FRANKLIN U.S. GOVERNMENT SECURITIES FUND CLASS A(FKUSX) USD 5.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.73%USD 0.037USD0.01222023-03-28
USD0.01272023-02-23
USD0.01242023-01-26
20222.80%USD 0.144USD0.01222022-12-27
USD0.01362022-11-25
USD0.01192022-10-26
USD0.01212022-09-27
USD0.0122022-08-26
USD0.01212022-07-26
USD0.01232022-06-27
USD0.01182022-05-25
USD0.01142022-04-26
USD0.01142022-03-28
USD0.01152022-02-23
USD0.01142022-01-26
20212.64%USD 0.136USD0.01132021-12-30
USD0.01112021-11-30
USD0.01142021-10-29
USD0.01162021-09-30
USD0.00962021-08-31
USD0.01242021-07-30
USD0.01172021-06-30
USD0.01112021-05-28
USD0.01142021-04-30
USD0.01252021-03-31
USD0.01072021-02-26
USD0.0112021-01-29
20203.08%USD 0.158USD0.01122020-12-30
USD0.01172020-11-30
USD0.01192020-10-30
USD0.0122020-09-30
USD0.0132020-08-31
USD0.01412020-07-31
USD0.01432020-06-30
USD0.01362020-05-29
USD0.01342020-04-30
USD0.01442020-03-31
USD0.01432020-02-28
USD0.01442020-01-31
20193.43%USD 0.176USD0.01452019-12-30
USD0.01372019-11-29
USD0.01432019-10-31
USD0.01512019-09-30
USD0.01422019-08-30
USD0.01442019-07-31
USD0.01472019-06-28
USD0.01482019-05-31
USD0.0152019-04-30
USD0.01472019-03-29
USD0.01552019-02-28
USD0.01542019-01-31
20183.60%USD 0.185USD0.01532018-12-28
USD0.01542018-11-30
USD0.01542018-10-31
USD0.0162018-09-28
USD0.01552018-08-31
USD0.01552018-07-31
USD0.01522018-06-29
USD0.01552018-05-31
USD0.01542018-04-30
USD0.01512018-03-29
USD0.01542018-02-28
USD0.01522018-01-31
20173.62%USD 0.186USD0.01512017-12-28
USD0.01522017-11-30
USD0.0142017-10-31
USD0.01542017-09-29
USD0.01552017-08-31
USD0.01562017-07-31
USD0.01572017-06-30
USD0.01632017-05-31
USD0.01532017-04-28
USD0.01592017-03-31
USD0.01632017-02-28
USD0.0162017-01-31
20163.78%USD 0.194USD0.01612016-12-29
USD0.01512016-11-30
USD0.01692016-10-31
USD0.01532016-09-30
USD0.01592016-08-31
USD0.01572016-07-29
USD0.01622016-06-30
USD0.01672016-05-31
USD0.01652016-04-29
USD0.01672016-03-31
USD0.01642016-02-29
USD0.01672016-01-29
20154.10%USD 0.211USD0.01742015-12-30
USD0.0172015-11-30
USD0.01752015-10-30
USD0.01722015-09-30
USD0.01722015-08-31
USD0.01722015-07-31
USD0.01772015-06-30
USD0.01672015-05-29
USD0.01872015-04-30
USD0.01772015-03-31
USD0.01812015-02-27
USD0.01822015-01-30
20144.37%USD 0.225USD0.01832014-12-30
USD0.01792014-11-28
USD0.01842014-10-31
USD0.01842014-09-30
USD0.01812014-08-29
USD0.01852014-07-31
USD0.01882014-06-30
USD0.01882014-05-30
USD0.01932014-04-30
USD0.01932014-03-31
USD0.01972014-02-28
USD0.01922014-01-31
20134.61%USD 0.237USD0.02022013-12-30
USD0.022013-11-29
USD0.01992013-10-31
USD0.022013-09-30
USD0.022013-08-30
USD0.01972013-07-31
USD0.01952013-06-28
USD0.01942013-05-31
USD0.02122013-04-30
USD0.01762013-03-28
USD0.01972013-02-28
USD0.01992013-01-31
20124.76%USD 0.245USD0.01982012-12-28
USD0.01982012-11-30
USD0.00712012-11-01
USD0.01712012-10-01
USD0.01712012-09-04
USD0.01712012-08-01
USD0.02012012-07-02
USD0.02012012-06-01
USD0.02012012-05-01
USD0.02012012-04-02
USD0.02212012-03-01
USD0.02212012-02-01
USD0.02212012-01-04
20115.26%USD 0.27USD0.02212011-12-01
USD0.02212011-11-01
USD0.02212011-10-03
USD0.02212011-09-01
USD0.02382011-08-01
USD0.02382011-07-01
USD0.02382011-06-01
USD0.02212011-05-02
USD0.02212011-04-01
USD0.02212011-03-01
USD0.02212011-02-01
USD0.02212011-01-04
20105.41%USD 0.278USD0.03482010-12-01
USD0.02212010-11-01
USD0.02212010-10-01
USD0.02212010-09-01
USD0.02212010-08-02
USD0.02212010-07-01
USD0.02212010-06-01
USD0.02212010-05-03
USD0.02212010-04-01
USD0.02212010-03-01
USD0.02212010-02-01
USD0.02212010-01-05
20095.64%USD 0.29USD0.02212009-12-01
USD0.02392009-11-02
USD0.02392009-10-01
USD0.02392009-09-01
USD0.02392009-08-03
USD0.02392009-07-01
USD0.02392009-06-01
USD0.02392009-05-01
USD0.02392009-04-01
USD0.02552009-03-02
USD0.02552009-02-02
USD0.02552009-01-05
20086.09%USD 0.313USD0.02552008-12-01
USD0.02552008-11-03
USD0.02552008-10-01
USD0.02552008-09-02
USD0.02552008-08-01
USD0.02552008-07-01
USD0.02552008-06-02
USD0.02692008-05-01
USD0.02692008-04-01
USD0.02692008-03-03
USD0.02692008-02-01
USD0.02692008-01-03
20076.32%USD 0.325USD0.02692007-12-03
USD0.02692007-11-01
USD0.02692007-10-01
USD0.02692007-09-04
USD0.02692007-08-01
USD0.02692007-07-02
USD0.02722007-06-01
USD0.02722007-05-01
USD0.02722007-04-02
USD0.02722007-03-01
USD0.02722007-02-01
USD0.02722007-01-04
20066.24%USD 0.321USD0.03072006-12-01
USD0.02722006-11-01
USD0.02722006-10-02
USD0.02632006-09-01
USD0.02632006-08-01
USD0.02632006-07-03
USD0.02632006-06-01
USD0.02632006-05-01
USD0.0262006-04-03
USD0.0262006-03-01
USD0.0262006-02-01
USD0.0262006-01-04
20056.20%USD 0.319USD0.0262005-12-01
USD0.0262005-11-01
USD0.0262005-10-03
USD0.0262005-09-01
USD0.0262005-08-01
USD0.0262005-07-01
USD0.0262005-06-01
USD0.0262005-05-02
USD0.02772005-04-01
USD0.02772005-03-01
USD0.02772005-02-01
USD0.02772005-01-04
20046.62%USD 0.34USD0.02772004-12-01
USD0.02772004-11-01
USD0.02772004-10-01
USD0.02772004-09-01
USD0.02772004-08-02
USD0.02772004-07-01
USD0.02772004-06-01
USD0.02772004-05-03
USD0.02972004-04-01
USD0.02972004-03-01
USD0.02972004-02-02
USD0.02972004-01-05
20037.17%USD 0.369USD0.04192003-12-01
USD0.02972003-11-03
USD0.02972003-10-01
USD0.02972003-09-02
USD0.02972003-08-01
USD0.02972003-07-01
USD0.02972003-06-02
USD0.02972003-05-01
USD0.02972003-04-01
USD0.02972003-03-03
USD0.02972003-02-03
USD0.02972003-01-03
20027.71%USD 0.396USD0.02972002-12-02
USD0.02972002-11-01
USD0.03372002-10-01
USD0.03372002-09-03
USD0.03372002-08-01
USD0.03372002-07-01
USD0.03372002-06-03
USD0.03372002-05-01
USD0.03372002-04-01
USD0.03372002-03-01
USD0.03372002-02-01
USD0.03372002-01-03
20018.43%USD 0.433USD0.03522001-12-03
USD0.03522001-11-01
USD0.03522001-10-01
USD0.03642001-09-04
USD0.03642001-08-01
USD0.03642001-07-02
USD0.03642001-06-01
USD0.03642001-05-01
USD0.03642001-04-02
USD0.03642001-03-01
USD0.03642001-02-01
USD0.03642001-01-03
20008.35%USD 0.429USD0.03642000-12-01
USD0.03642000-11-01
USD0.03642000-10-02
USD0.03642000-09-01
USD0.03642000-08-01
USD0.03592000-07-03
USD0.03592000-06-01
USD0.03592000-05-01
USD0.03492000-04-03
USD0.03492000-03-01
USD0.03492000-02-01
USD0.0352000-01-04