FRANKLIN REAL ESTATE SECURITIES FUND CLASS A(FREEX) USD 17.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.03%USD 0.005USD0.00492023-03-20
20223.63%USD 0.633USD0.13092022-12-20
USD0.41062022-12-15
USD0.09122022-09-20
20217.33%USD 1.278USD1.23952021-12-15
USD0.03862021-09-15
20208.61%USD 1.5USD1.37412020-12-15
USD0.06692020-09-15
USD0.05942020-06-15
201920.13%USD 3.508USD3.43442019-12-16
USD0.05172019-09-16
USD0.02192019-06-17
20185.88%USD 1.025USD0.93812018-12-17
USD0.0822018-09-17
USD0.0052018-06-15
201713.41%USD 2.337USD2.24472017-12-15
USD0.07552017-09-15
USD0.0172017-06-15
20165.60%USD 0.976USD0.6032016-12-15
USD0.08032016-09-15
USD0.21162016-06-15
USD0.08152016-03-15
20151.93%USD 0.336USD0.11792015-12-15
USD0.07642015-09-15
USD0.09122015-06-15
USD0.05032015-03-16
20141.57%USD 0.273USD0.0912014-12-15
USD0.06162014-09-15
USD0.09182014-06-16
USD0.02882014-03-17
20131.50%USD 0.262USD0.07362013-12-16
USD0.06482013-09-16
USD0.07432013-06-17
USD0.04952013-03-15
20120.91%USD 0.158USD0.05272012-12-17
USD0.03712012-09-17
USD0.06842012-06-15
20110.47%USD 0.082USD0.03832011-09-15
USD0.04382011-06-15
20100.53%USD 0.092USD0.04912010-09-15
USD0.01462010-06-15
USD0.0282010-04-30
20091.13%USD 0.197USD0.09142009-12-15
USD0.07042009-09-15
USD0.03552009-06-15
20087.89%USD 1.375USD1.01832008-12-15
USD0.14292008-09-15
USD0.13152008-06-16
USD0.08222008-03-17
20079.83%USD 1.713USD1.37622007-12-17
USD0.15462007-09-17
USD0.12942007-06-15
USD0.0532007-03-15
200627.24%USD 4.748USD4.5292006-12-15
USD0.07772006-09-15
USD0.14152006-06-15
200523.54%USD 4.104USD3.78822005-12-15
USD0.15162005-09-15
USD0.10332005-06-15
USD0.06072005-03-11
200411.44%USD 1.993USD1.6532004-12-15
USD0.10622004-09-15
USD0.19582004-06-15
USD0.00442004-03-15
USD0.0342004-01-16
20033.61%USD 0.63USD0.29372003-12-15
USD0.15932003-09-15
USD0.17112003-06-16
USD0.00592003-03-17
20024.55%USD 0.794USD0.27482002-12-13
USD0.0372002-10-18
USD0.17242002-09-16
USD0.0382002-07-18
USD0.0382002-06-19
USD0.19712002-06-14
USD0.03662002-03-15
20013.56%USD 0.62USD0.2562001-12-14
USD0.17482001-09-17
USD0.17392001-06-15
USD0.01512001-03-15
20004.13%USD 0.719USD0.2542000-12-15
USD0.2022000-09-15
USD0.1932000-06-15
USD0.072000-03-15