FRANKLIN RISING DIVIDENDS FUND CLASS C(FRDTX) USD 84.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.08%USD 3.448USD3.33522022-12-15
USD0.04882022-10-20
USD0.04682022-07-20
USD0.01762022-04-20
20214.44%USD 3.751USD3.74182021-12-01
USD0.00942021-04-01
20200.16%USD 0.134USD0.032020-12-01
USD0.00892020-10-01
USD0.05112020-07-01
USD0.0442020-04-01
20191.90%USD 1.608USD1.45742019-12-02
USD0.04192019-10-01
USD0.05752019-07-01
USD0.05122019-04-01
20182.85%USD 2.41USD2.25552018-12-03
USD0.0712018-10-01
USD0.05062018-07-02
USD0.03292018-04-02
20171.95%USD 1.65USD1.49162017-12-01
USD0.03552017-10-02
USD0.06822017-07-03
USD0.05452017-04-03
20161.89%USD 1.594USD1.35062016-12-01
USD0.05972016-10-03
USD0.07892016-07-01
USD0.10452016-04-01
20152.55%USD 2.154USD2.00732015-12-01
USD0.06172015-09-01
USD0.07172015-06-01
USD0.01342015-03-02
20140.28%USD 0.236USD0.10792014-12-01
USD0.05932014-09-02
USD0.05392014-06-02
USD0.01462014-03-03
20130.18%USD 0.149USD0.14892013-12-02
20120.36%USD 0.302USD0.3022012-12-03
20110.22%USD 0.187USD0.18672011-12-01
20100.14%USD 0.118USD0.11842010-12-01
20080.33%USD 0.277USD0.27652008-12-01
20070.99%USD 0.835USD0.83522007-12-03
20062.19%USD 1.853USD1.85262006-12-01
20050.34%USD 0.284USD0.03012005-12-28
USD0.2542005-12-01
20040.30%USD 0.253USD0.25332004-12-01
20030.13%USD 0.106USD0.052003-12-19
USD0.05562003-12-01
20020.12%USD 0.1USD0.09962002-12-02
20010.92%USD 0.778USD0.74672001-12-03
USD0.0122001-09-04
USD0.01892001-06-01
20000.09%USD 0.079USD0.03382000-12-01
USD0.01542000-09-01
USD0.02932000-03-01