FRANKLIN GROWTH ALLOCATION FUND CLASS A(FGTIX) USD 16.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.63%USD 0.777USD0.10512022-12-29
USD0.04232022-09-30
USD0.03472022-06-30
USD0.59462022-06-15
202116.99%USD 2.852USD2.40592021-12-30
USD0.02392021-09-28
USD0.41322021-06-28
USD0.00922021-03-29
20205.97%USD 1.003USD0.35072020-12-30
USD0.03842020-09-28
USD0.59532020-06-26
USD0.01882020-03-27
201911.29%USD 1.896USD1.88262019-12-30
USD0.01372019-03-27
20189.31%USD 1.564USD1.28312018-12-28
USD0.27632018-06-27
USD0.00412018-03-27
20178.55%USD 1.435USD0.90722017-12-28
USD0.43552017-06-28
USD0.09262017-03-29
20162.80%USD 0.47USD0.13642016-12-29
USD0.32922016-06-28
USD0.00422016-03-29
20157.70%USD 1.292USD0.64552015-12-30
USD0.64362015-06-26
USD0.0032015-03-27
20144.41%USD 0.74USD0.42742014-12-30
USD0.3072014-06-26
USD0.0062014-03-27
20134.11%USD 0.689USD0.45022013-12-30
USD0.22512013-06-26
USD0.0142013-03-26
20121.46%USD 0.246USD0.20242012-12-28
USD0.04332012-03-28
20111.45%USD 0.243USD0.17492011-12-28
USD0.06832011-03-29
20101.15%USD 0.192USD0.18742010-12-29
USD0.00492010-03-29
20091.28%USD 0.215USD0.10912009-12-29
USD0.07772009-09-28
USD0.00482009-06-30
USD0.02312009-03-31
20085.22%USD 0.876USD0.2092008-12-29
USD0.6582008-06-30
USD0.00922008-03-31
20076.53%USD 1.097USD0.51982007-12-28
USD0.05262007-09-17
USD0.52032007-06-08
USD0.0042007-03-12
20062.58%USD 0.434USD0.3372006-12-28
USD0.04812006-09-15
USD0.04862006-03-13
20051.03%USD 0.174USD0.1462005-12-29
USD0.00682005-09-15
USD0.02092005-03-14
20040.50%USD 0.084USD0.08362004-12-23
20030.59%USD 0.098USD0.09832003-12-23
20020.86%USD 0.144USD0.09942002-12-23
USD0.0452002-06-17
20011.95%USD 0.327USD0.25872001-12-21
USD0.0312001-09-17
USD0.0372001-06-15
20002.69%USD 0.451USD0.3182000-12-22
USD0.0882000-09-15
USD0.0272000-06-15
USD0.0182000-03-15