FRANKLIN MODERATE ALLOCATION FUND CLASS C(FTMTX) USD 13.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.59%USD 0.468USD0.03412022-12-29
USD0.02512022-09-30
USD0.02842022-06-30
USD0.38012022-06-15
202114.97%USD 1.949USD1.71392021-12-30
USD0.22832021-06-28
USD0.00632021-03-29
20204.54%USD 0.591USD0.20182020-12-30
USD0.01132020-09-28
USD0.36982020-06-26
USD0.00762020-03-27
20199.96%USD 1.297USD1.17472019-12-30
USD0.02252019-09-26
USD0.08332019-06-26
USD0.01662019-03-27
20188.90%USD 1.158USD0.9662018-12-28
USD0.0132018-09-26
USD0.17662018-06-27
USD0.00272018-03-27
20176.43%USD 0.837USD0.62192017-12-28
USD0.13782017-06-28
USD0.07752017-03-29
20161.68%USD 0.218USD0.00282016-12-29
USD0.21092016-06-28
USD0.00462016-03-29
20156.41%USD 0.834USD0.38992015-12-30
USD0.00012015-09-28
USD0.43762015-06-26
USD0.00662015-03-27
20144.67%USD 0.608USD0.37922014-12-30
USD0.00312014-09-26
USD0.22212014-06-26
USD0.00332014-03-27
20135.72%USD 0.744USD0.46472013-12-30
USD0.00952013-09-26
USD0.2642013-06-26
USD0.00622013-03-26
20121.98%USD 0.257USD0.19792012-12-28
USD0.01272012-09-26
USD0.01362012-06-27
USD0.03312012-03-28
20111.68%USD 0.219USD0.12462011-12-28
USD0.03192011-09-28
USD0.01242011-06-28
USD0.04982011-03-29
20101.26%USD 0.165USD0.11142010-12-29
USD0.03162010-09-28
USD0.012010-06-28
USD0.01162010-03-29
20091.99%USD 0.259USD0.07792009-12-29
USD0.04642009-09-28
USD0.10522009-06-30
USD0.02952009-03-31
20084.84%USD 0.63USD0.16192008-12-29
USD0.03072008-09-30
USD0.40842008-06-30
USD0.02942008-03-31
20076.71%USD 0.874USD0.42822007-12-28
USD0.04392007-09-17
USD0.3732007-06-08
USD0.02852007-03-12
20063.87%USD 0.504USD0.34362006-12-28
USD0.0482006-09-15
USD0.09652006-06-15
USD0.01562006-03-13
20051.64%USD 0.214USD0.14912005-12-29
USD0.02622005-09-15
USD0.01462005-06-15
USD0.02422005-03-14
20040.68%USD 0.088USD0.0542004-12-23
USD0.02162004-09-15
USD0.0082004-06-15
USD0.00462004-03-15
20030.81%USD 0.106USD0.0792003-12-23
USD0.01652003-09-15
USD0.0052003-06-16
USD0.00562003-03-17
20021.16%USD 0.151USD0.0812002-12-23
USD0.02842002-09-16
USD0.02492002-06-17
USD0.01632002-03-15
20012.86%USD 0.373USD0.24562001-12-21
USD0.0562001-09-17
USD0.0392001-06-15
USD0.0322001-03-15
20003.41%USD 0.444USD0.2642000-12-22
USD0.0862000-09-15
USD0.0492000-06-15
USD0.0452000-03-15