WASHINGTON MUTUAL INVESTORS FUND CLASS F-1(WSHFX) USD 53.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.2USD0.19962023-03-15
20226.12%USD 3.25USD1.13942022-12-16
USD0.19652022-09-14
USD1.71732022-06-15
USD0.19652022-03-16
20216.82%USD 3.62USD1.32832021-12-17
USD0.19552021-09-15
USD1.90162021-06-16
USD0.19492021-03-17
20202.84%USD 1.51USD0.91272020-12-18
USD0.20052020-09-16
USD0.19682020-06-17
USD0.19982020-03-18
20196.06%USD 3.219USD1.74312019-12-20
USD0.19552019-09-13
USD1.08782019-06-14
USD0.19262019-03-15
20186.18%USD 3.281USD1.23442018-12-21
USD0.19182018-09-14
USD1.66572018-06-15
USD0.18932018-03-16
20176.27%USD 3.328USD1.73722017-12-18
USD0.18292017-09-15
USD1.22422017-06-16
USD0.18372017-03-17
20164.84%USD 2.569USD2.02432016-12-19
USD0.18112016-09-16
USD0.18062016-06-17
USD0.18262016-03-18
20154.44%USD 2.357USD1.832015-12-18
USD0.1762015-09-21
USD0.17462015-06-22
USD0.17622015-03-23
20145.32%USD 2.826USD2.32262014-12-22
USD0.16732014-09-19
USD0.1642014-06-23
USD0.17252014-03-24
20133.61%USD 1.92USD1.09612013-12-23
USD0.3212013-12-20
USD0.16542013-09-23
USD0.16922013-06-24
USD0.16812013-03-25
20121.32%USD 0.701USD0.21852012-12-26
USD0.15942012-09-24
USD0.16132012-06-18
USD0.16162012-03-26
20111.26%USD 0.67USD0.21972011-12-19
USD0.152011-09-26
USD0.15012011-06-20
USD0.15022011-03-21
20101.30%USD 0.69USD0.21392010-12-20
USD0.14632010-09-27
USD0.1462010-06-21
USD0.0392010-04-30
USD0.14492010-03-22
20091.30%USD 0.692USD0.17022009-12-21
USD0.17142009-09-28
USD0.17282009-06-22
USD0.17732009-03-23
20082.57%USD 1.366USD0.66142008-12-22
USD0.1792008-12-19
USD0.17522008-09-22
USD0.17532008-06-23
USD0.17462008-03-24
20075.21%USD 2.767USD2.07652007-12-24
USD0.1772007-12-21
USD0.17442007-09-24
USD0.17352007-06-25
USD0.16552007-03-26
20063.06%USD 1.625USD0.98442006-12-26
USD0.1692006-12-22
USD0.15522006-09-18
USD0.15592006-06-19
USD0.162006-03-17
20052.24%USD 1.19USD0.57612005-12-19
USD0.1572005-12-16
USD0.14432005-09-19
USD0.14142005-06-20
USD0.0392005-04-22
USD0.13192005-03-21
20041.80%USD 0.954USD0.39452004-12-20
USD0.1722004-12-17
USD0.13252004-09-20
USD0.1252004-06-18
USD0.13012004-03-22
20031.32%USD 0.699USD0.30812003-12-19
USD0.13062003-09-22
USD0.12832003-06-23
USD0.13232003-03-31
20021.29%USD 0.686USD0.16592002-12-21
USD0.132002-12-20
USD0.13152002-09-21
USD0.12652002-06-22
USD0.13232002-03-23
20012.14%USD 1.136USD0.75222001-12-22
USD0.1272001-12-21
USD0.13082001-09-24
USD0.12572001-06-22