FRANKLIN MUTUAL GLOBAL DISCOVERY FUND CLASS Z(MDISX) USD 29.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.50%USD 2.797USD0.56482022-12-20
USD1.29982022-12-15
USD0.93212022-10-03
20219.39%USD 2.762USD2.49712021-12-17
USD0.26532021-10-01
20203.42%USD 1.007USD0.80362020-12-18
USD0.20322020-10-02
20197.64%USD 2.248USD1.55832019-12-20
USD0.68922019-10-04
20186.85%USD 2.015USD1.98452018-12-21
USD0.032018-10-05
20175.97%USD 1.757USD1.23582017-12-22
USD0.52162017-09-01
20166.70%USD 1.971USD1.48822016-12-22
USD0.48282016-09-02
20159.50%USD 2.796USD2.39632015-12-18
USD0.39982015-09-04
201410.17%USD 2.992USD0.7922014-12-22
USD2.00312014-12-19
USD0.19722014-09-05
20137.52%USD 2.213USD2.03752013-12-20
USD0.17542013-09-06
20128.80%USD 2.589USD2.13112012-12-20
USD0.45772012-09-07
20114.14%USD 1.22USD0.54842011-12-16
USD0.67132011-09-02
20101.93%USD 0.569USD0.56162010-12-17
USD0.00732010-09-03
20091.05%USD 0.308USD0.30052009-12-18
USD0.00782009-09-04
20084.46%USD 1.313USD1.12922008-12-19
USD0.18352008-09-05
20074.92%USD 1.447USD1.39962007-12-21
USD0.04712007-06-15
20066.32%USD 1.86USD1.34722006-12-22
USD0.51262006-06-16
20051.58%USD 0.466USD0.2632005-12-23
USD0.17832005-06-17
USD0.0252005-04-22
20041.84%USD 0.543USD0.00992004-12-23
USD0.40862004-12-17
USD0.12432004-06-18
20031.47%USD 0.432USD0.32112003-12-19
USD0.11042003-06-13
20021.35%USD 0.397USD0.27222002-12-20
USD0.12452002-06-14
20013.30%USD 0.97USD0.6992001-12-14
USD0.27122001-06-22
200015.86%USD 4.668USD3.17472000-12-15
USD1.49292000-06-23