FRANKLIN BALANCE SHEET INVESTMENT FUND CLASS A(FRBSX) USD 31.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.42%USD 1.402USD0.32672022-12-20
USD1.07522022-12-15
202115.68%USD 4.973USD4.9732021-12-15
20203.74%USD 1.187USD1.18652020-12-15
20198.46%USD 2.682USD2.68212019-12-16
201815.70%USD 4.979USD4.97892018-12-17
20179.99%USD 3.169USD3.1692017-12-15
20167.86%USD 2.492USD2.49152016-12-15
201519.08%USD 6.052USD6.05172015-12-15
201424.46%USD 7.755USD7.75512014-12-15
201318.77%USD 5.951USD5.95072013-12-16
20128.88%USD 2.817USD2.81652012-12-17
201116.29%USD 5.167USD5.16712011-12-15
201014.86%USD 4.711USD4.71142010-12-15
20091.34%USD 0.425USD0.42542009-12-15
20085.51%USD 1.749USD1.74872008-12-15
200720.12%USD 6.38USD6.38012007-12-17
200616.28%USD 5.162USD5.16222006-12-15
20059.16%USD 2.905USD2.90522005-12-15
20044.34%USD 1.378USD1.33962004-12-15
USD0.0382004-01-16
20031.49%USD 0.474USD0.47372003-12-15
20022.12%USD 0.672USD0.49842002-12-13
USD0.042002-10-18
USD0.0412002-07-18
USD0.0412002-06-19
USD0.05152002-03-15
20015.87%USD 1.862USD1.27762001-12-14
USD0.4472001-09-17
USD0.07812001-06-15
USD0.0592001-03-15
20001.14%USD 0.361USD0.1492000-12-15
USD0.092000-09-15
USD0.0822000-06-15
USD0.042000-03-15