FRANKLIN UTILITIES FUND CLASS R6(FUFRX) USD 21.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.61%USD 0.131USD0.13142023-03-20
20223.94%USD 0.852USD0.14632022-12-20
USD0.30872022-12-15
USD0.13292022-09-20
USD0.13262022-06-21
USD0.13172022-03-21
20215.27%USD 1.14USD0.74372021-12-01
USD0.13252021-09-01
USD0.13252021-06-01
USD0.13082021-03-01
20209.21%USD 1.992USD1.59562020-12-01
USD0.1322020-09-01
USD0.13092020-06-01
USD0.1332020-03-02
20194.25%USD 0.919USD0.52382019-12-02
USD0.13212019-09-03
USD0.13192019-06-03
USD0.13132019-03-01
20185.65%USD 1.222USD0.82872018-12-03
USD0.13152018-09-04
USD0.13092018-06-01
USD0.13052018-03-01
20173.85%USD 0.832USD0.44162017-12-01
USD0.13232017-09-01
USD0.13192017-06-01
USD0.12642017-03-01
20162.46%USD 0.531USD0.15322016-12-01
USD0.12642016-09-01
USD0.12542016-06-01
USD0.12632016-03-01
20154.58%USD 0.99USD0.61252015-12-01
USD0.12572015-09-01
USD0.12182015-06-01
USD0.12952015-03-02
20142.33%USD 0.504USD0.12692014-12-01
USD0.12542014-09-02
USD0.12612014-06-02
USD0.12512014-03-03
20131.46%USD 0.315USD0.19072013-12-02
USD0.12422013-09-03