AMERICAN FUNDS GLOBAL BALANCED FUND CLASS F-1(GBLEX) USD 34.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.098USD0.09752023-03-24
20221.39%USD 0.476USD0.11072022-12-20
USD0.0352022-09-23
USD0.20432022-06-24
USD0.12612022-03-25
20216.73%USD 2.305USD1.83712021-12-21
USD0.1742021-09-24
USD0.14292021-06-25
USD0.15052021-03-26
20201.32%USD 0.45USD0.13382020-12-18
USD0.13162020-09-18
USD0.08722020-06-19
USD0.09782020-03-20
20191.84%USD 0.629USD0.14852019-12-19
USD0.13522019-09-20
USD0.20432019-06-21
USD0.14092019-03-22
20181.96%USD 0.67USD0.14972018-12-20
USD0.13952018-09-21
USD0.22432018-06-22
USD0.15652018-03-23
20172.94%USD 1.007USD0.62822017-12-21
USD0.12532017-09-22
USD0.17242017-06-23
USD0.08132017-03-24
20161.66%USD 0.569USD0.16232016-12-22
USD0.17562016-09-22
USD0.14562016-06-23
USD0.08572016-03-24
20152.65%USD 0.906USD0.66042015-12-23
USD0.0852015-09-25
USD0.08572015-06-26
USD0.07462015-03-30
20143.84%USD 1.317USD0.7732014-12-29
USD0.0952014-12-26
USD0.11012014-09-26
USD0.17312014-06-27
USD0.16532014-03-31
20133.09%USD 1.058USD0.62052013-12-30
USD0.1032013-12-27
USD0.09262013-09-27
USD0.15112013-06-28
USD0.09052013-03-28
20121.58%USD 0.542USD0.18062012-12-28
USD0.11762012-09-28
USD0.15332012-06-29
USD0.092012-03-30
20110.91%USD 0.311USD0.09572011-12-27
USD0.10062011-09-19
USD0.0922011-06-20
USD0.02222011-03-21