FRANKLIN BALANCE SHEET INVESTMENT FUND CLASS R(FBSRX) USD 31.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.14%USD 1.321USD0.24542022-12-20
USD1.07522022-12-15
202115.27%USD 4.872USD4.87212021-12-15
20203.47%USD 1.105USD1.10542020-12-15
20198.12%USD 2.592USD2.59182019-12-16
201815.28%USD 4.873USD4.87312018-12-17
20179.51%USD 3.034USD3.03382017-12-15
20167.54%USD 2.404USD2.40392016-12-15
201518.63%USD 5.942USD5.94192015-12-15
201423.80%USD 7.593USD7.59332014-12-15
201318.17%USD 5.798USD5.79772013-12-16
20128.53%USD 2.72USD2.72022012-12-17
201115.72%USD 5.013USD5.01342011-12-15
201014.34%USD 4.574USD4.57352010-12-15
20091.06%USD 0.339USD0.33922009-12-15
20084.93%USD 1.572USD1.57172008-12-15
200719.50%USD 6.22USD6.22022007-12-17
200615.75%USD 5.024USD5.02382006-12-15
20058.78%USD 2.801USD2.80052005-12-15
20043.80%USD 1.211USD1.21072004-12-15
20031.24%USD 0.397USD0.39682003-12-15
20021.48%USD 0.471USD0.47082002-12-13