FRANKLIN BALANCE SHEET INVESTMENT FUND CLASS C(FCBSX) USD 30.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.76%USD 1.129USD0.05352022-12-20
USD1.07522022-12-15
202115.50%USD 4.654USD4.65442021-12-15
20203.11%USD 0.933USD0.93252020-12-15
20198.02%USD 2.408USD2.40752019-12-16
201815.04%USD 4.515USD4.51452018-12-17
20179.57%USD 2.874USD2.8742017-12-15
20167.69%USD 2.309USD2.30892016-12-15
201519.23%USD 5.772USD5.77212015-12-15
201425.27%USD 7.587USD7.58662014-12-15
201318.71%USD 5.617USD5.61692013-12-16
20128.36%USD 2.511USD2.51062012-12-17
201116.39%USD 4.919USD4.91932011-12-15
201014.59%USD 4.38USD4.37972010-12-15
20090.50%USD 0.15USD0.14992009-12-15
20084.72%USD 1.418USD1.41782008-12-15
200719.34%USD 5.807USD5.80722007-12-17
200615.44%USD 4.634USD4.63372006-12-15
20058.13%USD 2.44USD2.44032005-12-15
20043.03%USD 0.91USD0.90962004-12-15
20031.02%USD 0.307USD0.30692003-12-15
20020.90%USD 0.271USD0.25042002-12-13
USD0.02062002-03-15
20014.19%USD 1.257USD0.0412001-12-31
USD1.21552001-12-14