FRANKLIN LIFESMART 2025 RETIREMENT TARGET FUND CLASS A(FTRTX) USD 11.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.73%USD 0.431USD0.03252022-12-29
USD0.04922022-09-30
USD0.05332022-06-30
USD0.28812022-06-15
USD0.00792022-03-31
202114.42%USD 1.667USD1.37572021-12-30
USD0.04752021-09-28
USD0.23292021-06-28
USD0.01042021-03-29
20204.00%USD 0.463USD0.11742020-12-30
USD0.04472020-09-28
USD0.27582020-06-26
USD0.02462020-03-27
20194.03%USD 0.466USD0.21612019-12-30
USD0.05652019-09-26
USD0.15352019-06-26
USD0.04022019-03-27
20186.54%USD 0.756USD0.47812018-12-28
USD0.0592018-09-26
USD0.17682018-06-27
USD0.04222018-03-27
20171.99%USD 0.231USD0.09992017-12-28
USD0.0812017-09-27
USD0.04972017-03-29
20162.42%USD 0.28USD0.05122016-12-29
USD0.06932016-09-28
USD0.1462016-06-28
USD0.01362016-03-29
20155.85%USD 0.676USD0.40062015-12-30
USD0.06142015-09-28
USD0.20652015-06-26
USD0.00752015-03-27
20148.31%USD 0.96USD0.66762014-12-30
USD0.03142014-09-26
USD0.23222014-06-26
USD0.02892014-03-27
20134.92%USD 0.569USD0.42822013-12-30
USD0.10572013-06-26
USD0.03532013-03-26
20121.39%USD 0.161USD0.15062012-12-28
USD0.01022012-03-28
20111.49%USD 0.173USD0.10352011-12-28
USD0.0442011-09-28
USD0.0252011-03-29
20101.73%USD 0.201USD0.13442010-12-29
USD0.0482010-09-28
USD0.0152010-04-30
USD0.00312010-03-29
20092.00%USD 0.231USD0.0752009-12-29
USD0.05592009-09-28
USD0.10012009-06-30