FRANKLIN REAL ESTATE SECURITIES FUND CLASS C(FRRSX) USD 16.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.45%USD 0.556USD0.09082022-12-20
USD0.41062022-12-15
USD0.05492022-09-20
20217.36%USD 1.187USD1.18712021-12-15
20208.44%USD 1.363USD1.32922020-12-15
USD0.03332020-09-15
USD0.00022020-06-15
201921.05%USD 3.397USD3.37792019-12-16
USD0.01032019-09-16
USD0.00892019-06-17
20185.59%USD 0.902USD0.87162018-12-17
USD0.032018-09-17
201713.78%USD 2.224USD2.1882017-12-15
USD0.03272017-09-15
USD0.00312017-06-15
20165.02%USD 0.811USD0.54712016-12-15
USD0.02272016-09-15
USD0.18452016-06-15
USD0.05662016-03-15
20151.08%USD 0.175USD0.06682015-12-15
USD0.02092015-09-15
USD0.06292015-06-15
USD0.02442015-03-16
20140.85%USD 0.138USD0.04452014-12-15
USD0.01512014-09-15
USD0.072014-06-16
USD0.00812014-03-17
20130.84%USD 0.136USD0.03122013-12-16
USD0.02092013-09-16
USD0.05412013-06-17
USD0.02962013-03-15
20120.13%USD 0.021USD0.01332012-12-17
USD0.00792012-09-17
20110.07%USD 0.012USD0.01152011-09-15
20100.21%USD 0.034USD0.0272010-09-15
USD0.0072010-06-15
20090.84%USD 0.136USD0.06732009-12-15
USD0.05542009-09-15
USD0.01282009-06-15
20087.82%USD 1.262USD0.99782008-12-15
USD0.11212008-09-15
USD0.09782008-06-16
USD0.05422008-03-17
20079.49%USD 1.532USD1.33552007-12-17
USD0.11152007-09-17
USD0.08122007-06-15
USD0.00342007-03-15
200628.57%USD 4.61USD4.47652006-12-15
USD0.02642006-09-15
USD0.10752006-06-15
200524.26%USD 3.916USD3.73562005-12-15
USD0.09722005-09-15
USD0.06922005-06-15
USD0.01352005-03-11
200411.18%USD 1.805USD1.61012004-12-15
USD0.06412004-09-15
USD0.13032004-06-15
20033.11%USD 0.502USD0.24362003-12-15
USD0.12482003-09-15
USD0.13342003-06-16
20023.42%USD 0.553USD0.22982002-12-13
USD0.14092002-09-16
USD0.16462002-06-14
USD0.01722002-03-15
20012.99%USD 0.483USD0.21672001-12-14
USD0.14472001-09-17
USD0.12182001-06-15
20003.79%USD 0.612USD0.2172000-12-15
USD0.1742000-09-15
USD0.1672000-06-15
USD0.0542000-03-15