FRANKLIN CONVERTIBLE SECURITIES FUND CLASS R6(FCSKX) USD 20.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.30%USD 0.061USD0.06112023-03-20
20228.64%USD 1.749USD0.05192022-12-20
USD1.52992022-12-15
USD0.05312022-09-20
USD0.05312022-06-21
USD0.06132022-03-21
202127.44%USD 5.554USD5.30092021-12-15
USD0.05332021-09-15
USD0.0612021-06-15
USD0.13862021-03-15
202016.20%USD 3.279USD3.00122020-12-15
USD0.07632020-09-15
USD0.08322020-06-15
USD0.11782020-03-16
20199.60%USD 1.944USD1.71322019-12-16
USD0.08682019-09-16
USD0.08742019-06-17
USD0.05642019-03-15
20187.01%USD 1.419USD1.05312018-12-17
USD0.13632018-09-17
USD0.13432018-06-15
USD0.09542018-03-15
20177.75%USD 1.569USD1.23842017-12-15
USD0.1152017-09-15
USD0.12812017-06-15
USD0.08712017-03-15
20163.90%USD 0.789USD0.54692016-12-15
USD0.15142016-09-15
USD0.09062016-06-15