Washington Mutual Investors Fund - Class F-3 (FWMIX) Dividends

Last dividend for Washington Mutual Investors Fund - Class F-3 (FWMIX) as of Oct. 4, 2026 is 0.25 USD. The forward dividend yield for FWMIX as of Oct. 4, 2026 is 1.55%. Average dividend growth rate for stock Washington Mutual Investors Fund - Class F-3 (FWMIX) for past three years is 23.24%.

Dividend history for stock FWMIX (Washington Mutual Investors Fund - Class F-3) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

Washington Mutual Investors Fund - Class F-3 Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2026-09-16 2026-09-17 0.2546 USD (-91.06%) 65.89 USD 65.89 USD
2026-06-16 2026-06-17 2.8467 USD (1017.67%) 66.08 USD 66.08 USD
2026-03-18 2026-03-19 0.2547 USD (-92.27%) 62.40 USD 62.40 USD
2025-12-18 2025-12-19 3.2937 USD (1201.86%) 65.62 USD 65.62 USD
2025-09-17 2025-09-18 0.2530 USD (-91.46%) 66.77 USD 66.77 USD
2025-06-11 2025-06-12 2.9634 USD (1075.49%) 63.44 USD 63.44 USD
2025-03-12 2025-03-13 0.2521 USD (-91.17%) 61.06 USD 61.06 USD
2024-12-19 2024-12-20 2.8545 USD (1036.35%) 61.52 USD 61.52 USD
2024-09-18 2024-09-19 0.2512 USD (-91.69%) 64.18 USD 64.18 USD
2024-06-12 2024-06-13 3.0244 USD (1108.79%) 60.15 USD 60.15 USD
2024-03-13 2024-03-14 0.2502 USD (-84.29%) 62.02 USD 62.02 USD
2023-12-15 2023-12-18 1.5930 USD (542.08%) 56.40 USD 56.40 USD
2023-09-13 2023-09-14 0.2481 USD (-84.39%) 52.98 USD 52.98 USD
2023-06-14 2023-06-15 1.5893 USD (549.22%) 53.47 USD 53.47 USD
2023-03-15 2023-03-16 0.2448 USD (-79.36%) 50.13 USD 50.13 USD
2022-12-16 2022-12-19 1.1862 USD (385.95%) 51.73 USD 51.48 USD
2022-09-14 2022-09-15 0.2441 USD (-86.21%) 51.35 USD 49.97 USD
2022-06-15 2022-06-16 1.7697 USD (610.44%) 50.58 USD 48.99 USD
2022-03-16 2022-03-17 0.2491 USD (-81.98%) 57.58 USD 53.86 USD
2021-12-17 2021-12-20 1.3823 USD (455.81%) 58.59 USD 54.57 USD
2021-09-15 2021-09-16 0.2487 USD (-87.29%) 56.99 USD 51.87 USD
2021-06-16 2021-06-17 1.9565 USD (702.83%) 55.64 USD 50.42 USD
2021-03-17 2021-03-18 0.2437 USD (-74.54%) 54.16 USD 47.42 USD
2020-12-18 2020-12-21 0.9571 USD (296.31%) 49.51 USD 43.15 USD
2020-09-16 2020-09-17 0.2415 USD (1.60%) 46.47 USD 39.74 USD
2020-06-17 2020-06-18 0.2377 USD (-2.02%) 44.00 USD 37.43 USD
2020-03-18 2020-03-19 0.2426 USD (-86.43%) 34.12 USD 28.87 USD
2019-12-20 2019-12-23 1.7873 USD (648.14%) 48.05 USD 40.39 USD
2019-09-13 2019-09-16 0.2389 USD (-78.86%) 46.78 USD 37.90 USD
2019-06-14 2019-06-17 1.1299 USD (383.69%) 44.96 USD 36.24 USD
2019-03-15 2019-03-18 0.2336 USD (-81.70%) 44.94 USD 35.34 USD
2018-12-21 2018-12-24 1.2767 USD (448.41%) 39.80 USD 31.13 USD
2018-09-14 2018-09-17 0.2328 USD (-86.41%) 46.67 USD 35.39 USD
2018-06-15 2018-06-18 1.7125 USD (641.34%) 45.28 USD 34.16 USD
2018-03-16 2018-03-19 0.2310 USD (-87.06%) 46.01 USD 33.45 USD
2017-12-18 2017-12-19 1.7855 USD (692.50%) 45.62 USD 33.00 USD
2017-09-15 2017-09-18 0.2253 USD (-82.28%) 43.92 USD 30.57 USD
2017-06-16 2017-06-19 1.2717 USD (460.47%) 42.72 USD 29.58 USD
2017-03-17 2017-03-20 0.2269 USD 42.92 USD 28.86 USD

FWMIX

Price: $65.74

52 week price:
61.51
69.79

Dividend Yield: 9.71%

5-year range yield:
1.52%
20.11%

Forward Dividend Yield: 1.55%

Payout Ratio: 5.76%

Dividend Per Share: 1.02 USD

Earnings Per Share: 2.55 USD

P/E Ratio: 25.90

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 153.8 billion

Average Dividend Frequency: 4

Years Paying Dividends: 10

DGR3: 23.24%

DGR5: 22.54%

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