FRANKLIN LIFESMART RETIREMENT INCOME FUND CLASS C(FRTCX) USD 9.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.83%USD 0.082USD0.02722023-03-28
USD0.02722023-02-23
USD0.02722023-01-26
20224.76%USD 0.466USD0.0682022-12-27
USD0.02792022-11-25
USD0.02792022-10-26
USD0.02792022-09-27
USD0.02792022-08-26
USD0.02792022-07-26
USD0.02792022-06-27
USD0.09152022-06-15
USD0.02792022-05-25
USD0.02792022-04-26
USD0.02792022-03-28
USD0.02792022-02-23
USD0.02792022-01-26
20216.48%USD 0.635USD0.3252021-12-29
USD0.02822021-11-26
USD0.02822021-10-27
USD0.02822021-09-28
USD0.02822021-08-27
USD0.02822021-07-28
USD0.02822021-06-28
USD0.02822021-05-26
USD0.02822021-04-28
USD0.02822021-03-29
USD0.02822021-02-24
USD0.02822021-01-27
20203.60%USD 0.353USD0.02942020-12-29
USD0.02942020-11-25
USD0.02942020-10-28
USD0.02942020-09-28
USD0.02942020-08-27
USD0.02942020-07-29
USD0.02942020-06-26
USD0.02942020-05-27
USD0.02942020-04-28
USD0.02942020-03-27
USD0.02942020-02-26
USD0.02942020-01-29
20193.44%USD 0.337USD0.03662019-12-26
USD0.02732019-11-26
USD0.02732019-10-29
USD0.02732019-09-26
USD0.02732019-08-28
USD0.02732019-07-29
USD0.02732019-06-26
USD0.02732019-05-29
USD0.02732019-04-26
USD0.02732019-03-27
USD0.02732019-02-26
USD0.02732019-01-29
20183.57%USD 0.35USD0.02922018-12-26
USD0.02922018-11-28
USD0.02922018-10-29
USD0.0292018-09-26
USD0.02922018-08-29
USD0.02922018-07-27
USD0.02922018-06-27
USD0.02922018-05-29
USD0.02922018-04-26
USD0.02922018-03-27
USD0.02922018-02-26
USD0.02922018-01-29
20173.54%USD 0.347USD0.02892017-12-26
USD0.02892017-11-28
USD0.02892017-10-27
USD0.02892017-09-27
USD0.02892017-08-29
USD0.02892017-07-27
USD0.02892017-06-28
USD0.02892017-05-26
USD0.02892017-04-26
USD0.02892017-03-29
USD0.02892017-02-24
USD0.02892017-01-27
20163.08%USD 0.302USD0.02842016-12-27
USD0.02842016-11-28
USD0.02842016-10-27
USD0.02842016-09-28
USD0.02842016-08-29
USD0.02842016-07-27
USD0.08192016-06-28
USD0.02842016-05-26
USD0.02142016-03-29
20155.28%USD 0.518USD0.26092015-12-30
USD0.03412015-09-28
USD0.20032015-06-26
USD0.02252015-03-27
20149.21%USD 0.903USD0.67362014-12-30
USD0.03252014-09-26
USD0.16732014-06-26
USD0.02922014-03-27
20137.32%USD 0.717USD0.50982013-12-30
USD0.02792013-09-26
USD0.14472013-06-26
USD0.03452013-03-26
20121.74%USD 0.171USD0.1132012-12-28
USD0.01862012-09-26
USD0.01442012-06-27
USD0.02492012-03-28
20111.64%USD 0.161USD0.10472011-12-28
USD0.02932011-09-28
USD0.00922011-06-28
USD0.01762011-03-29
20101.14%USD 0.112USD0.11192010-12-29