FRANKLIN MODERATE ALLOCATION FUND CLASS R(FTMRX) USD 13.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.83%USD 0.518USD0.0522022-12-29
USD0.04072022-09-30
USD0.04562022-06-30
USD0.38012022-06-15
202115.03%USD 2.035USD1.73762021-12-30
USD0.02742021-09-28
USD0.26332021-06-28
USD0.00632021-03-29
20204.90%USD 0.663USD0.22272020-12-30
USD0.03072020-09-28
USD0.38692020-06-26
USD0.02272020-03-27
201910.14%USD 1.373USD1.19662019-12-30
USD0.04232019-09-26
USD0.10262019-06-26
USD0.03172019-03-27
20189.15%USD 1.24USD0.99122018-12-28
USD0.0692018-09-26
USD0.17662018-06-27
USD0.00272018-03-27
20176.66%USD 0.902USD0.68662017-12-28
USD0.13782017-06-28
USD0.07752017-03-29
20162.13%USD 0.288USD0.07282016-12-29
USD0.21092016-06-28
USD0.00462016-03-29
20156.66%USD 0.902USD0.40932015-12-30
USD0.0342015-09-28
USD0.43762015-06-26
USD0.02112015-03-27
20145.04%USD 0.683USD0.39862014-12-30
USD0.02252014-09-26
USD0.24092014-06-26
USD0.02052014-03-27
20136.03%USD 0.816USD0.48442013-12-30
USD0.0272013-09-26
USD0.28212013-06-26
USD0.02252013-03-26
20122.41%USD 0.326USD0.21642012-12-28
USD0.02992012-09-26
USD0.03072012-06-27
USD0.04912012-03-28
20112.11%USD 0.285USD0.14172011-12-28
USD0.04912011-09-28
USD0.0292011-06-28
USD0.06552011-03-29
20101.68%USD 0.227USD0.12822010-12-29
USD0.04752010-09-28
USD0.02592010-06-28
USD0.02552010-03-29
20092.31%USD 0.312USD0.09332009-12-29
USD0.05992009-09-28
USD0.11762009-06-30
USD0.04132009-03-31
20085.10%USD 0.69USD0.17412008-12-29
USD0.04622008-09-30
USD0.42942008-06-30
USD0.04032008-03-31
20076.97%USD 0.944USD0.4522007-12-28
USD0.06122007-09-17
USD0.39092007-06-08
USD0.042007-03-12
20063.73%USD 0.505USD0.3672006-12-28
USD0.06412006-09-15
USD0.04572006-06-15
USD0.02792006-03-13
20052.00%USD 0.271USD0.16432005-12-29
USD0.04172005-09-15
USD0.03012005-06-15
USD0.03462005-03-14
20041.06%USD 0.144USD0.07382004-12-23
USD0.03572004-09-15
USD0.02092004-06-15
USD0.01372004-03-15
20031.18%USD 0.16USD0.09652003-12-23
USD0.02972003-09-15
USD0.01772003-06-16
USD0.01562003-03-17
20021.40%USD 0.189USD0.09362002-12-23
USD0.04972002-09-16
USD0.04562002-06-17