American Funds Short-Term Tax-Exempt Bond Fund® Class F-1 (FSTTX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.99
0.00 (0.00%)
Jun 27, 2025, 4:00 PM EDT

FSTTX Stock Price History

Historical Data

DateOpenHighLowCloseAdj. CloseChange
Jun 27, 20259.999.999.999.99--
Jun 26, 20259.999.999.999.999.990.10%
Jun 25, 20259.989.989.989.989.98-
Jun 24, 20259.989.989.989.989.98-
Jun 23, 20259.989.989.989.989.98-
Jun 20, 20259.989.989.989.989.98-
Jun 18, 20259.989.989.989.989.980.10%
Jun 17, 20259.979.979.979.979.97-
Jun 16, 20259.979.979.979.979.97-
Jun 13, 20259.979.979.979.979.97-
Jun 12, 20259.979.979.979.979.970.10%
Jun 11, 20259.969.969.969.969.96-
Jun 10, 20259.969.969.969.969.96-
Jun 9, 20259.969.969.969.969.96-
Jun 6, 20259.969.969.969.969.96-
Jun 5, 20259.969.969.969.969.96-
Jun 4, 20259.969.969.969.969.960.10%
Jun 3, 20259.959.959.959.959.95-
Jun 2, 20259.959.959.959.959.95-
May 30, 20259.959.959.959.959.95-
May 29, 20259.959.959.959.959.950.10%
May 28, 20259.949.949.949.949.94-
May 27, 20259.949.949.949.949.940.10%
May 23, 20259.939.939.939.939.930.10%
May 22, 20259.929.929.929.929.92-0.10%
May 21, 20259.939.939.939.939.93-
May 20, 20259.939.939.939.939.93-
May 19, 20259.939.939.939.939.93-
May 16, 20259.939.939.939.939.93-
May 15, 20259.939.939.939.939.930.10%
May 14, 20259.929.929.929.929.92-0.10%
May 13, 20259.939.939.939.939.930.10%
May 12, 20259.929.929.929.929.92-0.10%
May 9, 20259.939.939.939.939.93-
May 8, 20259.939.939.939.939.93-
May 7, 20259.939.939.939.939.930.10%
May 6, 20259.929.929.929.929.92-
May 5, 20259.929.929.929.929.92-
May 2, 20259.929.929.929.929.92-0.10%
May 1, 20259.939.939.939.939.930.10%
Apr 30, 20259.929.929.929.929.920.10%
Apr 29, 20259.919.919.919.919.910.10%
Apr 28, 20259.909.909.909.909.900.10%
Apr 25, 20259.899.899.899.899.89-
Apr 24, 20259.899.899.899.899.890.20%
Apr 23, 20259.879.879.879.879.870.10%
Apr 22, 20259.869.869.869.869.86-
Apr 21, 20259.869.869.869.869.86-0.20%
Apr 17, 20259.889.889.889.889.88-
Apr 16, 20259.889.889.889.889.880.10%