American Funds American Mutual Fund (AMRFX) Dividends

Last dividend for American Funds American Mutual Fund (AMRFX) as of Aug. 15, 2026 is 0.25 USD. The forward dividend yield for AMRFX as of Aug. 15, 2026 is 1.51%. Average dividend growth rate for stock American Funds American Mutual Fund (AMRFX) for past three years is 18.07%.

Dividend history for stock AMRFX (American Funds American Mutual Fund) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

American Funds American Mutual Fund Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2026-06-16 2026-06-17 0.2503 USD (1.13%) 64.27 USD 64.27 USD
2026-03-18 2026-03-19 0.2475 USD (-93.59%) 57.43 USD 57.43 USD
2025-12-16 2025-12-17 3.8617 USD (1445.30%) 59.90 USD 59.90 USD
2025-09-17 2025-09-18 0.2499 USD (1.26%) 62.28 USD 62.28 USD
2025-06-11 2025-06-12 0.2468 USD (-0.48%) 59.12 USD 59.36 USD
2025-03-12 2025-03-13 0.2480 USD (-91.26%) 55.79 USD 56.25 USD
2024-12-17 2024-12-18 2.8378 USD (1040.59%) 54.44 USD 55.14 USD
2024-09-18 2024-09-19 0.2488 USD (0.28%) 53.24 USD 59.26 USD
2024-06-12 2024-06-13 0.2481 USD (2.48%) 48.65 USD 54.38 USD
2024-03-13 2024-03-14 0.2421 USD (-81.33%) 48.40 USD 54.35 USD
2023-12-13 2023-12-14 1.2966 USD (436.01%) 45.17 USD 50.96 USD
2023-09-13 2023-09-14 0.2419 USD (0.92%) 40.61 USD 47.81 USD
2023-06-14 2023-06-15 0.2397 USD (1.78%) 41.96 USD 49.64 USD
2023-03-15 2023-03-16 0.2355 USD (-86.66%) 40.83 USD 48.54 USD
2022-12-14 2022-12-15 1.7655 USD (653.20%) 40.51 USD 48.40 USD
2022-09-14 2022-09-15 0.2344 USD (1.38%) 35.40 USD 45.06 USD
2022-06-15 2022-06-16 0.2312 USD (-0.09%) 37.74 USD 48.27 USD
2022-03-16 2022-03-17 0.2314 USD (-87.77%) 41.18 USD 52.92 USD
2021-12-15 2021-12-16 1.8922 USD (717.37%) 41.15 USD 53.12 USD
2021-09-15 2021-09-16 0.2315 USD (-0.22%) 36.00 USD 49.74 USD
2021-06-16 0.2320 USD (1.13%) 36.11 USD 50.12 USD
2021-03-17 2021-03-18 0.2294 USD (-13.69%) 34.33 USD 47.87 USD
2020-12-16 2020-12-17 0.2658 USD (31.19%) 31.82 USD 44.59 USD
2020-09-16 2020-09-17 0.2026 USD (-9.80%) 29.38 USD 41.42 USD
2020-06-17 2020-06-18 0.2246 USD (-1.66%) 28.03 USD 39.72 USD
2020-03-18 2020-03-19 0.2284 USD (-84.66%) 24.80 USD 35.35 USD
2019-12-18 2019-12-19 1.4889 USD (556.19%) 30.32 USD 43.50 USD
2019-09-13 2019-09-16 0.2269 USD (3.80%) 27.88 USD 42.55 USD
2019-06-14 2019-06-17 0.2186 USD (0.55%) 27.18 USD 41.71 USD
2019-03-15 2019-03-18 0.2174 USD (-88.67%) 26.36 USD 40.66 USD
2018-12-19 2018-12-20 1.9188 USD (785.46%) 24.17 USD 37.49 USD
2018-09-14 2018-09-17 0.2167 USD (2.22%) 25.14 USD 42.82 USD
2018-06-15 2018-06-18 0.2120 USD (1.73%) 23.72 USD 40.61 USD
2018-03-16 2018-03-19 0.2084 USD (-89.23%) 23.08 USD 39.72 USD
2017-12-18 2017-12-19 1.9357 USD (859.50%) 23.58 USD 40.79 USD
2017-09-15 2017-09-18 0.2017 USD (-1.97%) 21.50 USD 40.64 USD
2017-06-16 2017-06-19 0.2058 USD (-0.19%) 20.49 USD 38.92 USD
2017-03-17 2017-03-20 0.2062 USD (-83.41%) 20.06 USD 38.31 USD
2016-12-19 2016-12-20 1.2427 USD (512.47%) 19.18 USD 36.82 USD
2016-09-16 2016-09-19 0.2029 USD (0.59%) 18.08 USD 36.89 USD
2016-06-17 2016-06-20 0.2017 USD (1.10%) 17.72 USD 36.35 USD
2016-03-18 2016-03-21 0.1995 USD (-88.08%) 16.91 USD 34.88 USD
2015-12-18 2015-12-21 1.6733 USD (737.49%) 16.31 USD 33.84 USD
2015-09-18 2015-09-21 0.1998 USD (-0.05%) 14.81 USD 33.70 USD
2015-06-19 2015-06-22 0.1999 USD (-1.48%) 15.89 USD 36.38 USD
2015-03-13 2015-03-16 0.2029 USD (-86.62%) 16.07 USD 36.98 USD
2014-12-19 2014-12-22 1.5164 USD (653.68%) 16.04 USD 37.13 USD
2014-09-19 2014-09-22 0.2012 USD (5.34%) 14.06 USD 36.56 USD
2014-06-13 2014-06-16 0.1910 USD (3.69%) 14.03 USD 36.68 USD
2014-03-14 2014-03-17 0.1842 USD (-79.64%) 13.44 USD 35.32 USD
2013-12-20 2013-12-23 0.9045 USD (384.99%) 13.17 USD 34.80 USD
2013-09-13 2013-09-16 0.1865 USD (5.43%) 11.56 USD 32.88 USD
2013-06-14 2013-06-17 0.1769 USD (0.34%) 11.03 USD 31.56 USD
2013-03-15 2013-03-18 0.1763 USD (-18.98%) 10.84 USD 31.19 USD
2012-12-20 2012-12-21 0.2176 USD (24.99%) 9.80 USD 28.35 USD
2012-09-21 2012-09-24 0.1741 USD (3.82%) 9.72 USD 28.34 USD
2012-06-15 2012-06-18 0.1677 USD (-1.87%) 9.33 USD 27.38 USD
2012-03-14 2012-03-15 0.1709 USD (-18.66%) 9.36 USD 27.62 USD
2011-12-22 2011-12-23 0.2101 USD (25.88%) 8.70 USD 25.85 USD
2011-09-16 2011-09-19 0.1669 USD (2.39%) 7.83 USD 23.46 USD
2011-06-17 2011-06-20 0.1630 USD (-0.49%) 8.84 USD 26.66 USD
2011-03-18 2011-03-21 0.1638 USD (-13.56%) 8.70 USD 26.39 USD
2010-12-22 2010-12-23 0.1895 USD (16.19%) 8.29 USD 25.31 USD
2010-09-17 2010-09-20 0.1631 USD 7.70 USD 23.68 USD
2010-06-18 2010-06-21 0.1631 USD (0.31%) 6.98 USD 21.62 USD
2010-03-19 2010-03-22 0.1626 USD (-30.30%) 7.61 USD 23.74 USD
2009-12-22 2009-12-23 0.2333 USD (42.00%) 7.37 USD 23.16 USD
2009-09-18 2009-09-21 0.1643 USD (-0.12%) 6.86 USD 21.79 USD
2009-06-19 2009-06-22 0.1645 USD (1.54%) 6.09 USD 19.47 USD
2009-03-20 2009-03-23 0.1620 USD (-52.48%) 5.37 USD 17.31 USD
2008-12-15 2008-12-16 0.3409 USD (104.74%) 5.86 USD 19.08 USD
2008-09-19 2008-09-22 0.1665 USD 6.95 USD 23.55 USD

AMRFX

Price: $66.25

52 week price:
57.37
66.34

Dividend Yield: 6.97%

5-year range yield:
1.56%
25.79%

Forward Dividend Yield: 1.51%

Dividend Per Share: 1.00 USD

Earnings Per Share: 2.31 USD

P/E Ratio: 26.56

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 80.2 billion

Average Dividend Frequency: 4

Years Paying Dividends: 19

DGR3: 18.07%

DGR5: 30.00%

DGR10: 18.67%

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