FRANKLIN FOUNDING FUNDS ALLOCATION FUND CLASS C(FFACX) USD 13.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.40%USD 0.446USD0.17992022-12-20
USD0.26642022-06-21
20210.51%USD 0.067USD0.06672021-06-28
20206.87%USD 0.901USD0.20242020-12-30
USD0.69812020-06-26
20192.45%USD 0.322USD0.19282019-12-30
USD0.12872019-06-26
20182.28%USD 0.299USD0.07872018-12-28
USD0.22022018-06-27
20172.42%USD 0.317USD0.10772017-12-28
USD0.2092017-06-28
20161.50%USD 0.197USD0.1012016-12-29
USD0.09552016-06-28
20151.98%USD 0.26USD0.19362015-12-30
USD0.0662015-06-26
20142.70%USD 0.354USD0.31062014-12-30
USD0.04322014-06-26
20132.20%USD 0.288USD0.18142013-12-30
USD0.10662013-06-26
20122.22%USD 0.291USD0.16992012-12-28
USD0.12092012-06-27
20112.31%USD 0.303USD0.18422011-12-28
USD0.11892011-06-28
20102.52%USD 0.33USD0.18312010-12-29
USD0.12032010-06-28
USD0.0272010-04-23
20092.54%USD 0.334USD0.15682009-12-29
USD0.17682009-06-30
20084.37%USD 0.573USD0.28082008-12-29
USD0.29182008-03-17
20076.30%USD 0.826USD0.59162007-12-28
USD0.23432007-03-15
20066.40%USD 0.839USD0.61022006-12-28
USD0.22842006-03-16
20054.23%USD 0.554USD0.43562005-12-29
USD0.11832005-03-16
20041.87%USD 0.245USD0.24482004-12-23
20030.59%USD 0.078USD0.07762003-12-23