FRANKLIN FOUNDING FUNDS ALLOCATION FUND CLASS A(FFALX) USD 13.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.20%USD 0.558USD0.24042022-12-20
USD0.31762022-06-21
20210.90%USD 0.119USD0.11892021-06-28
20207.59%USD 1.007USD0.26032020-12-30
USD0.74672020-06-26
20193.28%USD 0.436USD0.25522019-12-30
USD0.18062019-06-26
20183.80%USD 0.505USD0.23222018-12-28
USD0.27232018-06-27
20173.23%USD 0.428USD0.16782017-12-28
USD0.26062017-06-28
20162.20%USD 0.292USD0.15462016-12-29
USD0.13722016-06-28
20152.70%USD 0.359USD0.24542015-12-30
USD0.11322015-06-26
20143.44%USD 0.456USD0.36272014-12-30
USD0.09352014-06-26
20132.87%USD 0.381USD0.23092013-12-30
USD0.14992013-06-26
20122.81%USD 0.373USD0.21282012-12-28
USD0.162012-06-27
20112.90%USD 0.384USD0.22392011-12-28
USD0.16032011-06-28
20103.13%USD 0.416USD0.22362010-12-29
USD0.1572010-06-28
USD0.0352010-04-23
20093.00%USD 0.398USD0.19322009-12-29
USD0.20452009-06-30
20084.97%USD 0.66USD0.36812008-12-29
USD0.29182008-03-17
20076.86%USD 0.911USD0.67642007-12-28
USD0.23432007-03-15
20066.84%USD 0.908USD0.67942006-12-28
USD0.22842006-03-16
20054.15%USD 0.55USD0.4322005-12-29
USD0.11832005-03-16
20042.20%USD 0.292USD0.29152004-12-23
20030.66%USD 0.088USD0.08752003-12-23