TEMPLETON INTERNATIONAL BOND FUND CLASS R6(FIBQX) USD 7.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.95%USD 0.07USD0.02392023-03-28
USD0.02242023-02-23
USD0.02392023-01-26
20225.35%USD 0.395USD0.0262022-12-27
USD0.02432022-11-25
USD0.02482022-10-26
USD0.03442022-09-27
USD0.03232022-08-26
USD0.03512022-07-26
USD0.0432022-06-27
USD0.03992022-05-25
USD0.03642022-04-26
USD0.03782022-03-28
USD0.03312022-02-23
USD0.02752022-01-26
20213.84%USD 0.283USD0.00592021-12-15
USD0.02522021-11-15
USD0.02482021-10-15
USD0.0262021-09-15
USD0.02472021-08-16
USD0.03062021-07-15
USD0.032021-06-15
USD0.03152021-05-17
USD0.02242021-04-15
USD0.02152021-03-15
USD0.02072021-02-16
USD0.022021-01-15
20203.36%USD 0.248USD0.01932020-12-15
USD0.01692020-11-16
USD0.0192020-10-15
USD0.01822020-09-15
USD0.01532020-08-17
USD0.01652020-07-15
USD0.01562020-06-15
USD0.01832020-05-15
USD0.01172020-04-15
USD0.03052020-03-16
USD0.03172020-02-18
USD0.03472020-01-15
20198.12%USD 0.599USD0.14112019-12-16
USD0.03442019-11-15
USD0.03532019-10-15
USD0.02732019-09-16
USD0.04042019-08-15
USD0.04372019-07-15
USD0.04182019-06-17
USD0.04492019-05-15
USD0.04232019-04-15
USD0.04782019-03-15
USD0.0462019-02-15
USD0.05372019-01-15
20188.89%USD 0.655USD0.2882018-12-17
USD0.04912018-11-15
USD0.04572018-10-15
USD0.03442018-09-17
USD0.03792018-08-15
USD0.03672018-07-16
USD0.03682018-06-15
USD0.03562018-05-15
USD0.0292018-04-16
USD0.02382018-03-15
USD0.01772018-02-15
USD0.02022018-01-16
20171.92%USD 0.142USD0.08992017-12-15
USD0.01242017-11-15
USD0.01232017-10-16
USD0.01452017-09-15
USD0.01262017-08-15