FRANKLIN MUTUAL EUROPEAN FUND CLASS Z(MEURX) USD 22.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.06%USD 0.696USD0.53452022-12-20
USD0.16162022-10-03
20213.39%USD 0.771USD0.56692021-12-17
USD0.20392021-10-01
20202.03%USD 0.46USD0.32682020-12-18
USD0.13362020-10-02
20192.54%USD 0.577USD0.56492019-12-20
USD0.01212019-10-04
20183.20%USD 0.728USD0.53252018-12-21
USD0.1952018-10-05
20171.21%USD 0.275USD0.20512017-12-22
USD0.06972017-09-01
20163.22%USD 0.731USD0.4452016-12-22
USD0.28572016-09-02
20156.73%USD 1.53USD1.0132015-12-18
USD0.51652015-09-04
201415.60%USD 3.544USD0.6482014-12-22
USD2.87262014-12-19
USD0.02312014-09-05
20138.72%USD 1.98USD1.95252013-12-20
USD0.02782013-09-06
20125.09%USD 1.157USD0.88622012-12-20
USD0.27092012-09-07
20113.41%USD 0.774USD0.35862011-12-16
USD0.41552011-09-02
20102.90%USD 0.658USD0.4012010-12-17
USD0.25742010-09-03
20093.45%USD 0.784USD0.21122009-12-18
USD0.57262009-09-04
20082.85%USD 0.647USD0.64692008-09-05
200710.86%USD 2.467USD2.43222007-12-21
USD0.03482007-06-15
200610.62%USD 2.413USD2.02112006-12-22
USD0.39182006-06-16
20052.60%USD 0.59USD0.4522005-12-23
USD0.10092005-06-17
USD0.0372005-04-22
20042.75%USD 0.624USD0.00732004-12-23
USD0.47762004-12-17
USD0.13912004-06-18
20031.87%USD 0.425USD0.33512003-12-19
USD0.09022003-06-13
20021.56%USD 0.356USD0.22332002-12-20
USD0.13222002-06-14
20011.59%USD 0.362USD0.31082001-12-14
USD0.05082001-06-22
200016.27%USD 3.697USD2.74452000-12-15
USD0.95222000-06-23