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RITFX Chart NMFQS:RITFX

High Yield Bond | American Funds
$9.71
↓ $-0.04 (-0.41%)
Last Updated: Aug 09, 2026

RITFX Price Chart



Performance Summary

YTD Return 1.67%
1-Year Return 5.27%
3-Year Return 8.82%
5-Year Return 4.78%
NAV $9.71
Previous Close $9.75

Fund Metrics

Net Assets $16.44 Billion
Expense Ratio 0.42%
Dividend Yield 0.07%
Morning Star Rating -
Inception Date -
Update Date 2026-06-30