FRANKLIN CONSERVATIVE ALLOCATION FUND CLASS A(FTCIX) USD 12.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.59%USD 0.454USD0.07242022-12-29
USD0.06162022-09-30
USD0.06112022-06-30
USD0.23862022-06-15
USD0.01992022-03-31
202110.12%USD 1.278USD1.09432021-12-30
USD0.05052021-09-28
USD0.11562021-06-28
USD0.01722021-03-29
202015.72%USD 1.983USD0.0972020-12-30
USD1.57872020-12-01
USD0.04522020-09-28
USD0.22032020-06-26
USD0.04222020-03-27
20197.97%USD 1.006USD0.78872019-12-30
USD0.06962019-09-26
USD0.09122019-06-26
USD0.05652019-03-27
20188.15%USD 1.028USD0.74352018-12-28
USD0.0642018-09-26
USD0.18522018-06-27
USD0.03532018-03-27
20172.60%USD 0.329USD0.19662017-12-28
USD0.05092017-09-27
USD0.05422017-06-28
USD0.0272017-03-29
20161.91%USD 0.241USD0.03722016-12-29
USD0.04332016-09-28
USD0.12962016-06-28
USD0.03112016-03-29
20156.42%USD 0.81USD0.39852015-12-30
USD0.04382015-09-28
USD0.33522015-06-26
USD0.03262015-03-27
20144.84%USD 0.611USD0.33142014-12-30
USD0.0452014-09-26
USD0.19152014-06-26
USD0.04282014-03-27
20136.68%USD 0.843USD0.50612013-12-30
USD0.05122013-09-26
USD0.24492013-06-26
USD0.04032013-03-26
20122.61%USD 0.33USD0.19722012-12-28
USD0.03812012-09-26
USD0.04162012-06-27
USD0.05282012-03-28
20112.48%USD 0.313USD0.14352011-12-28
USD0.05482011-09-28
USD0.04182011-06-28
USD0.0732011-03-29
20101.93%USD 0.243USD0.11462010-12-29
USD0.05392010-09-28
USD0.03772010-06-28
USD0.03722010-03-29
20092.54%USD 0.321USD0.09112009-12-29
USD0.06162009-09-28
USD0.11632009-06-30
USD0.05152009-03-31
20084.94%USD 0.624USD0.18552008-12-29
USD0.06392008-09-30
USD0.3232008-06-30
USD0.05142008-03-31
20076.47%USD 0.816USD0.35622007-12-28
USD0.08842007-09-17
USD0.31852007-06-08
USD0.05282007-03-12
20065.24%USD 0.661USD0.34712006-12-28
USD0.08942006-09-15
USD0.17612006-06-15
USD0.04842006-03-13
20052.55%USD 0.322USD0.16662005-12-29
USD0.06292005-09-15
USD0.0512005-06-15
USD0.0412005-03-14
20041.66%USD 0.21USD0.09222004-12-23
USD0.05212004-09-15
USD0.03912004-06-15
USD0.02642004-03-15
20031.67%USD 0.21USD0.10592003-12-23
USD0.04552003-09-15
USD0.03272003-06-16
USD0.02632003-03-17
20022.07%USD 0.261USD0.11232002-12-23
USD0.06322002-09-16
USD0.05162002-06-17
USD0.03362002-03-15
20013.79%USD 0.478USD0.23952001-12-21
USD0.10242001-09-17
USD0.07922001-06-15
USD0.05682001-03-15
20004.83%USD 0.609USD0.2852000-12-22
USD0.142000-09-15
USD0.1032000-06-15
USD0.0812000-03-15