CLEARBRIDGE INTERNATIONAL VALUE FUND CLASS IS(LSIUX) USD 10.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.75%USD 0.709USD0.708942022-12-13
20212.77%USD 0.291USD0.291472021-12-06
20201.30%USD 0.136USD0.136212020-12-07
20193.24%USD 0.341USD0.340942019-12-06
20181.74%USD 0.183USD0.182812018-12-07
20171.89%USD 0.199USD0.199062017-12-07
20161.79%USD 0.189USD0.188612016-12-08
20151.98%USD 0.208USD0.208022015-12-10
20141.29%USD 0.136USD0.13612014-12-11
20131.45%USD 0.152USD0.152342013-12-12
20121.78%USD 0.187USD0.187312012-12-13
20111.27%USD 0.134USD0.133542011-12-28
20101.11%USD 0.116USD0.116252010-12-29
20091.30%USD 0.137USD0.137082009-12-29
20081.21%USD 0.127USD0.126932008-12-29