WASHINGTON MUTUAL INVESTORS FUND CLASS C(WSHCX) USD 52.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.21%USD 0.108USD0.1082023-03-15
20225.48%USD 2.877USD1.04942022-12-16
USD0.10872022-09-14
USD1.62112022-06-15
USD0.09812022-03-16
20216.18%USD 3.244USD1.22912021-12-17
USD0.09872021-09-15
USD1.80552021-06-16
USD0.11092021-03-17
20202.28%USD 1.196USD0.82932020-12-18
USD0.11772020-09-16
USD0.13112020-06-17
USD0.11752020-03-18
20195.54%USD 2.907USD1.66122019-12-20
USD0.1162019-09-13
USD1.01112019-06-14
USD0.11892019-03-15
20185.65%USD 2.966USD1.15742018-12-21
USD0.11232018-09-14
USD1.58752018-06-15
USD0.10892018-03-16
20175.76%USD 3.023USD1.65712017-12-18
USD0.10742017-09-15
USD1.14872017-06-16
USD0.112017-03-17
20164.36%USD 2.287USD1.952016-12-19
USD0.10842016-09-16
USD0.11242016-06-17
USD0.11582016-03-18
20153.94%USD 2.068USD1.75832015-12-18
USD0.10442015-09-21
USD0.10162015-06-22
USD0.1042015-03-23
20144.84%USD 2.539USD2.24472014-12-22
USD0.09512014-09-22
USD0.0982014-06-23
USD0.1012014-03-24
20133.03%USD 1.588USD1.02612013-12-23
USD0.2512013-12-20
USD0.09962013-09-23
USD0.10262013-06-24
USD0.10852013-03-25
20120.89%USD 0.469USD0.1592012-12-26
USD0.12012-09-24
USD0.10562012-06-18
USD0.1042012-03-26
20110.88%USD 0.46USD0.1682011-12-19
USD0.0992011-09-26
USD0.09522011-06-20
USD0.09742011-03-21
20100.95%USD 0.498USD0.16392010-12-20
USD0.12010-09-27
USD0.09912010-06-21
USD0.0362010-04-30
USD0.09872010-03-22
20091.00%USD 0.525USD0.12252009-12-21
USD0.12942009-09-28
USD0.12982009-06-22
USD0.14372009-03-23
20082.10%USD 1.105USD0.6192008-12-22
USD0.1362008-12-19
USD0.11892008-09-22
USD0.11532008-06-23
USD0.11532008-03-24
20074.61%USD 2.419USD2.00712007-12-24
USD0.1072007-12-21
USD0.10472007-09-24
USD0.10142007-06-25
USD0.09882007-03-26
20062.46%USD 1.29USD0.91542006-12-26
USD0.0992006-12-22
USD0.09022006-09-18
USD0.09072006-06-19
USD0.0952006-03-17
20051.72%USD 0.903USD0.51592005-12-19
USD0.0962005-12-16
USD0.08522005-09-19
USD0.08562005-06-20
USD0.0442005-04-22
USD0.07632005-03-21
20041.30%USD 0.682USD0.33822004-12-20
USD0.1152004-12-17
USD0.07852004-09-20
USD0.07432004-06-21
USD0.07592004-03-22
20030.99%USD 0.521USD0.26182003-12-19
USD0.08232003-09-22
USD0.08552003-06-23
USD0.09092003-03-31
20020.91%USD 0.476USD0.12592002-12-21
USD0.0892002-12-20
USD0.08792002-09-21
USD0.08352002-06-22
USD0.08992002-03-23
20011.79%USD 0.942USD0.71362001-12-22
USD0.0882001-12-21
USD0.08672001-09-24
USD0.05342001-06-22