NEW ECONOMY FUND CLASS A(ANEFX) USD 48.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202112.54%USD 6.052USD6.05182021-12-15
20203.05%USD 1.47USD1.47012020-12-16
20196.95%USD 3.356USD3.35562019-12-18
20188.05%USD 3.883USD3.88322018-12-19
20177.66%USD 3.697USD3.69662017-12-22
20163.44%USD 1.659USD1.65882016-12-23
20154.59%USD 2.216USD2.2162015-12-22
20147.10%USD 3.425USD3.2252014-12-29
USD0.22014-12-26
20135.52%USD 2.662USD2.5262013-12-27
USD0.1362013-12-26
20122.54%USD 1.225USD1.052012-12-28
USD0.1752012-12-27
20110.24%USD 0.117USD0.1172011-12-22
20100.36%USD 0.173USD0.1732010-12-29
20091.16%USD 0.558USD0.1122009-12-29
USD0.0372009-12-21
USD0.0372009-11-19
USD0.0372009-10-20
USD0.0372009-09-21
USD0.0372009-08-20
USD0.0372009-07-20
USD0.0372009-06-19
USD0.0382009-05-20
USD0.0382009-04-20
USD0.0382009-03-19
USD0.0362009-02-19
USD0.0372009-01-20
20081.37%USD 0.661USD0.2312008-12-29
USD0.0372008-12-19
USD0.0362008-11-20
USD0.0362008-10-20
USD0.0362008-09-19
USD0.0362008-08-20
USD0.0362008-07-21
USD0.0362008-06-20
USD0.0352008-05-20
USD0.0352008-04-21
USD0.0352008-03-20
USD0.0362008-02-20
USD0.0362008-01-22
20076.23%USD 3.006USD2.582007-12-27
USD0.0362007-12-20
USD0.0352007-11-19
USD0.0352007-10-19
USD0.0352007-09-20
USD0.0352007-08-20
USD0.0352007-07-19
USD0.0352007-06-19
USD0.0362007-05-18
USD0.0362007-04-19
USD0.0362007-03-19
USD0.0362007-02-20
USD0.0362007-01-19
20061.30%USD 0.626USD0.1932006-12-29
USD0.0362006-12-21
USD0.0362006-11-20
USD0.0362006-10-19
USD0.0362006-09-20
USD0.0362006-08-18
USD0.0362006-07-20
USD0.0362006-06-19
USD0.0362006-05-19
USD0.0362006-04-20
USD0.0362006-03-20
USD0.0362006-02-21
USD0.0372006-01-19
20051.21%USD 0.583USD0.1492005-12-30
USD0.0362005-12-16
USD0.0362005-11-18
USD0.0362005-10-20
USD0.0362005-09-16
USD0.0362005-08-19
USD0.0362005-07-18
USD0.0362005-06-17
USD0.0362005-05-20
USD0.0362005-04-20
USD0.0362005-03-18
USD0.0372005-02-18
USD0.0372005-01-21
20041.08%USD 0.521USD0.0372004-12-17
USD0.07452004-12-10
USD0.0372004-11-19
USD0.0372004-10-19
USD0.0372004-09-17
USD0.0372004-08-19
USD0.0372004-07-19
USD0.0372004-06-18
USD0.0372004-05-19
USD0.0372004-04-19
USD0.0372004-03-19
USD0.0382004-02-19
USD0.0382004-01-16
20030.81%USD 0.393USD0.0382003-12-19
USD0.01092003-12-12
USD0.0372003-11-19
USD0.0372003-10-17
USD0.0372003-09-19
USD0.0372003-08-19
USD0.0382003-07-18
USD0.0382003-06-19
USD0.042003-05-19
USD0.042003-04-17
USD0.042003-03-19
20006.06%USD 2.925USD2.9252000-12-15