TEMPLETON GLOBAL BALANCED FUND CLASS C1(TCINX) USD 2.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.013USD0.01312023-03-20
20222.55%USD 0.062USD0.01352022-12-20
USD0.01292022-09-20
USD0.02342022-06-21
USD0.01222022-03-21
20211.79%USD 0.044USD0.01152021-12-15
USD0.00972021-09-15
USD0.01042021-06-15
USD0.01192021-03-15
20201.72%USD 0.042USD0.00742020-12-15
USD0.00922020-09-15
USD0.00712020-06-15
USD0.01812020-03-16
20194.36%USD 0.106USD0.0222019-12-16
USD0.01912019-09-16
USD0.04312019-06-17
USD0.02182019-03-15
20184.27%USD 0.104USD0.01942018-12-17
USD0.02472018-09-17
USD0.03642018-06-15
USD0.02322018-03-15
20172.83%USD 0.069USD0.02052017-12-15
USD0.0212017-09-15
USD0.01782017-06-15
USD0.00952017-03-15
20160.68%USD 0.017USD0.00792016-12-15
USD0.00862016-06-15
20157.45%USD 0.181USD0.10982015-12-15
USD0.02582015-09-15
USD0.02652015-06-15
USD0.0192015-03-13
20146.34%USD 0.154USD0.10592014-12-15
USD0.01822014-09-15
USD0.01972014-06-13
USD0.01032014-03-14
20133.41%USD 0.083USD0.02522013-12-13
USD0.0052013-09-13
USD0.02172013-06-14
USD0.03092013-03-15
20125.16%USD 0.125USD0.03382012-12-14
USD0.02812012-09-14
USD0.05632012-06-15
USD0.00712012-03-15
20114.62%USD 0.112USD0.05372011-12-15
USD0.022011-09-15
USD0.02052011-06-15
USD0.01812011-03-15
20103.22%USD 0.078USD0.0272010-12-15
USD0.01892010-09-15
USD0.022010-06-15
USD0.01242010-03-15
20092.39%USD 0.058USD0.00792009-12-15
USD0.01732009-09-15
USD0.01572009-06-15
USD0.01722009-03-02
20089.33%USD 0.227USD0.14292008-12-01
USD0.02852008-09-02
USD0.03972008-06-02
USD0.01572008-03-03
20076.74%USD 0.164USD0.07352007-12-03
USD0.02952007-09-04
USD0.05012007-06-01
USD0.01062007-03-01
20062.48%USD 0.06USD0.03042006-12-01
USD0.02982006-09-01