Chart represents American Funds American Balanced Fund® C price and volume over 1Y period The chart has 2 X axes displaying Time, and Time. The chart has 2 Y axes displaying symbol price, and symbol volume. . Created with Highcharts 11.2.0Feb 2025Dec 2024Oct 2024Aug 2024Jun 2024Apr 20...
American Funds Bond Fund of Amer R6 5.05% American Funds Global Balanced R6 5.00% American Funds American Mutual R6 4.98% American Funds AMCAP R6 4.96% Total 100.02% # of Holdings 11 *Holdings as of 2024-12-31 RCRPX Dividends Dividend Yield (TTM) 2.28% Annual Payout (TTM) $0.33 Payout...
chevron_right Frequency Daily arrow_drop_down Events arrow_drop_down Adjustments Splits & Divs arrow_drop_down Scale arrow_drop_down Type Line arrow_drop_down ARWIX Add Symbol Indicators Created with Highcharts 8.2.2© quotemedia Volume Earnings...
American Mutual Fund Class A SharesMutual Fund Symbol: AMRMX Feb 18, 2025 NAVPS: $58.33 Change: $0.24 0.0041% QuoteMedia Fund Score: 1m 3m 6m 1y 3y 5y 10y 27. Jan3. Feb10. Feb17. Feb56575859 Investment Objective The fund strives for the balanced accomplishment of three objectives ...
SymbolLast PriceChange CIREX 72.55 0.68% American Funds Capital Income Builder® Other RBOFX 12.41 0.32% American Funds Intermediate Bond Fund of America® Retirement RIRHX 72.42 0.68% American Funds Capital Income Builder® Retirement RAEXX 1.00 0.00% American Funds U.S. Government Money...
Mutual Fund | $USD | NAV SummaryHoldingsRatingsMomentumDividendsCharting Charts 5D 1M 6M YTD 1Y 5Y 10Y MAX Chart Combination chart with 2 data series. View as data table, Chart The chart has 2 X axes displaying Time, and Time. The chart has 2 Y axes displaying symbol price, and sy...
SymbolLast PriceChange AGVDX 24.49 0.78% American Funds Global Insight Fund C TECCX 16.66 0.24% American Funds Tax-Exempt Fund of California® C AHICX 15.32 0.33% American High-Income Municipal Bond Fund® C BFCCX 9.37 0.75% American Funds Corporate Bond Fund C ...
The chart has 2 Y axes displaying symbol price, and symbol volume.. Feb 2025Dec 2024Oct 2024Aug 2024Jun 2024Apr 20249.09.29.49.69.8 End of interactive chart. Category - No Load Fund No Index Fund No # of Holdings - % Top Ten Holdings - Net Assets - Turnover Ratio - Expense Ratio -...