WASHINGTON MUTUAL INVESTORS FUND CLASS R-2(RWMBX) USD 52.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.106USD0.10622023-03-15
20225.45%USD 2.856USD1.04412022-12-16
USD0.10632022-09-14
USD1.61732022-06-15
USD0.0882022-03-16
20216.17%USD 3.229USD1.22732021-12-17
USD0.09462021-09-15
USD1.80472021-06-16
USD0.10242021-03-17
20202.27%USD 1.188USD0.82872020-12-18
USD0.11862020-09-16
USD0.1282020-06-17
USD0.11312020-03-18
20195.52%USD 2.893USD1.65472019-12-20
USD0.11152019-09-13
USD1.00932019-06-14
USD0.11742019-03-15
20185.63%USD 2.95USD1.15022018-12-21
USD0.1062018-09-14
USD1.58962018-06-15
USD0.10432018-03-16
20175.77%USD 3.021USD1.65582017-12-18
USD0.1072017-09-15
USD1.1492017-06-16
USD0.10892017-03-17
20164.37%USD 2.289USD1.94852016-12-19
USD0.1092016-09-16
USD0.11212016-06-17
USD0.11892016-03-18
20153.98%USD 2.085USD1.75762015-12-18
USD0.10832015-09-21
USD0.10652015-06-22
USD0.11212015-03-23
20144.88%USD 2.553USD2.252014-12-22
USD0.09832014-09-22
USD0.10112014-06-23
USD0.1042014-03-24
20133.09%USD 1.62USD1.03222013-12-23
USD0.2572013-12-20
USD0.10722013-09-23
USD0.1092013-06-24
USD0.11452013-03-25
20120.93%USD 0.485USD0.16472012-12-26
USD0.10342012-09-24
USD0.10852012-06-18
USD0.10872012-03-26
20110.89%USD 0.467USD0.16882011-12-19
USD0.10022011-09-26
USD0.09782011-06-20
USD0.10062011-03-21
20100.89%USD 0.465USD0.16582010-12-20
USD0.10142010-09-27
USD0.09932010-06-21
USD0.09852010-03-22
20090.99%USD 0.518USD0.12172009-12-21
USD0.12762009-09-28
USD0.12962009-06-22
USD0.13942009-03-23
20082.09%USD 1.096USD0.61592008-12-22
USD0.1332008-12-19
USD0.1212008-09-22
USD0.11362008-06-23
USD0.11222008-03-24
20074.60%USD 2.409USD2.00562007-12-24
USD0.1052007-12-21
USD0.10052007-09-24
USD0.09972007-06-25
USD0.09782007-03-26
20062.46%USD 1.29USD0.91462006-12-26
USD0.0982006-12-22
USD0.09052006-09-18
USD0.09042006-06-19
USD0.0962006-03-17
20051.65%USD 0.863USD0.51492005-12-19
USD0.0952005-12-16
USD0.08522005-09-19
USD0.08792005-06-20
USD0.082005-03-21
20041.33%USD 0.697USD0.34032004-12-20
USD0.1172004-12-17
USD0.08112004-09-20
USD0.07642004-06-21
USD0.08242004-03-22
20031.05%USD 0.551USD0.26352003-12-19
USD0.08742003-09-22
USD0.09442003-06-23
USD0.10522003-03-31
20020.75%USD 0.391USD0.14722002-12-21
USD0.12372002-09-21
USD0.11992002-06-22