AMERICAN FUNDS PRESERVATION PORTFOLIO CLASS A(PPVAX) USD 9.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.048USD0.02162023-03-29
USD0.01462023-02-24
USD0.01212023-01-27
20221.99%USD 0.188USD0.05322022-12-28
USD0.01422022-11-28
USD0.01172022-10-27
USD0.01432022-09-28
USD0.02142022-08-29
USD0.01482022-07-27
USD0.01482022-06-28
USD0.01452022-05-26
USD0.01062022-04-27
USD0.00822022-03-29
USD0.00342022-02-24
USD0.00712022-01-27
20211.01%USD 0.096USD0.03852021-12-29
USD0.00312021-11-26
USD0.00352021-10-27
USD0.00782021-09-28
USD0.00722021-08-27
USD0.00722021-07-28
USD0.00582021-06-28
USD0.00582021-05-26
USD0.00542021-04-28
USD0.00452021-03-29
USD0.00322021-02-24
USD0.00392021-01-27
20202.53%USD 0.239USD0.13232020-12-23
USD0.00652020-11-25
USD0.00692020-10-27
USD0.00672020-09-25
USD0.00732020-08-26
USD0.00812020-07-28
USD0.00842020-06-25
USD0.0122020-05-26
USD0.01772020-04-27
USD0.01312020-03-26
USD0.01112020-02-25
USD0.0092020-01-28
20192.01%USD 0.19USD0.03342019-12-27
USD0.0122019-11-26
USD0.01412019-10-28
USD0.01422019-09-25
USD0.01442019-08-27
USD0.0172019-07-26
USD0.01462019-06-25
USD0.01982019-05-28
USD0.01642019-04-25
USD0.01132019-03-26
USD0.01472019-02-25
USD0.00832019-01-28
20181.68%USD 0.159USD0.02072018-12-27
USD0.01292018-11-23
USD0.0132018-10-24
USD0.0122018-09-25
USD0.01592018-08-24
USD0.01562018-07-24
USD0.01432018-06-26
USD0.01242018-05-23
USD0.01462018-04-23
USD0.01252018-03-26
USD0.00822018-02-22
USD0.00662018-01-25
20171.11%USD 0.105USD0.01322017-12-27
USD0.00872017-11-21
USD0.00892017-10-25
USD0.00732017-09-21
USD0.00682017-08-22
USD0.00842017-07-24
USD0.00942017-06-22
USD0.00882017-05-24
USD0.01122017-04-21
USD0.01062017-03-23
USD0.00632017-02-21
USD0.00512017-01-26
20161.34%USD 0.127USD0.03652016-12-28
USD0.0082016-11-22
USD0.00722016-10-25
USD0.00782016-09-22
USD0.00952016-08-23
USD0.01152016-07-25
USD0.01262016-06-23
USD0.00792016-05-25
USD0.00712016-04-22
USD0.00712016-03-24
USD0.00482016-02-23
USD0.00652016-01-26
20151.58%USD 0.149USD0.01882015-12-29
USD0.00742015-11-25
USD0.0072015-11-24
USD0.00952015-10-28
USD0.012015-10-27
USD0.00992015-09-25
USD0.01062015-08-26
USD0.01222015-07-28
USD0.00952015-06-26
USD0.012015-06-25
USD0.01012015-05-28
USD0.00972015-04-27
USD0.00592015-03-26
USD0.00552015-02-25
USD0.0062015-02-24
USD0.00732015-01-28
20141.11%USD 0.105USD0.00912014-12-30
USD0.0082014-11-26
USD0.00612014-10-29
USD0.00692014-09-26
USD0.00762014-08-27
USD0.0082014-08-26
USD0.00782014-07-29
USD0.00792014-06-26
USD0.00832014-05-29
USD0.00732014-04-28
USD0.00962014-03-27
USD0.00842014-02-26
USD0.00992014-01-29
20131.27%USD 0.12USD0.01092013-12-30
USD0.01072013-12-02
USD0.01042013-10-30
USD0.00882013-09-27
USD0.00872013-08-29
USD0.00932013-07-30
USD0.00812013-06-27
USD0.00952013-05-30
USD0.012013-05-29
USD0.00912013-04-29
USD0.00872013-03-28
USD0.00782013-02-27
USD0.00812013-01-30
20120.73%USD 0.069USD0.00992012-12-28
USD0.01262012-11-29
USD0.00872012-11-01
USD0.00632012-09-27
USD0.01032012-08-30
USD0.00922012-07-30
USD0.01162012-06-28