FRANKLIN CONSERVATIVE ALLOCATION FUND CLASS C(FTCCX) USD 12.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.91%USD 0.358USD0.04652022-12-29
USD0.0372022-09-30
USD0.03562022-06-30
USD0.23862022-06-15
20219.42%USD 1.16USD1.062021-12-30
USD0.01272021-09-28
USD0.08692021-06-28
20202.41%USD 0.297USD0.06612020-12-30
USD0.01672020-09-28
USD0.19492020-06-26
USD0.01952020-03-27
20197.28%USD 0.897USD0.75672019-12-30
USD0.04182019-09-26
USD0.06332019-06-26
USD0.03482019-03-27
20187.42%USD 0.913USD0.70712018-12-28
USD0.0362018-09-26
USD0.15692018-06-27
USD0.01292018-03-27
20171.77%USD 0.218USD0.16392017-12-28
USD0.02362017-09-27
USD0.00392017-06-28
USD0.0272017-03-29
20161.15%USD 0.142USD0.00772016-12-29
USD0.01792016-09-28
USD0.10452016-06-28
USD0.01152016-03-29
20155.80%USD 0.714USD0.36892015-12-30
USD0.01792015-09-28
USD0.31562015-06-26
USD0.01152015-03-27
20144.08%USD 0.503USD0.30272014-12-30
USD0.01752014-09-26
USD0.16462014-06-26
USD0.01792014-03-27
20135.99%USD 0.738USD0.47752013-12-30
USD0.02522013-09-26
USD0.21872013-06-26
USD0.01622013-03-26
20121.85%USD 0.228USD0.17012012-12-28
USD0.01262012-09-26
USD0.01652012-06-27
USD0.02882012-03-28
20111.74%USD 0.214USD0.1182011-12-28
USD0.02922011-09-28
USD0.01672011-06-28
USD0.04972011-03-29
20101.22%USD 0.151USD0.08972010-12-29
USD0.02952010-09-28
USD0.01512010-06-28
USD0.01642010-03-29
20091.95%USD 0.24USD0.06752009-12-29
USD0.04172009-09-28
USD0.09662009-06-30
USD0.03372009-03-31
20084.39%USD 0.54USD0.16632008-12-29
USD0.04172008-09-30
USD0.29462008-06-30
USD0.03732008-03-31
20075.86%USD 0.721USD0.32522007-12-28
USD0.06422007-09-17
USD0.29442007-06-08
USD0.03732007-03-12
20064.60%USD 0.567USD0.31452006-12-28
USD0.06622006-09-15
USD0.15212006-06-15
USD0.03372006-03-13
20051.87%USD 0.23USD0.13562005-12-29
USD0.04072005-09-15
USD0.0282005-06-15
USD0.0262005-03-14
20041.01%USD 0.124USD0.06292004-12-23
USD0.03062004-09-15
USD0.01722004-06-15
USD0.01352004-03-15
20031.06%USD 0.13USD0.07892003-12-23
USD0.02712003-09-15
USD0.01432003-06-16
USD0.00992003-03-17
20021.55%USD 0.191USD0.08972002-12-23
USD0.04692002-09-16
USD0.03312002-06-17
USD0.02142002-03-15
20013.21%USD 0.395USD0.21152001-12-21
USD0.08292001-09-17
USD0.05952001-06-15
USD0.04152001-03-15
20004.25%USD 0.523USD0.2552000-12-22
USD0.1182000-09-15
USD0.0812000-06-15
USD0.0692000-03-15