American Funds The Income Fund of America Class R-5 (RIDFX)
NASDAQ · Mutual Fund
· Delayed Price · Currency is USD
24.12
+0.05 (0.21%)
Jul 2, 2024, 9:30 AM EDT
RIDFX Dividend Information
RIDFX has paid $0.92 per share in the past year, which gives a dividend yield of 3.81%. The dividend is paid every three months and the last ex-dividend date was Jun 10, 2024.
Dividend Yield
3.81%
Annual Dividend
$0.92
Ex-Dividend Date
Jun 10, 2024
Payout Frequency
Quarterly
Payout Ratio
n/a
Dividend Growth(1Y)
-44.24%
Dividend History
Ex-Dividend Date | Cash Amount | Pay Date |
---|---|---|
Jun 10, 2024 | $0.1862 | Jun 11, 2024 |
Mar 11, 2024 | $0.186 | Mar 12, 2024 |
Dec 12, 2023 | $0.3623 | Dec 13, 2023 |
Sep 11, 2023 | $0.1855 | Sep 12, 2023 |
Jun 12, 2023 | $0.1837 | Jun 13, 2023 |
Mar 13, 2023 | $0.1849 | Mar 14, 2023 |
Dec 13, 2022 | $1.101 | Dec 14, 2022 |
Sep 12, 2022 | $0.1803 | Sep 13, 2022 |
Jun 13, 2022 | $0.181 | Jun 14, 2022 |
Mar 14, 2022 | $0.1809 | Mar 15, 2022 |
Dec 14, 2021 | $1.2452 | Dec 15, 2021 |
Sep 13, 2021 | $0.1815 | Sep 14, 2021 |
Jun 14, 2021 | $0.182 | Jun 15, 2021 |
Mar 15, 2021 | $0.1803 | Mar 16, 2021 |
Dec 15, 2020 | $0.1805 | Dec 16, 2020 |
Sep 14, 2020 | $0.1799 | Sep 15, 2020 |
Jun 15, 2020 | $0.1785 | Jun 16, 2020 |
Mar 16, 2020 | $0.1802 | Mar 17, 2020 |
Dec 17, 2019 | $0.7688 | Dec 18, 2019 |
Sep 11, 2019 | $0.1786 | Sep 12, 2019 |
Jun 12, 2019 | $0.1771 | Jun 13, 2019 |
Mar 13, 2019 | $0.1769 | Mar 14, 2019 |
Dec 18, 2018 | $1.088 | Dec 19, 2018 |
Sep 12, 2018 | $0.177 | Sep 13, 2018 |
Jun 13, 2018 | $0.1774 | Jun 14, 2018 |
Mar 14, 2018 | $0.1763 | Mar 15, 2018 |
Dec 19, 2017 | $0.6759 | Dec 20, 2017 |
Sep 13, 2017 | $0.1768 | Sep 14, 2017 |
Jun 14, 2017 | $0.1755 | Jun 15, 2017 |
Mar 15, 2017 | $0.1758 | Mar 16, 2017 |
Dec 20, 2016 | $0.188 | Dec 21, 2016 |
Sep 14, 2016 | $0.1764 | Sep 15, 2016 |
Jun 15, 2016 | $0.1758 | Jun 16, 2016 |
Mar 16, 2016 | $0.1749 | Mar 17, 2016 |
Dec 21, 2015 | $0.5436 | Dec 22, 2015 |
Sep 17, 2015 | $0.1757 | Sep 17, 2015 |
Jun 18, 2015 | $0.1753 | Jun 18, 2015 |
Mar 16, 2015 | $0.1775 | Mar 16, 2015 |
Dec 23, 2014 | $0.3051 | Dec 23, 2014 |
Sep 22, 2014 | $0.1749 | Sep 22, 2014 |
* Dividend amounts are adjusted for stock splits when applicable.