-21
USD0.17652012-09-24
USD0.17142012-06-18
USD0.17142012-03-15
20111.43%USD 0.708USD0.21062011-12-23
USD0.16862011-09-19
USD0.16442011-06-20
USD0.16422011-03-21
20101.37%USD 0.678USD0.18992010-12-23
USD0.16282010-09-20
USD0.16342010-06-21
USD0.16172010-03-22
20091.44%USD 0.71USD0.2312009-12-23
USD0.16182009-09-21
USD0.15722009-06-22
USD0.16032009-03-23
20082.30%USD 1.139USD0.33642008-12-16
USD0.2862008-12-15
USD0.17192008-09-22
USD0.17272008-06-23
USD0.17182008-03-17
20074.26%USD 2.109USD1.43662007-12-17
USD0.1762007-12-14
USD0.17242007-09-24
USD0.16362007-06-18
USD0.16042007-03-26
20062.99%USD 1.477USD0.85722006-12-22
USD0.1652006-12-21
USD0.15082006-09-25
USD0.15042006-06-19
USD0.1542006-03-17
20053.38%USD 1.674USD1.12922005-12-22
USD0.1432005-12-21
USD0.14032005-09-26
USD0.13042005-06-20
USD0.13092005-03-21
20041.32%USD 0.653USD0.16882004-12-03
USD0.1222004-12-02
USD0.11992004-09-27
USD0.10082004-06-21
USD0.14112004-03-19
20031.59%USD 0.785USD0.2272003-12-05
USD0.1422003-12-04
USD0.1392003-09-22
USD0.13792003-06-23
USD0.13892003-03-21
20021.72%USD 0.853USD0.44082002-12-06
USD0.142002-12-05
USD0.13952002-09-21
USD0.13242002-06-22