AIVS

American Funds Investment Company of America Class A (AIVSX)

Market Open
8 Dec, 13:10
NASDAQ NASDAQ
$
68. 50
+0.13
+0.19%
$
175.09B Market Cap
0% Div Yield
0 Volume
$ 68.37
Previous Close
Day Range
68.5 68.5
Year Range
50.27 68.84
Want to track AIVSX and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Name Dividend Payment Date Record Date Declaration Date
AIVS
AIVSX American Funds Investment Company of America Class A
17 Sep 2025
$0.15
18 Sep 2025
17 Sep 2025
-
AIVS
AIVSX American Funds Investment Company of America Class A
11 Jun 2025
$0.73
12 Jun 2025
11 Jun 2025
-
AIVS
AIVSX American Funds Investment Company of America Class A
12 Mar 2025
$0.15
13 Mar 2025
12 Mar 2025
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Dec 2024
$4.66
18 Dec 2024
17 Dec 2024
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Sep 2024
$0.15
19 Sep 2024
18 Sep 2024
-
AIVS
AIVSX American Funds Investment Company of America Class A
12 Jun 2024
$0.39
13 Jun 2024
12 Jun 2024
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Mar 2024
$0.15
14 Mar 2024
13 Mar 2024
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Dec 2023
$2.04
14 Dec 2023
13 Dec 2023
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Sep 2023
$0.15
14 Sep 2023
13 Sep 2023
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Jun 2023
$0.15
15 Jun 2023
14 Jun 2023
-
AIVS
AIVSX American Funds Investment Company of America Class A
15 Mar 2023
$0.15
16 Mar 2023
15 Mar 2023
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Dec 2022
$1.49
15 Dec 2022
14 Dec 2022
14 Dec 2022
AIVS
AIVSX American Funds Investment Company of America Class A
14 Sep 2022
$0.15
15 Sep 2022
14 Sep 2022
14 Sep 2022
AIVS
AIVSX American Funds Investment Company of America Class A
15 Jun 2022
$0.73
16 Jun 2022
15 Jun 2022
15 Jun 2022
AIVS
AIVSX American Funds Investment Company of America Class A
16 Mar 2022
$0.15
17 Mar 2022
16 Mar 2022
16 Mar 2022
AIVS
AIVSX American Funds Investment Company of America Class A
15 Dec 2021
$2.72
16 Dec 2021
15 Dec 2021
15 Dec 2021
AIVS
AIVSX American Funds Investment Company of America Class A
15 Sep 2021
$0.15
16 Sep 2021
15 Sep 2021
15 Sep 2021
AIVS
AIVSX American Funds Investment Company of America Class A
16 Jun 2021
$0.57
17 Jun 2021
16 Jun 2021
16 Jun 2021
AIVS
AIVSX American Funds Investment Company of America Class A
17 Mar 2021
$0.15
18 Mar 2021
17 Mar 2021
17 Mar 2021
AIVS
AIVSX American Funds Investment Company of America Class A
16 Dec 2020
$0.15
17 Dec 2020
16 Dec 2020
16 Dec 2020
AIVS
AIVSX American Funds Investment Company of America Class A
16 Sep 2020
$0.15
17 Sep 2020
16 Sep 2020
16 Sep 2020
AIVS
AIVSX American Funds Investment Company of America Class A
17 Jun 2020
$0.27
18 Jun 2020
17 Jun 2020
17 Jun 2020
AIVS
AIVSX American Funds Investment Company of America Class A
18 Mar 2020
$0.15
19 Mar 2020
18 Mar 2020
18 Mar 2020
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2019
$1.99
19 Dec 2019
18 Dec 2019
18 Dec 2019
AIVS
AIVSX American Funds Investment Company of America Class A
13 Sep 2019
$0.15
16 Sep 2019
13 Sep 2019
13 Sep 2019
AIVS
AIVSX American Funds Investment Company of America Class A
14 Jun 2019
$0.28
17 Jun 2019
14 Jun 2019
14 Jun 2019
AIVS
AIVSX American Funds Investment Company of America Class A
15 Mar 2019
$0.15
18 Mar 2019
15 Mar 2019
15 Mar 2019
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 2018
$2.92
20 Dec 2018
19 Dec 2018
19 Dec 2018
AIVS
AIVSX American Funds Investment Company of America Class A
14 Sep 2018
$0.15
17 Sep 2018
14 Sep 2018
14 Sep 2018
AIVS
AIVSX American Funds Investment Company of America Class A
15 Jun 2018
$0.72
18 Jun 2018
15 Jun 2018
15 Jun 2018
AIVS
AIVSX American Funds Investment Company of America Class A
16 Mar 2018
$0.15
19 Mar 2018
16 Mar 2018
16 Mar 2018
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2017
$2.49
19 Dec 2017
18 Dec 2017
18 Dec 2017
AIVS
AIVSX American Funds Investment Company of America Class A
15 Sep 2017
$0.15
18 Sep 2017
15 Sep 2017
15 Sep 2017
AIVS
AIVSX American Funds Investment Company of America Class A
16 Jun 2017
$0.15
19 Jun 2017
16 Jun 2017
16 Jun 2017
AIVS
AIVSX American Funds Investment Company of America Class A
17 Mar 2017
$0.15
20 Mar 2017
17 Mar 2017
17 Mar 2017
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 2016
$1.55
20 Dec 2016
19 Dec 2016
19 Dec 2016
AIVS
AIVSX American Funds Investment Company of America Class A
16 Sep 2016
$0.14
19 Sep 2016
16 Sep 2016
16 Sep 2016
AIVS
AIVSX American Funds Investment Company of America Class A
17 Jun 2016
$0.14
20 Jun 2016
17 Jun 2016
17 Jun 2016
AIVS
AIVSX American Funds Investment Company of America Class A
18 Mar 2016
$0.14
21 Mar 2016
18 Mar 2016
18 Mar 2016
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2015
$2.44
21 Dec 2015
18 Dec 2015
18 Dec 2015
AIVS
AIVSX American Funds Investment Company of America Class A
21 Sep 2015
$0.14
21 Sep 2015
18 Sep 2015
18 Sep 2015
AIVS
AIVSX American Funds Investment Company of America Class A
18 Sep 2015
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Jun 2015
$0.14
22 Jun 2015
19 Jun 2015
19 Jun 2015
AIVS
AIVSX American Funds Investment Company of America Class A
19 Jun 2015
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Mar 2015
$0.41
16 Mar 2015
13 Mar 2015
13 Mar 2015
AIVS
AIVSX American Funds Investment Company of America Class A
13 Mar 2015
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
26 Dec 2014
$3.63
24 Dec 2014
23 Dec 2014
23 Dec 2014
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2014
$0.29
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Sep 2014
$0.14
22 Sep 2014
19 Sep 2014
19 Sep 2014
AIVS
AIVSX American Funds Investment Company of America Class A
19 Sep 2014
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Jun 2014
$0.14
16 Jun 2014
13 Jun 2014
13 Jun 2014
AIVS
AIVSX American Funds Investment Company of America Class A
13 Jun 2014
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Mar 2014
$0.14
17 Mar 2014
14 Mar 2014
14 Mar 2014
AIVS
AIVSX American Funds Investment Company of America Class A
14 Mar 2014
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
26 Dec 2013
$2.73
24 Dec 2013
23 Dec 2013
23 Dec 2013
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2013
$0.22
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Sep 2013
$0.14
16 Sep 2013
13 Sep 2013
13 Sep 2013
AIVS
AIVSX American Funds Investment Company of America Class A
13 Sep 2013
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Jun 2013
$0.14
14 Jun 2013
13 Jun 2013
13 Jun 2013
AIVS
AIVSX American Funds Investment Company of America Class A
13 Jun 2013
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Mar 2013
$0.13
14 Mar 2013
13 Mar 2013
13 Mar 2013
AIVS
AIVSX American Funds Investment Company of America Class A
13 Mar 2013
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
26 Dec 2012
$0.75
24 Dec 2012
21 Dec 2012
21 Dec 2012
AIVS
AIVSX American Funds Investment Company of America Class A
21 Dec 2012
$0.33
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Sep 2012
$0.13
17 Sep 2012
14 Sep 2012
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Sep 2012
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
11 Jun 2012
$0.13
11 Jun 2012
8 Jun 2012
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Jun 2012
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
15 Mar 2012
$0.13
15 Mar 2012
14 Mar 2012
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Mar 2012
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2011
$0.19
23 Dec 2011
22 Dec 2011
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Dec 2011
$0.19
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
19 Sep 2011
$0.13
19 Sep 2011
16 Sep 2011
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Sep 2011
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Jun 2011
$0.13
13 Jun 2011
10 Jun 2011
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Jun 2011
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Mar 2011
$0.13
7 Mar 2011
4 Mar 2011
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Mar 2011
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
27 Dec 2010
$0.17
27 Dec 2010
23 Dec 2010
-
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2010
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
20 Sep 2010
$0.13
20 Sep 2010
17 Sep 2010
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Sep 2010
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Jun 2010
$0.13
14 Jun 2010
11 Jun 2010
-
AIVS
AIVSX American Funds Investment Company of America Class A
11 Jun 2010
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Mar 2010
$0.13
8 Mar 2010
5 Mar 2010
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Mar 2010
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
24 Dec 2009
$0.14
24 Dec 2009
23 Dec 2009
-
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2009
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Sep 2009
$0.13
4 Sep 2009
3 Sep 2009
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Sep 2009
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Jun 2009
$0.13
8 Jun 2009
5 Jun 2009
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 2009
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Mar 2009
$0.17
9 Mar 2009
6 Mar 2009
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 2009
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 2008
$0.17
19 Dec 2008
18 Dec 2008
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2008
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Sep 2008
$0.17
8 Sep 2008
5 Sep 2008
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 2008
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Jun 2008
$0.17
9 Jun 2008
6 Jun 2008
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Jun 2008
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Mar 2008
$0.17
10 Mar 2008
7 Mar 2008
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Mar 2008
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
20 Dec 2007
$2.03
20 Dec 2007
19 Dec 2007
-
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 2007
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Sep 2007
$0.17
10 Sep 2007
7 Sep 2007
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 2007
$0.17
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Jun 2007
$0.16
4 Jun 2007
1 Jun 2007
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Jun 2007
$0.16
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Mar 2007
$0.16
5 Mar 2007
2 Mar 2007
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Mar 2007
$0.16
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Dec 2006
$2.35
22 Dec 2006
21 Dec 2006
-
AIVS
AIVSX American Funds Investment Company of America Class A
21 Dec 2006
$0.29
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 2006
$0.15
5 Sep 2006
1 Sep 2006
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Sep 2006
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 2006
$0.15
5 Jun 2006
2 Jun 2006
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Jun 2006
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 2006
$0.15
6 Mar 2006
3 Mar 2006
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 2006
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 2005
$1.09
23 Dec 2005
22 Dec 2005
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Dec 2005
$0.28
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 2005
$0.14
6 Sep 2005
2 Sep 2005
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Sep 2005
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Jun 2005
$0.13
6 Jun 2005
3 Jun 2005
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Jun 2005
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Mar 2005
$0.13
7 Mar 2005
4 Mar 2005
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Mar 2005
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Dec 2004
$0.48
14 Dec 2004
13 Dec 2004
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Dec 2004
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 2004
$0.13
7 Sep 2004
3 Sep 2004
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Sep 2004
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 2004
$0.13
7 Jun 2004
4 Jun 2004
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Jun 2004
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Mar 2004
$0.13
8 Mar 2004
5 Mar 2004
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Mar 2004
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Dec 2003
$0.34
17 Dec 2003
16 Dec 2003
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Sep 2003
$0.13
8 Sep 2003
5 Sep 2003
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 2003
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Jun 2003
$0.13
9 Jun 2003
6 Jun 2003
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Jun 2003
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Mar 2003
$0.13
4 Mar 2003
3 Mar 2003
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 2003
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Dec 2002
$0.48
17 Dec 2002
16 Dec 2002
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Dec 2002
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
28 Oct 2002
$0.04
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 2002
$0.13
9 Sep 2002
6 Sep 2002
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 2002
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Jun 2002
$0.13
10 Jun 2002
7 Jun 2002
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 2002
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Mar 2002
$0.24
4 Mar 2002
1 Mar 2002
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2001
$0.48
18 Dec 2001
17 Dec 2001
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Dec 2001
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 2001
$0.13
10 Sep 2001
7 Sep 2001
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Jun 2001
$0.13
4 Jun 2001
1 Jun 2001
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Jun 2001
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 2001
$0.37
5 Mar 2001
2 Mar 2001
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Mar 2001
$0.13
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 2000
$1.84
19 Dec 2000
18 Dec 2000
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 2000
$0.16
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 2000
$0.12
5 Sep 2000
1 Sep 2000
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Sep 2000
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 2000
$0.12
5 Jun 2000
2 Jun 2000
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Jun 2000
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 2000
$0.52
6 Mar 2000
3 Mar 2000
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 2000
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
14 Dec 1999
$2.89
14 Dec 1999
13 Dec 1999
-
AIVS
AIVSX American Funds Investment Company of America Class A
13 Dec 1999
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 1999
$0.12
7 Sep 1999
3 Sep 1999
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Sep 1999
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 1999
$0.12
7 Jun 1999
4 Jun 1999
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Jun 1999
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Mar 1999
$0.42
8 Mar 1999
5 Mar 1999
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Mar 1999
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 1998
$2.76
18 Dec 1998
17 Dec 1998
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Dec 1998
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Sep 1998
$0.12
8 Sep 1998
4 Sep 1998
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Sep 1998
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Jun 1998
$0.12
8 Jun 1998
5 Jun 1998
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 1998
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Mar 1998
$0.45
9 Mar 1998
6 Mar 1998
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 1998
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
22 Dec 1997
$2.74
22 Dec 1997
19 Dec 1997
-
AIVS
AIVSX American Funds Investment Company of America Class A
19 Dec 1997
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Sep 1997
$0.12
8 Sep 1997
5 Sep 1997
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 1997
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Jun 1997
$0.12
9 Jun 1997
6 Jun 1997
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Jun 1997
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Mar 1997
$0.12
10 Mar 1997
7 Mar 1997
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Mar 1997
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
24 Dec 1996
$1.17
26 Dec 1996
24 Dec 1996
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 1996
$0.12
9 Sep 1996
6 Sep 1996
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 1996
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Mar 1996
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 1995
$1.05
18 Dec 1995
15 Dec 1995
-
AIVS
AIVSX American Funds Investment Company of America Class A
15 Dec 1995
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Sep 1995
$0.12
5 Sep 1995
1 Sep 1995
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Sep 1995
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 1995
$0.12
5 Jun 1995
2 Jun 1995
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Jun 1995
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 1995
$0.12
6 Mar 1995
3 Mar 1995
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 1995
$0.12
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Dec 1994
$0.15
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
12 Dec 1994
$0.75
19 Dec 1994
16 Dec 1994
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 1994
$0.11
6 Sep 1994
2 Sep 1994
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Sep 1994
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Jun 1994
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
27 May 1994
$0.11
6 Jun 1994
3 Jun 1994
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Mar 1994
$0.11
7 Mar 1994
4 Mar 1994
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Mar 1994
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
20 Dec 1993
$0.85
20 Dec 1993
17 Dec 1993
-
AIVS
AIVSX American Funds Investment Company of America Class A
17 Dec 1993
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 1993
$0.11
7 Sep 1993
3 Sep 1993
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Sep 1993
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 1993
$0.11
7 Jun 1993
4 Jun 1993
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Jun 1993
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Mar 1993
$0.15
8 Mar 1993
5 Mar 1993
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Mar 1993
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
21 Dec 1992
$0.46
21 Dec 1992
18 Dec 1992
-
AIVS
AIVSX American Funds Investment Company of America Class A
18 Dec 1992
$0.14
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 1992
$0.11
8 Sep 1992
4 Sep 1992
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Sep 1992
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
8 Jun 1992
$0.11
8 Jun 1992
5 Jun 1992
-
AIVS
AIVSX American Funds Investment Company of America Class A
5 Jun 1992
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
9 Mar 1992
$0.11
9 Mar 1992
6 Mar 1992
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Mar 1992
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
23 Dec 1991
$0.37
23 Dec 1991
20 Dec 1991
-
AIVS
AIVSX American Funds Investment Company of America Class A
20 Dec 1991
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
6 Sep 1991
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
30 Aug 1991
$0.11
9 Sep 1991
6 Sep 1991
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Jun 1991
$0.11
10 Jun 1991
7 Jun 1991
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Jun 1991
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
4 Mar 1991
$0.23
4 Mar 1991
1 Mar 1991
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Mar 1991
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Dec 1990
$0.46
10 Dec 1990
7 Dec 1990
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Dec 1990
$0.26
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
10 Sep 1990
$0.11
10 Sep 1990
7 Sep 1990
-
AIVS
AIVSX American Funds Investment Company of America Class A
7 Sep 1990
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Jun 1990
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Mar 1990
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
15 Dec 1989
$0.26
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Sep 1989
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Jun 1989
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 1989
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
16 Dec 1988
$0.23
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Sep 1988
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Jun 1988
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Mar 1988
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Dec 1987
$0.19
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Sep 1987
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Jun 1987
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Mar 1987
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
1 Dec 1986
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Sep 1986
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
2 Jun 1986
$0.11
-
-
-
AIVS
AIVSX American Funds Investment Company of America Class A
3 Mar 1986
$0.11
-
-
-

AIVSX Dividend FAQ

What is the dividend yield?

How often are dividends paid?

Dividends are paid on a quarterly basis, with typical payment being march, june, september, december.

When is the next dividend payment date?

American Funds Investment Company of America Class A has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 39 years of consistent payments. The most recent payment was 0.155 per share on 2025-09-17.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 39 years is approximately 0.88%, reflecting the AIVSX's commitment to rewarding shareholders.

How can I track AIVSX dividends?

You can easily track AIVSX dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.