American Funds 2065 Target Date Retirement Fund ( RFVTX) - Price History

Monthly price history for RFVTX (American Funds 2065 Target Date Retirement Fund)

DateAdjusted priceReal price
July 2026 $22.40 $22.40
June 2026 $22.50 $22.50
May 2026 $22.37 $22.37
April 2026 $21.36 $21.36
March 2026 $19.50 $19.50
February 2026 $20.94 $20.94
January 2026 $20.75 $20.75
December 2025 $20.18 $20.18
November 2025 $20.10 $21.03
October 2025 $19.92 $20.85
September 2025 $19.55 $20.46
August 2025 $19.02 $19.90
July 2025 $18.63 $19.50
June 2025 $18.49 $19.35
May 2025 $17.54 $18.36
April 2025 $16.55 $17.32
March 2025 $16.39 $17.15
February 2025 $17.10 $17.89
January 2025 $17.34 $18.15
December 2024 $16.71 $17.49
November 2024 $16.81 $18.38
October 2024 $16.27 $17.79
September 2024 $16.58 $18.12
August 2024 $16.23 $17.74
July 2024 $15.86 $17.34
June 2024 $15.62 $17.07
May 2024 $15.29 $16.71
April 2024 $14.77 $16.15
March 2024 $15.33 $16.76
February 2024 $14.90 $16.29
January 2024 $14.27 $15.60
December 2023 $14.22 $15.54
November 2023 $13.37 $15.01
October 2023 $12.31 $13.82
September 2023 $12.62 $14.17
August 2023 $13.20 $14.82
July 2023 $13.50 $15.15
June 2023 $13.10 $14.70
May 2023 $12.45 $13.98
April 2023 $12.52 $14.05
March 2023 $12.36 $13.87
February 2023 $12.04 $13.52
January 2023 $12.37 $13.89
December 2022 $11.62 $13.04
November 2022 $11.68 $14.08
October 2022 $10.92 $13.16
September 2022 $10.34 $12.46
August 2022 $11.25 $13.56
July 2022 $11.64 $14.03
June 2022 $10.93 $13.17
May 2022 $11.87 $14.31
April 2022 $11.82 $14.24
March 2022 $12.89 $15.53
February 2022 $12.73 $15.34
January 2022 $13.08 $15.77
December 2021 $14 $16.87
November 2021 $13.43 $16.57
October 2021 $13.80 $17.02
September 2021 $13.11 $16.17
August 2021 $13.61 $16.79
July 2021 $13.26 $16.36
June 2021 $13.16 $16.24
May 2021 $12.99 $16.02
April 2021 $12.84 $15.84
March 2021 $12.33 $15.21
February 2021 $12.07 $14.89
January 2021 $11.79 $14.54
December 2020 $11.84 $14.60
November 2020 $11.31 $14.06
October 2020 $10.21 $12.69
September 2020 $10.42 $12.96
August 2020 $10.68 $13.28
July 2020 $10.18 $12.65
June 2020 $9.73 $12.10
May 2020 $9.48 $11.79
April 2020 $9.02 $11.21
March 2020 $8.16 $10.14

RFVTX

Price: $22.40

52 week price:
18.60
22.50

Dividend Yield: 4.34%

5-year range yield:
1.68%
4.67%

Forward Dividend Yield: 4.18%

Dividend Per Share: 0.94 USD

Earnings Per Share: 0.80 USD

P/E Ratio: 25.30

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 7.0 billion

Average Dividend Frequency: 1

Years Paying Dividends: 6

DGR3: 30.00%

Links: