WASHINGTON MUTUAL INVESTORS FUND CLASS R-1(RWMAX) USD 52.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.107USD0.10722023-03-15
20225.43%USD 2.859USD1.04432022-12-16
USD0.10582022-09-14
USD1.61932022-06-15
USD0.08912022-03-16
20216.12%USD 3.224USD1.22222021-12-17
USD0.09222021-09-15
USD1.80162021-06-16
USD0.10762021-03-17
20202.25%USD 1.184USD0.82692020-12-18
USD0.11922020-09-16
USD0.12862020-06-17
USD0.10952020-03-18
20195.48%USD 2.887USD1.65552019-12-20
USD0.1072019-09-13
USD1.00732019-06-14
USD0.11712019-03-15
20185.59%USD 2.942USD1.15052018-12-21
USD0.10412018-09-14
USD1.5862018-06-15
USD0.10182018-03-16
20175.73%USD 3.017USD1.65572017-12-18
USD0.10532017-09-15
USD1.14752017-06-16
USD0.10872017-03-17
20164.34%USD 2.285USD1.94822016-12-19
USD0.10782016-09-16
USD0.11322016-06-17
USD0.11552016-03-18
20153.92%USD 2.066USD1.75572015-12-18
USD0.10552015-09-21
USD0.09772015-06-22
USD0.10662015-03-23
20144.83%USD 2.541USD2.24572014-12-22
USD0.09432014-09-22
USD0.09922014-06-23
USD0.1022014-03-24
20133.03%USD 1.595USD1.02662013-12-23
USD0.2512013-12-20
USD0.10332013-09-23
USD0.10412013-06-24
USD0.10982013-03-25
20120.91%USD 0.48USD0.15862012-12-26
USD0.10252012-09-24
USD0.1092012-06-18
USD0.10952012-03-26
20110.88%USD 0.464USD0.16852011-12-19
USD0.09862011-09-26
USD0.09642011-06-20
USD0.10032011-03-21
20100.89%USD 0.469USD0.16622010-12-20
USD0.1022010-09-27
USD0.1012010-06-21
USD0.09992010-03-22
20091.02%USD 0.538USD0.12462009-12-21
USD0.13162009-09-28
USD0.13492009-06-22
USD0.14692009-03-23
20082.11%USD 1.111USD0.61982008-12-22
USD0.1372008-12-19
USD0.12292008-09-22
USD0.11792008-06-23
USD0.11382008-03-24
20074.57%USD 2.408USD2.00452007-12-24
USD0.1042007-12-21
USD0.10222007-09-24
USD0.10022007-06-25
USD0.0972007-03-26
20062.45%USD 1.29USD0.91562006-12-26
USD0.0992006-12-22
USD0.09072006-09-18
USD0.08932006-06-19
USD0.0952006-03-17
20051.62%USD 0.852USD0.51382005-12-19
USD0.0942005-12-16
USD0.08252005-09-19
USD0.0852005-06-20
USD0.07692005-03-21
20041.30%USD 0.687USD0.33832004-12-20
USD0.1152004-12-17
USD0.08032004-09-20
USD0.07712004-06-21
USD0.07642004-03-22
20031.00%USD 0.526USD0.2612003-12-19
USD0.08342003-09-22
USD0.08662003-06-23
USD0.09532003-03-31
20020.68%USD 0.356USD0.13332002-12-21
USD0.10532002-09-21
USD0.11782002-06-22