WASHINGTON MUTUAL INVESTORS FUND CLASS F-2(WMFFX) USD 53.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.232USD0.23222023-03-15
20226.36%USD 3.388USD1.17052022-12-16
USD0.22942022-09-14
USD1.75422022-06-15
USD0.23382022-03-16
20217.08%USD 3.772USD1.36692021-12-17
USD0.23322021-09-15
USD1.94122021-06-16
USD0.23042021-03-17
20203.06%USD 1.632USD0.9452020-12-18
USD0.232020-09-16
USD0.22552020-06-17
USD0.23142020-03-18
20196.26%USD 3.338USD1.77222019-12-20
USD0.22672019-09-13
USD1.11642019-06-14
USD0.22242019-03-15
20186.40%USD 3.413USD1.26662018-12-21
USD0.22382018-09-14
USD1.69942018-06-15
USD0.2232018-03-16
20176.47%USD 3.449USD1.7722017-12-18
USD0.21362017-09-15
USD1.25172017-06-16
USD0.21142017-03-17
20165.02%USD 2.674USD2.05162016-12-19
USD0.20912016-09-16
USD0.20762016-06-17
USD0.20592016-03-18
20154.62%USD 2.463USD1.8562015-12-18
USD0.20042015-09-21
USD0.20042015-06-22
USD0.20622015-03-23
20146.13%USD 3.266USD2.34892014-12-22
USD0.322014-12-19
USD0.19872014-09-22
USD0.20032014-06-23
USD0.19762014-03-24
20133.83%USD 2.043USD1.12292013-12-23
USD0.3482013-12-20
USD0.19192013-09-23
USD0.19142013-06-24
USD0.18922013-03-25
20121.46%USD 0.778USD0.24042012-12-26
USD0.17812012-09-24
USD0.17932012-06-18
USD0.18012012-03-26
20111.39%USD 0.74USD0.23732011-12-19
USD0.16772011-09-26
USD0.16712011-06-20
USD0.16762011-03-21
20101.34%USD 0.714USD0.23072010-12-20
USD0.16212010-09-27
USD0.16142010-06-21
USD0.15982010-03-22
20091.41%USD 0.751USD0.1852009-12-21
USD0.1872009-09-28
USD0.19042009-06-22
USD0.18882009-03-23
20081.98%USD 1.054USD0.67582008-12-22
USD0.1942008-12-19
USD0.18432008-09-22