AMERICAN MUTUAL FUND CLASS 529-C(CMLCX) USD 49.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.113USD0.11252023-03-15
20223.99%USD 1.96USD1.64132022-12-14
USD0.11122022-09-14
USD0.1032022-06-15
USD0.10442022-03-16
20214.25%USD 2.084USD1.75642021-12-15
USD0.10022021-09-15
USD0.10762021-06-16
USD0.11992021-03-17
20201.05%USD 0.515USD0.15822020-12-16
USD0.1052020-09-16
USD0.13012020-06-17
USD0.12122020-03-18
20193.53%USD 1.732USD1.37952019-12-18
USD0.11832019-09-13
USD0.11592019-06-14
USD0.11832019-03-15
20184.33%USD 2.127USD1.81162018-12-19
USD0.10572018-09-14
USD0.1082018-06-15
USD0.1022018-03-16
20174.31%USD 2.117USD1.79412017-12-18
USD0.10442017-09-15
USD0.10832017-06-16
USD0.10992017-03-17
20162.99%USD 1.47USD1.14272016-12-19
USD0.10572016-09-16
USD0.10882016-06-17
USD0.11232016-03-18
20153.84%USD 1.886USD1.57052015-12-18
USD0.1052015-09-21
USD0.1042015-06-22
USD0.1062015-03-16
20143.47%USD 1.703USD1.40812014-12-22
USD0.10322014-09-22
USD0.09692014-06-16
USD0.09452014-03-17
20132.45%USD 1.203USD0.80712013-12-23
USD0.1042013-12-20
USD0.09752013-09-16
USD0.09432013-06-17
USD0.10022013-03-18
20120.88%USD 0.43USD0.13982012-12-21
USD0.09712012-09-24
USD0.09682012-06-18
USD0.09642012-03-15
20110.87%USD 0.425USD0.14042011-12-23
USD0.09692011-09-19
USD0.0932011-06-20
USD0.09482011-03-21
20100.86%USD 0.421USD0.12242010-12-23
USD0.09962010-09-20
USD0.09932010-06-21
USD0.10012010-03-22
20091.00%USD 0.492USD0.1682009-12-23
USD0.10462009-09-21
USD0.10782009-06-22
USD0.11152009-03-23
20081.67%USD 0.819USD0.2842008-12-16
USD0.2332008-12-15
USD0.10262008-09-22
USD0.0992008-06-23
USD0.10012008-03-17
20073.46%USD 1.699USD1.35342007-12-17
USD0.0922007-12-14
USD0.08812007-09-24
USD0.07932007-06-18
USD0.08612007-03-26
20062.23%USD 1.096USD0.77772006-12-22
USD0.0842006-12-21
USD0.07622006-09-25
USD0.07772006-06-19
USD0.082006-03-17
20052.65%USD 1.303USD1.05722005-12-22
USD0.0692005-12-21
USD0.06662005-09-26
USD0.05622005-06-20
USD0.05382005-03-21
20040.63%USD 0.307USD0.09832004-12-03
USD0.052004-12-02
USD0.04942004-09-27
USD0.03592004-06-21
USD0.07322004-03-19
20030.97%USD 0.476USD0.15992003-12-05
USD0.0732003-12-04
USD0.07762003-09-22
USD0.07972003-06-23
USD0.08532003-03-21
20021.36%USD 0.669USD0.38342002-12-06
USD0.08562002-09-21
USD0.0912002-06-22
USD0.10872002-03-22