FRANKLIN NEW YORK TAX-FREE INCOME FUND CLASS C(FNYIX) USD 9.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.038USD0.018462023-02-28
USD0.019412023-01-31
20222.22%USD 0.219USD0.021532022-12-30
USD0.019592022-11-30
USD0.01892022-10-31
USD0.019972022-09-30
USD0.018692022-08-31
USD0.018832022-07-29
USD0.017862022-06-30
USD0.018062022-05-31
USD0.017552022-04-29
USD0.018312022-03-31
USD0.013232022-02-28
USD0.016722022-01-31
20212.16%USD 0.213USD0.019712021-12-31
USD0.016482021-11-30
USD0.016462021-10-29
USD0.016752021-09-30
USD0.017932021-08-31
USD0.017272021-07-30
USD0.019572021-06-30
USD0.0162021-05-28
USD0.017842021-04-30
USD0.020332021-03-31
USD0.016842021-02-26
USD0.018162021-01-29
20202.42%USD 0.239USD0.019252020-12-31
USD0.019712020-11-30
USD0.019362020-10-30
USD0.019772020-09-30
USD0.021022020-08-31
USD0.020442020-07-31
USD0.021262020-06-30
USD0.019812020-05-29
USD0.019932020-04-30
USD0.021042020-03-31
USD0.017582020-02-28
USD0.019952020-01-31
20192.73%USD 0.27USD0.020652019-12-31
USD0.018712019-11-29
USD0.020132019-10-31
USD0.021372019-09-30
USD0.020542019-08-30
USD0.022582019-07-31
USD0.019972019-07-01
USD0.0232019-05-31
USD0.00982019-04-26
USD0.02332019-04-01
USD0.02332019-03-01
USD0.02342019-02-01
USD0.02342019-01-03
20183.06%USD 0.303USD0.02492018-12-03
USD0.02482018-11-01
USD0.02482018-10-01
USD0.02482018-09-04
USD0.02482018-08-01
USD0.02582018-07-02
USD0.02582018-06-01
USD0.02572018-05-01
USD0.02572018-04-02
USD0.02572018-03-01
USD0.02512018-02-01
USD0.02512018-01-03
20173.21%USD 0.317USD0.02512017-12-01
USD0.02512017-11-01
USD0.02512017-10-02
USD0.02512017-09-01
USD0.02512017-08-01
USD0.02662017-07-03
USD0.02662017-06-01
USD0.02812017-05-01
USD0.02772017-04-03
USD0.02772017-03-01
USD0.02762017-02-01
USD0.02762017-01-04
20163.46%USD 0.342USD0.02762016-12-01
USD0.02752016-11-01
USD0.02752016-10-03
USD0.02752016-09-01
USD0.02752016-08-01
USD0.0292016-07-01
USD0.0292016-06-01
USD0.02912016-05-02
USD0.02912016-04-01
USD0.02912016-03-01
USD0.02952016-02-01
USD0.02952016-01-05
20153.52%USD 0.348USD0.02952015-12-01
USD0.02872015-11-02
USD0.02872015-10-01
USD0.02872015-09-01
USD0.02922015-08-03
USD0.02922015-07-01
USD0.02922015-06-01
USD0.02892015-05-01
USD0.02892015-04-01
USD0.02892015-03-02
USD0.0292015-02-02
USD0.0292015-01-05
20143.89%USD 0.385USD0.032014-12-01
USD0.02992014-11-03
USD0.03042014-10-01
USD0.03042014-09-02
USD0.03252014-08-01
USD0.03252014-07-01
USD0.03252014-06-02
USD0.03332014-05-01
USD0.03332014-04-01
USD0.03332014-03-03
USD0.03322014-02-03
USD0.03322014-01-03
20133.66%USD 0.362USD0.03322013-12-02
USD0.03332013-11-01
USD0.03332013-10-01
USD0.03212013-09-03
USD0.03052013-08-01
USD0.02852013-07-01
USD0.02852013-06-03
USD0.02822013-05-01
USD0.02822013-04-01
USD0.02822013-03-01
USD0.02882013-02-01
USD0.02882013-01-03
20123.94%USD 0.39USD0.02982012-12-03
USD0.03092012-11-01
USD0.03092012-10-01
USD0.03092012-09-04
USD0.03242012-08-01
USD0.03242012-07-02
USD0.03242012-06-01
USD0.03382012-05-01
USD0.03382012-04-02
USD0.03382012-03-01
USD0.03442012-02-01
USD0.03442012-01-04
20114.26%USD 0.422USD0.03442011-12-01
USD0.03562011-11-01
USD0.03562011-10-03
USD0.03562011-09-01
USD0.03582011-08-01
USD0.03582011-07-01
USD0.03582011-06-01
USD0.03532011-05-02
USD0.03532011-04-01
USD0.03532011-03-01
USD0.03352011-02-01
USD0.03352011-01-04
20104.40%USD 0.435USD0.04842010-12-01
USD0.0352010-11-01
USD0.0352010-10-01
USD0.0352010-09-01
USD0.03512010-08-02
USD0.03512010-07-01
USD0.03512010-06-01
USD0.03492010-05-03
USD0.03492010-04-01
USD0.03542010-03-01
USD0.03552010-02-01
USD0.03552010-01-05
20094.61%USD 0.456USD0.04942009-12-01
USD0.03582009-11-02
USD0.03712009-10-01
USD0.03712009-09-01
USD0.03712009-08-03
USD0.03712009-07-01
USD0.03712009-06-01
USD0.03712009-05-01
USD0.03712009-04-01
USD0.03712009-03-02
USD0.03712009-02-02
USD0.03712009-01-05
20084.48%USD 0.443USD0.03712008-12-01
USD0.03692008-11-03
USD0.03692008-10-01
USD0.03692008-09-02
USD0.03712008-08-01
USD0.03712008-07-01
USD0.03712008-06-02
USD0.03682008-05-01
USD0.03682008-04-01
USD0.03682008-03-03
USD0.03682008-02-01
USD0.03682008-01-03
20074.69%USD 0.464USD0.05592007-12-03
USD0.0372007-11-01
USD0.0372007-10-01
USD0.0372007-09-04
USD0.03692007-08-01
USD0.03692007-07-02
USD0.03692007-06-01
USD0.03712007-05-01
USD0.03712007-04-02
USD0.03712007-03-01
USD0.03742007-02-01
USD0.03742007-01-04
20064.62%USD 0.457USD0.04262006-12-01
USD0.03752006-11-01
USD0.03752006-10-02
USD0.03752006-09-01
USD0.03782006-08-01
USD0.03782006-07-03
USD0.03782006-06-01
USD0.03752006-05-01
USD0.0382006-04-03
USD0.03752006-03-01
USD0.03752006-02-01
USD0.03752006-01-04
20054.62%USD 0.457USD0.03752005-12-01
USD0.03742005-11-01
USD0.03792005-10-03
USD0.03792005-09-01
USD0.0382005-08-01
USD0.0382005-07-01
USD0.0382005-06-01
USD0.03832005-05-02
USD0.03832005-04-01
USD0.03832005-03-01
USD0.03882005-02-01
USD0.03882005-01-04
20044.80%USD 0.474USD0.03882004-12-01
USD0.03952004-11-01
USD0.03952004-10-01
USD0.03952004-09-01
USD0.03972004-08-02
USD0.03972004-07-01
USD0.03972004-06-01
USD0.03972004-05-03
USD0.03972004-04-01
USD0.03972004-03-01
USD0.03942004-02-02
USD0.03942004-01-05
20034.94%USD 0.489USD0.03942003-12-01
USD0.04062003-11-03
USD0.04062003-10-01
USD0.04062003-09-02
USD0.04062003-08-01
USD0.04072003-07-01
USD0.04072003-06-02
USD0.04082003-05-01
USD0.04082003-04-01
USD0.04082003-03-03
USD0.04162003-02-03
USD0.04162003-01-03
20025.23%USD 0.517USD0.04162002-12-02
USD0.04152002-11-01
USD0.0432002-10-01
USD0.0432002-09-03
USD0.04332002-08-01
USD0.04332002-07-01
USD0.04332002-06-03
USD0.04372002-05-01
USD0.04372002-04-01
USD0.04372002-03-01
USD0.04362002-02-01
USD0.04362002-01-03
20015.52%USD 0.546USD0.04362001-12-03
USD0.04512001-11-01
USD0.04512001-10-01
USD0.04512001-09-04
USD0.04552001-08-01
USD0.04552001-07-02
USD0.04552001-06-01
USD0.04572001-05-01
USD0.04572001-04-02
USD0.04572001-03-01
USD0.04682001-02-01
USD0.04682001-01-03
20005.72%USD 0.566USD0.04682000-12-01
USD0.04722000-11-01
USD0.04722000-10-02
USD0.04722000-09-01
USD0.04722000-08-01
USD0.04722000-07-03
USD0.04722000-06-01
USD0.04722000-05-01
USD0.04722000-04-03
USD0.04722000-03-01
USD0.04722000-02-01
USD0.0472000-01-04