Templeton Emerging Markets Bond Fund6(FEMRX) USD 5.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.49%USD 0.075USD0.07472023-03-20
20226.39%USD 0.321USD0.06842022-12-20
USD0.06982022-09-20
USD0.05552022-06-21
USD0.12722022-03-21
202110.98%USD 0.551USD0.11322021-12-15
USD0.15062021-09-15
USD0.1462021-06-15
USD0.14132021-03-15
202010.63%USD 0.533USD0.11562020-12-15
USD0.07572020-09-15
USD0.12712020-06-15
USD0.2152020-03-16
201910.70%USD 0.537USD0.08732019-12-16
USD0.08442019-09-16
USD0.18072019-06-17
USD0.18462019-03-15
201814.94%USD 0.75USD0.23432018-12-17
USD0.18042018-09-17
USD0.16582018-06-15
USD0.16962018-03-15
20175.52%USD 0.277USD0.2772017-12-15