FRANKLIN RISING DIVIDENDS FUND ADVISOR CLASS(FRDAX) USD 86.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.99%USD 4.312USD0.20212022-12-20
USD3.33522022-12-15
USD0.26442022-10-20
USD0.26482022-07-20
USD0.24582022-04-20
20215.21%USD 4.507USD3.8892021-12-01
USD0.20562021-10-01
USD0.20182021-07-01
USD0.21092021-04-01
20200.96%USD 0.83USD0.21742020-12-01
USD0.19552020-10-01
USD0.20682020-07-01
USD0.21062020-04-01
20192.61%USD 2.259USD1.62442019-12-02
USD0.21622019-10-01
USD0.21792019-07-01
USD0.20012019-04-01
20183.51%USD 3.033USD2.41672018-12-03
USD0.2312018-10-01
USD0.20182018-07-02
USD0.18352018-04-02
20172.57%USD 2.219USD1.64012017-12-01
USD0.18092017-10-02
USD0.20972017-07-03
USD0.18852017-04-03
20162.42%USD 2.093USD1.48082016-12-01
USD0.1932016-10-03
USD0.2022016-07-01
USD0.21722016-04-01
20153.08%USD 2.661USD2.17242015-12-01
USD0.19062015-09-01
USD0.20162015-06-01
USD0.09652015-03-02
20140.84%USD 0.723USD0.27372014-12-01
USD0.18462014-09-02
USD0.1742014-06-02
USD0.09062014-03-03
20130.60%USD 0.52USD0.52012013-12-02
20120.74%USD 0.639USD0.63892012-12-03
20110.56%USD 0.485USD0.48492011-12-01
20100.50%USD 0.435USD0.43472010-12-01
20090.21%USD 0.182USD0.18192009-12-01
20080.69%USD 0.594USD0.59432008-12-01
20071.40%USD 1.215USD1.21482007-12-03
20062.53%USD 2.188USD2.18792006-12-01