FRANKLIN CONSERVATIVE ALLOCATION FUND CLASS R(FTCRX) USD 12.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.38%USD 0.425USD0.06422022-12-29
USD0.05412022-09-30
USD0.05192022-06-30
USD0.23862022-06-15
USD0.0162022-03-31
20219.83%USD 1.235USD1.08162021-12-30
USD0.03882021-09-28
USD0.10582021-06-28
USD0.00872021-03-29
20202.93%USD 0.368USD0.08622020-12-30
USD0.03552020-09-28
USD0.21182020-06-26
USD0.03432020-03-27
20197.71%USD 0.969USD0.77742019-12-30
USD0.062019-09-26
USD0.08172019-06-26
USD0.04942019-03-27
20187.87%USD 0.988USD0.73212018-12-28
USD0.0532018-09-26
USD0.17572018-06-27
USD0.02752018-03-27
20172.31%USD 0.29USD0.18322017-12-28
USD0.04172017-09-27
USD0.03792017-06-28
USD0.0272017-03-29
20161.65%USD 0.207USD0.02732016-12-29
USD0.03472016-09-28
USD0.12082016-06-28
USD0.02452016-03-29
20156.22%USD 0.781USD0.3882015-12-30
USD0.03452015-09-28
USD0.33312015-06-26
USD0.02512015-03-27
20144.56%USD 0.573USD0.32142014-12-30
USD0.03542014-09-26
USD0.18232014-06-26
USD0.03412014-03-27
20136.41%USD 0.805USD0.49592013-12-30
USD0.04162013-09-26
USD0.23532013-06-26
USD0.03192013-03-26
20122.36%USD 0.296USD0.18782012-12-28
USD0.032012-09-26
USD0.03332012-06-27
USD0.04522012-03-28
20112.23%USD 0.281USD0.13562011-12-28
USD0.04652011-09-28
USD0.03342011-06-28
USD0.06522011-03-29
20101.96%USD 0.246USD0.1062010-12-29
USD0.04632010-09-28
USD0.03022010-06-28
USD0.0332010-04-30
USD0.03092010-03-29
20092.34%USD 0.294USD0.08312009-12-29
USD0.05522009-09-28
USD0.10982009-06-30
USD0.04592009-03-31
20084.73%USD 0.595USD0.17882008-12-29
USD0.05622008-09-30
USD0.31342008-06-30
USD0.04622008-03-31
20076.26%USD 0.787USD0.34862007-12-28
USD0.08072007-09-17
USD0.30922007-06-08
USD0.0482007-03-12
20064.99%USD 0.626USD0.33622006-12-28
USD0.08162006-09-15
USD0.1672006-06-15
USD0.04162006-03-13
20052.31%USD 0.29USD0.15562005-12-29
USD0.05492005-09-15
USD0.04352005-06-15
USD0.03612005-03-14
20041.45%USD 0.182USD0.08232004-12-23
USD0.04612004-09-15
USD0.03172004-06-15
USD0.02162004-03-15
20031.52%USD 0.19USD0.09752003-12-23
USD0.03872003-09-15
USD0.03012003-06-16
USD0.0242003-03-17
20021.71%USD 0.215USD0.10672002-12-23
USD0.06292002-09-16
USD0.04522002-06-17