FRANKLIN BALANCE SHEET INVESTMENT FUND ADVISOR CLASS(FBSAX) USD 33.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.44%USD 1.483USD0.40822022-12-20
USD1.07522022-12-15
202117.35%USD 5.796USD5.7962021-12-15
20203.78%USD 1.262USD1.26182020-12-15
20198.29%USD 2.77USD2.77042019-12-16
201815.18%USD 5.072USD5.07172018-12-17
20179.68%USD 3.235USD3.23482017-12-15
20167.76%USD 2.593USD2.59282016-12-15
201518.38%USD 6.139USD6.13942015-12-15
201423.62%USD 7.892USD7.89232014-12-15
201318.20%USD 6.081USD6.0812013-12-16
20128.79%USD 2.938USD2.93792012-12-17
201115.87%USD 5.302USD5.30172011-12-15
201014.50%USD 4.845USD4.8452010-12-15
20091.56%USD 0.522USD0.5222009-12-15
20085.62%USD 1.878USD1.87792008-12-15
200719.65%USD 6.566USD6.56582007-12-17
200615.95%USD 5.329USD5.32862006-12-15
20059.16%USD 3.061USD3.06132005-12-15
20044.34%USD 1.449USD1.44852004-12-15
20031.71%USD 0.572USD0.57242003-12-15
20021.73%USD 0.579USD0.57872002-12-13