WASHINGTON MUTUAL INVESTORS FUND CLASS R-4(RWMEX) USD 53.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.2USD0.22023-03-15
20226.14%USD 3.256USD1.14022022-12-16
USD0.19932022-09-14
USD1.72032022-06-15
USD0.19662022-03-16
20216.85%USD 3.632USD1.332021-12-17
USD0.19872021-09-15
USD1.9052021-06-16
USD0.1982021-03-17
20202.87%USD 1.521USD0.91572020-12-18
USD0.20212020-09-16
USD0.2032020-06-17
USD0.20062020-03-18
20196.09%USD 3.229USD1.74582019-12-20
USD0.19672019-09-13
USD1.09022019-06-14
USD0.19592019-03-15
20186.21%USD 3.292USD1.2352018-12-21
USD0.19242018-09-14
USD1.67372018-06-15
USD0.19042018-03-16
20176.31%USD 3.344USD1.74182017-12-18
USD0.18742017-09-15
USD1.22892017-06-16
USD0.18622017-03-17
20164.86%USD 2.579USD2.02812016-12-19
USD0.18332016-09-16
USD0.18372016-06-17
USD0.18382016-03-18
20154.46%USD 2.365USD1.83152015-12-18
USD0.17822015-09-21
USD0.17462015-06-22
USD0.18062015-03-23
20145.36%USD 2.842USD2.32472014-12-22
USD0.17162014-09-22
USD0.17282014-06-23
USD0.17312014-03-24
20133.65%USD 1.933USD1.09892013-12-23
USD0.3242013-12-20
USD0.16962013-09-23
USD0.16992013-06-24
USD0.17092013-03-25
20121.33%USD 0.704USD0.21972012-12-26
USD0.15952012-09-24
USD0.16192012-06-18
USD0.16262012-03-26
20111.26%USD 0.669USD0.21962011-12-19
USD0.152011-09-26
USD0.14952011-06-20
USD0.15032011-03-21
20101.23%USD 0.652USD0.21442010-12-20
USD0.14662010-09-27
USD0.1462010-06-21
USD0.14472010-03-22
20091.31%USD 0.694USD0.16772009-12-21
USD0.17232009-09-28
USD0.17692009-06-22
USD0.17662009-03-23
20082.57%USD 1.361USD0.66152008-12-22
USD0.182008-12-19
USD0.17422008-09-22
USD0.17292008-06-23
USD0.1722008-03-24
20075.18%USD 2.745USD2.0722007-12-24
USD0.1732007-12-21
USD0.1692007-09-24
USD0.1692007-06-25
USD0.16162007-03-26
20063.02%USD 1.602USD0.98032006-12-26
USD0.1652006-12-22
USD0.15062006-09-18
USD0.15012006-06-19
USD0.1562006-03-17
20052.16%USD 1.144USD0.57162005-12-19
USD0.1532005-12-16
USD0.14262005-09-19
USD0.14262005-06-20
USD0.13392005-03-21
20041.82%USD 0.963USD0.39622004-12-20
USD0.1742004-12-17
USD0.13452004-09-20
USD0.12622004-06-21
USD0.1322004-03-22
20031.33%USD 0.703USD0.12872003-12-22
USD0.18142003-12-19
USD0.13082003-09-22
USD0.1292003-06-23
USD0.13272003-03-31
20020.86%USD 0.455USD0.1722002-12-21
USD0.14532002-09-21
USD0.13762002-06-22