American Funds Inflation Linked Bond Fund Class R-1 (RILAX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.27
0.00 (0.00%)
At close: Apr 1, 2026

RILAX Stock Price History

Historical Data

DateOpenHighLowCloseAdj. CloseChange
Apr 1, 20269.279.279.279.279.27-
Mar 31, 20269.279.279.279.279.27-
Mar 30, 20269.279.279.279.279.270.65%
Mar 27, 20269.219.219.219.219.21-
Mar 26, 20269.219.219.219.219.21-0.32%
Mar 25, 20269.249.249.249.249.240.33%
Mar 24, 20269.219.219.219.219.21-0.43%
Mar 23, 20269.259.259.259.259.25-0.11%
Mar 20, 20269.269.269.269.269.26-0.75%
Mar 19, 20269.339.339.339.339.33-0.21%
Mar 18, 20269.359.359.359.359.35-0.21%
Mar 17, 20269.379.379.379.379.370.43%
Mar 16, 20269.339.339.339.339.330.32%
Mar 13, 20269.309.309.309.309.30-0.21%
Mar 12, 20269.329.329.329.329.32-0.21%
Mar 11, 20269.349.349.349.349.34-0.21%
Mar 10, 20269.369.369.369.369.36-0.21%
Mar 9, 20269.389.389.389.389.38-
Mar 6, 20269.389.389.389.389.380.21%
Mar 5, 20269.369.369.369.369.36-0.11%
Mar 4, 20269.379.379.379.379.37-0.21%
Mar 3, 20269.399.399.399.399.39-
Mar 2, 20269.399.399.399.399.39-0.32%
Feb 27, 20269.429.429.429.429.420.11%
Feb 26, 20269.419.419.419.419.410.21%
Feb 25, 20269.399.399.399.399.390.11%
Feb 24, 20269.389.389.389.389.38-
Feb 23, 20269.389.389.389.389.38-
Feb 20, 20269.389.389.389.389.38-
Feb 19, 20269.389.389.389.389.38-
Feb 18, 20269.389.389.389.389.38-
Feb 17, 20269.389.389.389.389.38-0.11%
Feb 13, 20269.399.399.399.399.390.11%
Feb 12, 20269.389.389.389.389.380.32%
Feb 11, 20269.359.359.359.359.35-0.11%
Feb 10, 20269.369.369.369.369.360.21%
Feb 9, 20269.349.349.349.349.34-
Feb 6, 20269.349.349.349.349.340.11%
Feb 5, 20269.339.339.339.339.330.32%
Feb 4, 20269.309.309.309.309.30-0.11%
Feb 3, 20269.319.319.319.319.310.11%
Feb 2, 20269.309.309.309.309.30-0.21%
Jan 30, 20269.329.329.329.329.32-0.11%
Jan 29, 20269.339.339.339.339.33-
Jan 28, 20269.339.339.339.339.330.11%
Jan 27, 20269.329.329.329.329.32-
Jan 26, 20269.329.329.329.329.320.11%
Jan 23, 20269.319.319.319.319.310.11%
Jan 22, 20269.309.309.309.309.30-
Jan 21, 20269.309.309.309.309.300.32%