FRANKLIN BALANCED FUND CLASS C(FBMCX) USD 12.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.93%USD 0.114USD0.03812023-03-28
USD0.03812023-02-23
USD0.03812023-01-26
20223.29%USD 0.403USD0.03362022-12-27
USD0.03362022-11-25
USD0.03362022-10-26
USD0.03362022-09-27
USD0.03362022-08-26
USD0.03362022-07-26
USD0.03362022-06-27
USD0.03362022-05-25
USD0.03362022-04-26
USD0.03362022-03-28
USD0.03362022-02-23
USD0.03362022-01-26
20217.07%USD 0.865USD0.52052021-12-15
USD0.03132021-11-15
USD0.03132021-10-15
USD0.03132021-09-15
USD0.03132021-08-16
USD0.03132021-07-15
USD0.03132021-06-15
USD0.03132021-05-17
USD0.03132021-04-15
USD0.03132021-03-15
USD0.03132021-02-16
USD0.03132021-01-15
20203.75%USD 0.459USD0.11712020-12-15
USD0.03112020-11-16
USD0.03112020-10-15
USD0.03112020-09-15
USD0.03112020-08-17
USD0.03112020-07-15
USD0.03112020-06-15
USD0.03112020-05-15
USD0.03112020-04-15
USD0.03112020-03-16
USD0.03112020-02-18
USD0.03112020-01-15
20196.65%USD 0.815USD0.51082019-12-16
USD0.02872019-11-15
USD0.02872019-10-15
USD0.02872019-09-16
USD0.02872019-08-15
USD0.02872019-07-15
USD0.02872019-06-17
USD0.02872019-05-15
USD0.02872019-04-15
USD0.02872019-03-15
USD0.02272019-02-15
USD0.02272019-01-15
20183.36%USD 0.411USD0.16452018-12-17
USD0.02252018-11-15
USD0.02252018-10-15
USD0.02252018-09-17
USD0.02272018-08-15
USD0.02272018-07-16
USD0.02272018-06-15
USD0.02222018-05-15
USD0.02222018-04-16
USD0.02222018-03-15
USD0.02232018-02-15
USD0.02232018-01-16
20174.05%USD 0.495USD0.24682017-12-15
USD0.02252017-11-15
USD0.02252017-10-16
USD0.02252017-09-15
USD0.02252017-08-15
USD0.02252017-07-17
USD0.02252017-06-15
USD0.02262017-05-15
USD0.02262017-04-17
USD0.02262017-03-15
USD0.02282017-02-15
USD0.02282017-01-17
20163.64%USD 0.446USD0.19172016-12-15
USD0.02272016-11-15
USD0.02272016-10-17
USD0.02272016-09-15
USD0.02312016-08-15
USD0.02312016-07-15
USD0.02312016-06-15
USD0.02352016-05-16
USD0.02352016-04-15
USD0.02352016-03-15
USD0.02312016-02-16
USD0.02312016-01-15
20152.29%USD 0.281USD0.02762015-12-15
USD0.02282015-11-16
USD0.02282015-10-15
USD0.02282015-09-15
USD0.02312015-08-17
USD0.02312015-07-15
USD0.02312015-06-15
USD0.02322015-05-15
USD0.02322015-04-15
USD0.02322015-03-16
USD0.02292015-02-17
USD0.02292015-01-15
20143.54%USD 0.434USD0.17992014-12-15
USD0.02282014-11-17
USD0.02282014-10-15
USD0.02282014-09-15
USD0.02312014-08-15
USD0.02312014-07-15
USD0.02312014-06-16
USD0.02332014-05-15
USD0.02332014-04-15
USD0.02332014-03-17
USD0.02322014-02-18
USD0.02322014-01-15
20133.70%USD 0.453USD0.19352013-12-16
USD0.02352013-11-15
USD0.02352013-10-15
USD0.02352013-09-16
USD0.02352013-08-15
USD0.02352013-07-15
USD0.02352013-06-17
USD0.02362013-05-15
USD0.02362013-04-15
USD0.02362013-03-15
USD0.02372013-02-15
USD0.02372013-01-15
20123.50%USD 0.429USD0.1652012-12-17
USD0.02382012-11-15
USD0.02382012-10-15
USD0.02382012-09-17
USD0.02362012-08-15
USD0.02362012-07-16
USD0.02362012-06-15
USD0.02422012-05-15
USD0.02422012-04-16
USD0.02422012-03-15
USD0.02452012-02-15
USD0.02452012-01-17
20112.39%USD 0.293USD0.02882011-12-15
USD0.02412011-11-15
USD0.02412011-10-17
USD0.02412011-09-15
USD0.02392011-08-15
USD0.02392011-07-15
USD0.02392011-06-15
USD0.02382011-05-16
USD0.02382011-04-15
USD0.02382011-03-15
USD0.02432011-02-15
USD0.02432011-01-18
20102.80%USD 0.343USD0.02432010-12-15
USD0.02492010-11-15
USD0.02492010-10-15
USD0.02492010-09-15
USD0.02462010-08-09
USD0.02462010-07-15
USD0.02462010-06-15
USD0.02472010-05-17
USD0.0472010-04-30
USD0.02472010-04-15
USD0.02472010-03-15
USD0.02442010-02-16
USD0.02442010-01-15
20092.29%USD 0.281USD0.02442009-12-15
USD0.02432009-11-16
USD0.02432009-10-15
USD0.02432009-09-15
USD0.02552009-08-17
USD0.02552009-07-15
USD0.02552009-06-15
USD0.02662009-05-15
USD0.02662009-04-15
USD0.02662009-03-16
USD0.02722009-02-17