American Funds 2060 Target Date Retirement Fund ( AANTX) - Price History

Monthly price history for AANTX (American Funds 2060 Target Date Retirement Fund)

DateAdjusted priceReal price
June 2026 $22.21 $22.21
May 2026 $22.41 $22.41
April 2026 $21.46 $21.46
March 2026 $19.61 $19.61
February 2026 $21.06 $21.06
January 2026 $20.87 $20.87
December 2025 $20.30 $20.30
November 2025 $20.22 $21.29
October 2025 $20.06 $21.12
September 2025 $19.68 $20.72
August 2025 $19.16 $20.17
July 2025 $18.78 $19.77
June 2025 $18.63 $19.62
May 2025 $17.68 $18.62
April 2025 $16.69 $17.57
March 2025 $16.52 $17.40
February 2025 $17.25 $18.16
January 2025 $17.50 $18.43
December 2024 $16.87 $17.76
November 2024 $16.88 $18.71
October 2024 $16.35 $18.12
September 2024 $16.65 $18.46
August 2024 $16.30 $18.07
July 2024 $15.95 $17.68
June 2024 $15.70 $17.40
May 2024 $15.37 $17.04
April 2024 $14.86 $16.47
March 2024 $15.44 $17.11
February 2024 $15 $16.63
January 2024 $14.37 $15.93
December 2023 $14.32 $15.87
November 2023 $13.42 $15.35
October 2023 $12.37 $14.14
September 2023 $12.68 $14.50
August 2023 $13.27 $15.17
July 2023 $13.56 $15.51
June 2023 $13.17 $15.06
May 2023 $12.53 $14.33
April 2023 $12.60 $14.41
March 2023 $12.44 $14.22
February 2023 $12.13 $13.87
January 2023 $12.47 $14.26
December 2022 $11.70 $13.38
November 2022 $11.47 $14.77
October 2022 $10.72 $13.81
September 2022 $10.15 $13.07
August 2022 $11.05 $14.23
July 2022 $11.44 $14.73
June 2022 $10.75 $13.84
May 2022 $11.68 $15.04
April 2022 $11.62 $14.97
March 2022 $12.68 $16.33
February 2022 $12.53 $16.14
January 2022 $12.88 $16.59
December 2021 $13.78 $17.75
November 2021 $12.96 $17.78
October 2021 $13.32 $18.27
September 2021 $12.65 $17.35
August 2021 $13.14 $18.03
July 2021 $12.81 $17.57
June 2021 $12.71 $17.44
May 2021 $12.55 $17.21
April 2021 $12.41 $17.03
March 2021 $11.93 $16.36
February 2021 $11.67 $16.01
January 2021 $11.40 $15.64
December 2020 $11.46 $15.72
November 2020 $10.74 $15.42
October 2020 $9.69 $13.92
September 2020 $9.90 $14.22
August 2020 $10.15 $14.58
July 2020 $9.67 $13.89
June 2020 $9.25 $13.29
May 2020 $9.02 $12.95
April 2020 $8.58 $12.33
March 2020 $7.77 $11.16
February 2020 $8.83 $12.69
January 2020 $9.36 $13.44
December 2019 $9.44 $13.56
November 2019 $8.93 $13.58
October 2019 $8.65 $13.16
September 2019 $8.46 $12.87
August 2019 $8.39 $12.77
July 2019 $8.52 $12.96
June 2019 $8.48 $12.91
May 2019 $8.02 $12.21
April 2019 $8.47 $12.88
March 2019 $8.22 $12.51
February 2019 $8.08 $12.30
January 2019 $7.89 $12.01
December 2018 $7.39 $11.24
November 2018 $7.64 $12.38
October 2018 $7.49 $12.14
September 2018 $8.06 $13.06
August 2018 $8.04 $13.02
July 2018 $7.98 $12.93
June 2018 $7.81 $12.65
May 2018 $7.81 $12.65
April 2018 $7.71 $12.49
March 2018 $7.67 $12.42
February 2018 $7.79 $12.62
January 2018 $8.05 $13.04
December 2017 $7.64 $12.37
November 2017 $7.48 $12.41
October 2017 $7.35 $12.20
September 2017 $7.21 $11.96
August 2017 $7.05 $11.70
July 2017 $7.03 $11.67
June 2017 $6.86 $11.38
May 2017 $6.83 $11.34
April 2017 $6.71 $11.13
March 2017 $6.60 $10.95
February 2017 $6.53 $10.84
January 2017 $6.38 $10.59
December 2016 $6.19 $10.28
November 2016 $6.05 $10.41
October 2016 $5.97 $10.27
September 2016 $6.08 $10.45
August 2016 $6.04 $10.38
July 2016 $6.02 $10.36
June 2016 $5.82 $10.01
May 2016 $5.81 $10
April 2016 $5.76 $9.91
March 2016 $5.69 $9.78
February 2016 $5.35 $9.20
January 2016 $5.38 $9.26
December 2015 $5.66 $9.74
November 2015 $5.76 $9.99
October 2015 $5.75 $9.97
September 2015 $5.39 $9.35
August 2015 $5.56 $9.63
July 2015 $5.89 $10.21
June 2015 $5.82 $10.08
May 2015 $5.92 $10.27
April 2015 $5.87 $10.18
March 2015 $5.77 $10.01

AANTX

Price: $22.21

52 week price:
18.87
22.55

Dividend Yield: 4.96%

5-year range yield:
2.18%
6.53%

Forward Dividend Yield: 4.85%

Dividend Per Share: 1.08 USD

Earnings Per Share: 0.80 USD

P/E Ratio: 25.29

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 19.6 billion

Average Dividend Frequency: 1

Years Paying Dividends: 11

DGR3: 30.00%

DGR5: 30.00%

Links: