FRANKLIN COREFOLIO ALLOCATION FUND CLASS C(FTCLX) USD 18.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.71%USD 1.449USD0.00262022-06-30
USD1.4462022-06-15
20217.90%USD 1.485USD0.15662021-12-30
USD1.32852021-06-28
20207.49%USD 1.407USD0.54162020-12-30
USD0.86562020-06-26
20197.98%USD 1.5USD0.46092019-12-30
USD1.03952019-06-26
20184.69%USD 0.881USD0.2582018-12-28
USD0.62312018-06-27
20173.36%USD 0.631USD0.27012017-12-28
USD0.36132017-06-28
20164.37%USD 0.821USD0.19362016-12-29
USD0.62752016-06-28
20154.77%USD 0.896USD0.35842015-12-30
USD0.53792015-06-26
20143.32%USD 0.624USD0.37962014-12-30
USD0.24462014-06-26
20130.28%USD 0.053USD0.03082013-12-30
USD0.02252013-06-26
20120.15%USD 0.027USD0.02742012-06-27
20110.16%USD 0.031USD0.03082011-06-28
20100.26%USD 0.049USD0.02682010-12-29
USD0.02172010-06-18
20090.39%USD 0.073USD0.03752009-12-29
USD0.03542009-06-30
20081.78%USD 0.336USD0.03042008-12-29
USD0.30512008-03-17
20072.64%USD 0.497USD0.25662007-12-28
USD0.24022007-03-15
20062.44%USD 0.459USD0.26822006-12-28
USD0.19052006-03-16
20051.18%USD 0.222USD0.11942005-12-29
USD0.10232005-03-16
20040.46%USD 0.086USD0.08642004-12-23