American Funds Retirement Income Portfolio Series - Conservative - Class T (TFACX) Dividen 2026: sejarah, tarikh ex-dividen & hasil

$0.000000
+$0.00+0% Thursday 00:00
Hasil dividen
-
Jumlah dividen
$0.09
Tarikh ex-dividen terakhir
Sep 28, 2026
Tarikh pembayaran terakhir
Sep 29, 2026

Ringkasan

Dividen American Funds Retirement Income Portfolio Series - Conservative - Class T (TFACX) dibayar Suku tahunan. Dividen sesaham terkini ialah $0.09, dengan tarikh ex-dividen September 28, 2026 dan tarikh pembayaran September 29, 2026. Dividen sesaham seterusnya ialah $0.09, dengan tarikh ex-dividen September 28, 2026 dan tarikh pembayaran September 29, 2026. Hasil dividen semasa American Funds Retirement Income Portfolio Series - Conservative - Class T (TFACX) ialah 0%.

Akan datang

Lalu

TarikhAmaunPerubahan
$0.47
+3.95%
29 Sep 2026
$0.09
-
29 Jun 2026
$0.11
+41.83%
30 Mac 2026
$0.08
-60.03%
$0.45
+6.03%
30 Dis 2025
$0.19
+113.85%
29 Sep 2025
$0.09
-10.05%
27 Jun 2025
$0.10
+46.76%
28 Mac 2025
$0.07
-60.16%
$0.42
+8.72%
30 Dis 2024
$0.17
+92.32%
27 Sep 2024
$0.09
-15.23%
27 Jun 2024
$0.10
+75.17%
27 Mac 2024
$0.06
-62.33%
$0.39
+2.48%
29 Dis 2023
$0.16
+82.26%
29 Sep 2023
$0.09
+18.42%
30 Jun 2023
$0.07
+3.97%
31 Mac 2023
$0.07
-57.78%
$0.38
-6.76%
30 Dis 2022
$0.17
+120.32%
30 Sep 2022
$0.08
-
30 Jun 2022
$0.08
+24.67%
31 Mac 2022
$0.06
-49.88%
$0.41
-16.46%
31 Dis 2021
$0.12
+83.44%
Pertumbuhan 10T
Tiada
Pertumbuhan 5T
4.5%
Pertumbuhan 3T
6.42%
Pertumbuhan 1T
9.37%

Komuniti

FAQ

Berapakah dividen yang dibayar oleh American Funds Retirement Income Portfolio Series - Conservative - Class T?
American Funds Retirement Income Portfolio Series - Conservative - Class T membayar dividen tahunan sebanyak $0.45 sesaham, dengan hasil dividen sebanyak 0%.
Apakah hasil dividen bagi American Funds Retirement Income Portfolio Series - Conservative - Class T?
Hasil dividen semasa bagi American Funds Retirement Income Portfolio Series - Conservative - Class T ialah 0%.
Bilakah American Funds Retirement Income Portfolio Series - Conservative - Class T membayar dividen?
American Funds Retirement Income Portfolio Series - Conservative - Class T membayar dividen suku tahunan. Pembayaran seterusnya dijangka pada September 29, 2026.
Bilakah dividen seterusnya daripada American Funds Retirement Income Portfolio Series - Conservative - Class T?
Pembayaran dividen seterusnya daripada American Funds Retirement Income Portfolio Series - Conservative - Class T dijangka pada September 29, 2026.
Sejauh mana selamatnya dividen American Funds Retirement Income Portfolio Series - Conservative - Class T?
American Funds Retirement Income Portfolio Series - Conservative - Class T telah menaikkan dividennya selama 3 tahun berturut-turut, dengan nisbah pembayaran dividen 0% dan pertumbuhan dividen 5 tahun sebanyak 4.5%.
Berapakah dividen American Funds Retirement Income Portfolio Series - Conservative - Class T?
American Funds Retirement Income Portfolio Series - Conservative - Class T kini membayar dividen sebanyak $0.11 sesaham.
Bilakah saya perlu membeli saham American Funds Retirement Income Portfolio Series - Conservative - Class T untuk menerima dividen sebelumnya?
To receive the previous dividend from American Funds Retirement Income Portfolio Series - Conservative - Class T, you needed to own the shares before the ex-dividend date of Jun 26, 2026.
Bilakah American Funds Retirement Income Portfolio Series - Conservative - Class T membayar dividen terakhir?
Pembayaran dividen terakhir daripada American Funds Retirement Income Portfolio Series - Conservative - Class T dibuat pada Jun 29, 2026.
Berapakah dividen American Funds Retirement Income Portfolio Series - Conservative - Class T pada tahun 2025?
Pada tahun 2025, American Funds Retirement Income Portfolio Series - Conservative - Class T membayar jumlah dividen sebanyak $0.45 sesaham.
Dalam mata wang apa American Funds Retirement Income Portfolio Series - Conservative - Class T mengagihkan dividen?
American Funds Retirement Income Portfolio Series - Conservative - Class T mengagihkan dividennya dalam USD.