FRANKLIN CONSERVATIVE ALLOCATION FUND ADVISOR CLASS(FTCZX) USD 12.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.85%USD 0.486USD0.08122022-12-29
USD0.06952022-09-30
USD0.0692022-06-30
USD0.23862022-06-15
USD0.02772022-03-31
202110.43%USD 1.316USD1.10572021-12-30
USD0.062021-09-28
USD0.12532021-06-28
USD0.02512021-03-29
20203.48%USD 0.44USD0.10762020-12-30
USD0.05412020-09-28
USD0.22842020-06-26
USD0.04962020-03-27
20198.26%USD 1.042USD0.79932019-12-30
USD0.07872019-09-26
USD0.10052019-06-26
USD0.06372019-03-27
20188.44%USD 1.065USD0.75392018-12-28
USD0.0732018-09-26
USD0.19492018-06-27
USD0.0432018-03-27
20172.92%USD 0.369USD0.20812017-12-28
USD0.06062017-09-27
USD0.07292017-06-28
USD0.0272017-03-29
20162.14%USD 0.27USD0.04782016-12-29
USD0.04592016-09-28
USD0.13842016-06-28
USD0.03792016-03-29
20156.76%USD 0.854USD0.40862015-12-30
USD0.05272015-09-28
USD0.35262015-06-26
USD0.03972015-03-27
20145.13%USD 0.647USD0.3412014-12-30
USD0.05432014-09-26
USD0.20082014-06-26
USD0.05132014-03-27
20136.96%USD 0.879USD0.51612013-12-30
USD0.06022013-09-26
USD0.25392013-06-26
USD0.04862013-03-26
20122.89%USD 0.364USD0.20662012-12-28
USD0.04672012-09-26
USD0.052012-06-27
USD0.06092012-03-28
20112.75%USD 0.347USD0.15212011-12-28
USD0.06332011-09-28
USD0.05032011-06-28
USD0.0812011-03-29
20102.18%USD 0.275USD0.12322010-12-29
USD0.06212010-09-28
USD0.04552010-06-28
USD0.04442010-03-29
20090.79%USD 0.099USD0.09922009-12-29