WASHINGTON MUTUAL INVESTORS FUND CLASS R-3(RWMCX) USD 52.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.161USD0.16132023-03-15
20225.86%USD 3.092USD1.10082022-12-16
USD0.16062022-09-14
USD1.67812022-06-15
USD0.15292022-03-16
20216.57%USD 3.467USD1.2882021-12-17
USD0.15552021-09-15
USD1.86422021-06-16
USD0.15962021-03-17
20202.62%USD 1.383USD0.87892020-12-18
USD0.16752020-09-16
USD0.17242020-06-17
USD0.16462020-03-18
20195.85%USD 3.09USD1.7082019-12-20
USD0.16182019-09-13
USD1.05672019-06-14
USD0.16342019-03-15
20185.97%USD 3.15USD1.20132018-12-21
USD0.15682018-09-14
USD1.63642018-06-15
USD0.15532018-03-16
20176.08%USD 3.21USD1.70552017-12-18
USD0.15432017-09-15
USD1.19562017-06-16
USD0.15482017-03-17
20164.66%USD 2.459USD1.9962016-12-19
USD0.15282016-09-16
USD0.15372016-06-17
USD0.15642016-03-18
20154.25%USD 2.244USD1.80022015-12-18
USD0.14862015-09-21
USD0.14432015-06-22
USD0.1512015-03-19
20145.15%USD 2.719USD2.29262014-12-22
USD0.13942014-09-22
USD0.14292014-06-23
USD0.14372014-03-24
20133.40%USD 1.796USD1.072013-12-23
USD0.2952013-12-20
USD0.14122013-09-23
USD0.14332013-06-24
USD0.14682013-03-25
20121.16%USD 0.61USD0.19612012-12-26
USD0.13562012-09-24
USD0.13822012-06-18
USD0.14022012-03-26
20111.11%USD 0.585USD0.19872011-12-19
USD0.12872011-09-26
USD0.12812011-06-20
USD0.12982011-03-21
20101.09%USD 0.575USD0.19422010-12-20
USD0.12842010-09-27
USD0.12662010-06-21
USD0.12622010-03-22
20091.19%USD 0.626USD0.15052009-12-21
USD0.15492009-09-28
USD0.15722009-06-22
USD0.16312009-03-23
20082.40%USD 1.267USD0.64522008-12-22
USD0.1632008-12-19
USD0.15612008-09-22
USD0.15252008-06-23
USD0.14972008-03-24
20074.96%USD 2.618USD2.04812007-12-24
USD0.1492007-12-21
USD0.14082007-09-24
USD0.14272007-06-25
USD0.13732007-03-26
20062.81%USD 1.484USD0.95572006-12-26
USD0.142006-12-22
USD0.12822006-09-18
USD0.12672006-06-19
USD0.1332006-03-17
20051.96%USD 1.037USD0.54742005-12-19
USD0.1282005-12-16
USD0.12052005-09-19
USD0.12762005-06-20
USD0.11362005-03-21
20041.63%USD 0.86USD0.38232004-12-20
USD0.162004-12-17
USD0.10712004-09-20
USD0.10252004-06-21
USD0.10832004-03-22
20031.22%USD 0.643USD0.28962003-12-19
USD0.1122003-09-22
USD0.12012003-06-23
USD0.12092003-03-31
20020.79%USD 0.419USD0.16072002-12-21
USD0.12972002-09-21
USD0.12852002-06-22