American Balanced Fund Class F-2 Shs (AMBFX) Dividends

Last dividend for American Balanced Fund Class F-2 Shs (AMBFX) as of Aug. 15, 2026 is 0.13 USD. The forward dividend yield for AMBFX as of Aug. 15, 2026 is 1.25%. Average dividend growth rate for stock American Balanced Fund Class F-2 Shs (AMBFX) for past three years is 30.00%.

Dividend history for stock AMBFX (American Balanced Fund Class F-2 Shs) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

American Balanced Fund Class F-2 Shs Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2026-06-15 2026-06-16 0.1294 USD (2.29%) 40.88 USD 40.88 USD
2026-03-16 2026-03-17 0.1265 USD (-95.13%) 36.63 USD 36.63 USD
2025-12-15 2025-12-16 2.5960 USD (1929.71%) 37.63 USD 37.63 USD
2025-09-15 2025-09-16 0.1279 USD (-60.23%) 38.58 USD 38.58 USD
2025-06-09 2025-06-10 0.3216 USD (153.03%) 36.53 USD 36.65 USD
2025-03-10 2025-03-11 0.1271 USD (-94.11%) 33.52 USD 34.12 USD
2024-12-16 2024-12-17 2.1575 USD (1586.86%) 33.58 USD 34.31 USD
2024-09-16 2024-09-17 0.1279 USD (0.08%) 31.77 USD 36.27 USD
2024-06-10 2024-06-11 0.1278 USD (0.39%) 30.13 USD 34.53 USD
2024-03-11 2024-03-12 0.1273 USD (-72.99%) 29.40 USD 33.82 USD
2023-12-12 2023-12-13 0.4713 USD (302.82%) 27.68 USD 31.96 USD
2023-09-11 2023-09-12 0.1170 USD (1.30%) 25.18 USD 29.52 USD
2023-06-12 2023-06-13 0.1155 USD (-0.77%) 25.91 USD 30.49 USD
2023-03-13 2023-03-14 0.1164 USD (-41.54%) 24.92 USD 29.44 USD
2022-12-13 2022-12-14 0.1991 USD (73.58%) 24.23 USD 28.74 USD
2022-09-12 2022-09-13 0.1147 USD (-60.91%) 22.41 USD 26.76 USD
2022-06-13 2022-06-14 0.2934 USD (152.28%) 23.81 USD 28.55 USD
2022-03-14 2022-03-15 0.1163 USD (-88.09%) 26.26 USD 31.99 USD
2021-12-14 2021-12-15 0.9765 USD (734.62%) 27.35 USD 33.44 USD
2021-09-13 2021-09-14 0.1170 USD (-60.34%) 25.00 USD 32.33 USD
2021-06-14 2021-06-15 0.2950 USD (154.75%) 25.14 USD 32.62 USD
2021-03-15 2021-03-16 0.1158 USD (-86.89%) 23.71 USD 31.21 USD
2020-12-15 2020-12-16 0.8831 USD (661.95%) 22.83 USD 30.17 USD
2020-09-14 2020-09-15 0.1159 USD (-55.56%) 20.65 USD 28.85 USD
2020-06-15 2020-06-16 0.2608 USD (125.41%) 19.82 USD 27.80 USD
2020-03-16 2020-03-17 0.1157 USD (-84.95%) 17.60 USD 25.06 USD
2019-12-17 2019-12-18 0.7689 USD (569.19%) 19.92 USD 28.48 USD
2019-09-11 2019-09-12 0.1149 USD (-42.12%) 18.46 USD 27.61 USD
2019-06-12 2019-06-13 0.1985 USD (78.03%) 18.18 USD 27.31 USD
2019-03-13 2019-03-14 0.1115 USD (-90.73%) 17.62 USD 26.75 USD
2018-12-18 2018-12-19 1.2025 USD (953.90%) 16.32 USD 24.88 USD
2018-09-12 2018-09-13 0.1141 USD (-28.46%) 16.79 USD 27.91 USD
2018-06-13 2018-06-14 0.1595 USD (41.28%) 16.26 USD 27.13 USD
2018-03-14 2018-03-15 0.1129 USD (-89.55%) 15.88 USD 26.70 USD
2017-12-19 2017-12-20 1.0803 USD (860.27%) 16.07 USD 27.13 USD
2017-09-13 2017-09-14 0.1125 USD (-46.40%) 14.87 USD 26.98 USD
2017-06-14 2017-06-15 0.2099 USD (87.75%) 14.35 USD 26.15 USD
2017-03-15 2017-03-16 0.1118 USD (-81.77%) 13.96 USD 25.74 USD
2016-12-20 2016-12-21 0.6134 USD (440.92%) 13.39 USD 24.79 USD
2016-09-14 2016-09-15 0.1134 USD (-57.32%) 12.91 USD 24.95 USD
2016-06-15 2016-06-16 0.2657 USD (137.02%) 12.68 USD 24.63 USD
2016-03-16 2016-03-17 0.1121 USD (-88.29%) 12.22 USD 24.14 USD
2015-12-21 2015-12-22 0.9569 USD (758.21%) 12.00 USD 23.82 USD
2015-09-16 2015-09-17 0.1115 USD (1.09%) 11.01 USD 23.58 USD
2015-06-17 2015-06-18 0.1103 USD (-45.96%) 11.41 USD 24.55 USD
2015-03-13 2015-03-16 0.2041 USD (-86.61%) 11.44 USD 24.74 USD
2014-12-23 1.5243 USD (1303.59%) 11.21 USD 24.74 USD
2014-09-17 2014-09-18 0.1086 USD (0.46%) 9.62 USD 25.44 USD
2014-06-12 2014-06-13 0.1081 USD (-19.57%) 9.56 USD 25.38 USD
2014-03-14 2014-03-17 0.1344 USD (26.08%) 9.24 USD 24.65 USD
2013-12-19 2013-12-20 0.1066 USD (-0.65%) 9.04 USD 24.41 USD
2013-09-12 2013-09-13 0.1073 USD (0.09%) 8.42 USD 22.82 USD
2013-06-12 2013-06-13 0.1072 USD (1.90%) 8.10 USD 22.07 USD
2013-03-15 2013-03-18 0.1052 USD (-1.59%) 7.92 USD 21.69 USD
2012-12-20 2012-12-21 0.1069 USD (0.66%) 7.41 USD 20.39 USD
2012-09-11 2012-09-12 0.1062 USD (-0.47%) 7.32 USD 20.23 USD
2012-06-12 2012-06-13 0.1067 USD (1.04%) 6.98 USD 19.41 USD
2012-03-16 2012-03-19 0.1056 USD (-4.26%) 7.04 USD 19.69 USD
2011-12-27 2011-12-27 0.1103 USD (0.27%) 6.48 USD 18.21 USD
2011-12-23 0.1100 USD (0.09%) 6.48 USD 18.21 USD
2011-09-13 2011-09-14 0.1099 USD (-0.27%) 6.00 USD 16.96 USD
2011-06-07 2011-06-08 0.1102 USD (-0.27%) 6.55 USD 18.65 USD
2011-03-04 2011-03-07 0.1105 USD (11.06%) 6.51 USD 18.64 USD
2010-12-23 2010-12-27 0.0995 USD (0.30%) 6.22 USD 17.92 USD
2010-09-14 2010-09-15 0.0992 USD (-0.50%) 5.84 USD 16.91 USD
2010-06-08 2010-06-09 0.0997 USD (1.22%) 5.34 USD 15.56 USD
2010-03-05 2010-03-08 0.0985 USD (-6.81%) 5.73 USD 16.79 USD
2009-12-15 2009-12-16 0.1057 USD (1.05%) 5.50 USD 16.21 USD
2009-08-14 2009-08-17 0.1046 USD (-12.98%) 5.12 USD 15.20 USD
2009-05-26 2009-05-27 0.1202 USD (1.61%) 4.70 USD 14.06 USD
2009-02-20 2009-02-23 0.1183 USD (-17.50%) 3.96 USD 11.93 USD
2008-12-18 2008-12-19 0.1434 USD (1.77%) 4.53 USD 13.78 USD
2008-08-15 2008-08-18 0.1409 USD 5.62 USD 17.29 USD

AMBFX

Price: $41.30

52 week price:
36.27
41.30

Dividend Yield: 7.25%

5-year range yield:
1.27%
27.60%

Forward Dividend Yield: 1.25%

Dividend Per Share: 0.52 USD

Earnings Per Share: 1.42 USD

P/E Ratio: 27

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 288.1 billion

Average Dividend Frequency: 4

Years Paying Dividends: 19

DGR3: 30.00%

DGR5: 30.00%

DGR10: 20.85%

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