AMERICAN MUTUAL FUND CLASS R-3(RMFCX) USD 48.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.172USD0.17152023-03-15
20224.48%USD 2.195USD1.70082022-12-14
USD0.1722022-09-14
USD0.16292022-06-15
USD0.15952022-03-16
20214.73%USD 2.318USD1.82272021-12-15
USD0.16262021-09-15
USD0.16512021-06-16
USD0.16792021-03-17
20201.48%USD 0.723USD0.20762020-12-16
USD0.17142020-09-16
USD0.1752020-06-17
USD0.16862020-03-18
20193.93%USD 1.925USD1.42882019-12-18
USD0.16832019-09-13
USD0.16362019-06-14
USD0.16452019-03-15
20184.74%USD 2.321USD1.85862018-12-19
USD0.1542018-09-14
USD0.15912018-06-15
USD0.14912018-03-16
20174.76%USD 2.333USD1.87312017-12-18
USD0.15172017-09-15
USD0.1542017-06-16
USD0.15382017-03-17
20163.36%USD 1.644USD1.18812016-12-19
USD0.15072016-09-16
USD0.15142016-06-17
USD0.15392016-03-18
20154.22%USD 2.065USD1.61482015-12-18
USD0.15122015-09-21
USD0.14832015-06-22
USD0.1512015-03-16
20143.85%USD 1.886USD1.45672014-12-22
USD0.14892014-09-22
USD0.14192014-06-16
USD0.13852014-03-17
20132.89%USD 1.418USD0.85232013-12-23
USD0.1492013-12-20
USD0.14072013-09-16
USD0.13652013-06-17
USD0.13912013-03-18
20121.17%USD 0.575USD0.17712012-12-21
USD0.13392012-09-24
USD0.1312012-06-18
USD0.13282012-03-15
20111.14%USD 0.56USD0.17392011-12-23
USD0.1322011-09-19
USD0.12632011-06-20
USD0.12782011-03-21
20101.10%USD 0.54USD0.15382010-12-23
USD0.12972010-09-20
USD0.12822010-06-21
USD0.12822010-03-22
20091.21%USD 0.593USD0.19692009-12-23
USD0.13092009-09-21
USD0.13192009-06-22
USD0.13352009-03-23
20081.97%USD 0.965USD0.30712008-12-16
USD0.2572008-12-15
USD0.13382008-09-22
USD0.13362008-06-23
USD0.1332008-03-17
20073.85%USD 1.887USD1.39182007-12-17
USD0.1312007-12-14
USD0.12632007-09-24
USD0.1162007-06-18
USD0.12142007-03-26
20062.61%USD 1.277USD0.81632006-12-22
USD0.1232006-12-21
USD0.1132006-09-25
USD0.11032006-06-19
USD0.1142006-03-17
20053.03%USD 1.485USD1.09082005-12-22
USD0.1032005-12-21
USD0.10062005-09-26
USD0.09452005-06-20
USD0.09562005-03-21
20040.95%USD 0.464USD0.12912004-12-03
USD0.0822004-12-02
USD0.08232004-09-27
USD0.06742004-06-21
USD0.10282004-03-19
20031.27%USD 0.624USD0.19092003-12-05
USD0.1052003-12-04
USD0.10772003-09-22
USD0.10582003-06-23
USD0.1152003-03-21
20021.34%USD 0.658USD0.41652002-12-06
USD0.12062002-09-21
USD0.12042002-06-22