CAPITAL WORLD GROWTH & INCOME FUND CLASS R-1(RWIAX) USD 55
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.101USD0.1012023-03-13
20221.23%USD 0.674USD0.23692022-12-13
USD0.10612022-09-12
USD0.24552022-06-13
USD0.08562022-03-14
20217.01%USD 3.858USD3.46782021-12-14
USD0.0772021-09-13
USD0.22812021-06-14
USD0.08492021-03-15
20200.63%USD 0.348USD0.02382020-12-15
USD0.10242020-09-14
USD0.12012020-06-15
USD0.10142020-03-16
20191.65%USD 0.908USD0.43312019-12-17
USD0.10652019-09-11
USD0.25622019-06-12
USD0.11262019-03-13
20185.01%USD 2.757USD2.31582018-12-18
USD0.09562018-09-12
USD0.2492018-06-13
USD0.09642018-03-14
20175.54%USD 3.045USD2.5772017-12-20
USD0.10062017-09-13
USD0.25512017-06-14
USD0.11252017-03-15
20163.56%USD 1.96USD1.46022016-12-21
USD0.11412016-09-14
USD0.26612016-06-15
USD0.122016-03-16
20152.52%USD 1.385USD0.9032015-12-22
USD0.07972015-09-17
USD0.31992015-06-18
USD0.08282015-03-16
20141.24%USD 0.683USD0.19912014-12-15
USD0.07432014-09-22
USD0.32612014-06-16
USD0.0832014-03-17
20131.26%USD 0.691USD0.16262013-12-16
USD0.09212013-09-23
USD0.33772013-06-17
USD0.09852013-03-18
20121.30%USD 0.714USD0.19632012-12-17
USD0.09122012-09-24
USD0.34042012-06-18
USD0.08632012-03-19
20111.22%USD 0.67USD0.1862011-12-19
USD0.08322011-09-19
USD0.32022011-06-20
USD0.08052011-03-21
20101.15%USD 0.634USD0.12842010-12-20
USD0.08522010-09-20
USD0.33082010-06-21
USD0.08942010-03-22
20091.18%USD 0.649USD0.112009-12-17
USD0.09182009-09-28
USD0.34172009-06-22
USD0.1052009-03-23
20081.60%USD 0.879USD0.24552008-12-18
USD0.17642008-09-25
USD0.34252008-06-26
USD0.11442008-03-24
20077.59%USD 4.174USD3.41262007-12-18
USD0.2032007-12-17
USD0.1482007-09-24
USD0.2952007-06-18
USD0.1152007-03-19
20064.41%USD 2.428USD1.88212006-12-21
USD0.1622006-12-20
USD0.11262006-09-20
USD0.20282006-06-20
USD0.0682006-03-17
20053.79%USD 2.085USD1.59122005-12-21
USD0.2242005-12-20
USD0.07262005-09-26
USD0.12212005-06-06
USD0.07472005-03-21
20044.57%USD 2.512USD1.74062004-12-13
USD0.2332004-12-10
USD0.06922004-09-27
USD0.09542004-09-25
USD0.1732004-09-24
USD0.11472004-06-07
USD0.08612004-03-22
20031.46%USD 0.804USD0.3872003-12-12
USD0.08352003-09-22
USD0.0882003-09-19
USD0.12052003-06-09
USD0.12492003-03-24
20020.28%USD 0.152USD0.0552002-12-13
USD0.09672002-09-20