FRANKLIN CONVERTIBLE SECURITIES FUND CLASS C(FROTX) USD 19.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.04%USD 0.008USD0.00762023-03-20
20227.84%USD 1.53USD1.52992022-12-15
202127.79%USD 5.422USD5.36172021-12-15
USD0.06012021-03-15
202015.43%USD 3.011USD2.9252020-12-15
USD0.00412020-09-15
USD0.02542020-06-15
USD0.05662020-03-16
20198.70%USD 1.697USD1.62952019-12-16
USD0.02332019-09-16
USD0.02512019-06-17
USD0.01892019-03-15
20186.08%USD 1.187USD0.96512018-12-17
USD0.0812018-09-17
USD0.08022018-06-15
USD0.06062018-03-15
20176.92%USD 1.35USD1.16272017-12-15
USD0.05972017-09-15
USD0.07342017-06-15
USD0.05372017-03-15
20163.54%USD 0.691USD0.47842016-12-15
USD0.10052016-09-15
USD0.04142016-06-15
USD0.07042016-03-15
20153.46%USD 0.676USD0.51932015-12-15
USD0.10452015-09-15
USD0.0392015-06-15
USD0.01312015-03-16
20144.51%USD 0.88USD0.77562014-12-15
USD0.03072014-09-15
USD0.04592014-06-16
USD0.02812014-03-17
20131.91%USD 0.373USD0.17272013-12-16
USD0.07312013-09-16
USD0.07592013-06-17
USD0.05112013-03-15
20122.33%USD 0.454USD0.15682012-12-17
USD0.10782012-09-17
USD0.12122012-06-15
USD0.06822012-03-15
20111.95%USD 0.381USD0.10962011-12-15
USD0.09352011-09-15
USD0.12242011-06-15
USD0.05512011-03-15
20102.15%USD 0.42USD0.01732010-12-30
USD0.1352010-12-15
USD0.03592010-09-15
USD0.12892010-06-15
USD0.0122010-04-30
USD0.09122010-03-15
20092.60%USD 0.507USD0.16522009-12-15
USD0.14182009-09-15
USD0.11442009-06-15
USD0.08572009-03-16
20083.31%USD 0.645USD0.17072008-12-15
USD0.40622008-09-15
USD0.05162008-06-13
USD0.01642008-03-17
20075.37%USD 1.048USD0.74022007-12-17
USD0.10092007-09-17
USD0.13022007-06-08
USD0.07622007-03-12
20068.48%USD 1.654USD1.35372006-12-15
USD0.1112006-09-15
USD0.10832006-06-15
USD0.08142006-03-13
20055.64%USD 1.101USD0.80182005-12-15
USD0.10692005-09-15
USD0.12382005-06-15
USD0.06872005-03-14
20043.12%USD 0.608USD0.19122004-12-15
USD0.14382004-09-15
USD0.1632004-06-15
USD0.10982004-03-15
20032.42%USD 0.473USD0.1482003-12-15
USD0.13082003-09-15
USD0.11512003-06-16
USD0.07912003-03-17
20023.26%USD 0.635USD0.10072002-12-13
USD0.04772002-10-15
USD0.05412002-09-16
USD0.05412002-08-15
USD0.05412002-07-15
USD0.05412002-06-17
USD0.05362002-05-15
USD0.05362002-04-15
USD0.05362002-03-15
USD0.05482002-02-15
USD0.05482002-01-15
20013.29%USD 0.642USD0.05482001-12-14
USD0.05422001-11-15
USD0.05422001-10-15
USD0.05422001-09-17
USD0.05412001-08-15
USD0.05412001-07-16
USD0.05412001-06-15
USD0.05272001-05-15
USD0.05272001-04-16
USD0.05272001-03-15
USD0.05222001-02-15
USD0.05222001-01-16
20006.69%USD 1.306USD0.80682000-12-15
USD0.05342000-11-15
USD0.05342000-10-16
USD0.05342000-09-15
USD0.05392000-08-15
USD0.04152000-07-17
USD0.04152000-06-15
USD0.042000-05-15
USD0.042000-04-17
USD0.042000-03-15
USD0.04112000-02-15
USD0.0412000-01-18