TEMPLETON DEVELOPING MARKETS TRUST CLASS C(TDMTX) USD 17.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.13%USD 1.056USD0.20962022-12-20
USD0.10872022-12-15
USD0.73812022-10-03
20217.28%USD 1.256USD1.23092021-12-17
USD0.02492021-10-01
20202.45%USD 0.422USD0.32382020-12-18
USD0.09822020-10-02
20194.69%USD 0.809USD0.80512019-12-20
USD0.00352019-10-04
20170.30%USD 0.052USD0.04562017-12-22
USD0.00682017-09-01
20160.48%USD 0.083USD0.07982016-12-22
USD0.00292016-09-02
20150.17%USD 0.029USD0.02862015-09-04
201421.97%USD 3.787USD3.42752014-12-23
USD0.35942014-09-05
20131.59%USD 0.275USD0.24052013-12-23
USD0.03422013-09-06
20121.20%USD 0.207USD0.19872012-12-24
USD0.00872012-09-07
20110.61%USD 0.106USD0.08032011-12-23
USD0.02562011-09-02
20101.06%USD 0.183USD0.06972010-12-27
USD0.11292010-09-01
20091.32%USD 0.228USD0.19752009-12-15
USD0.03042009-09-01
20087.56%USD 1.303USD0.5672008-12-17
USD0.73582008-09-02
200730.46%USD 5.251USD4.64662007-12-17
USD0.60452007-03-02
20062.02%USD 0.348USD0.19352006-12-15
USD0.15412006-03-03
20050.97%USD 0.168USD0.01492005-12-16
USD0.15312005-03-04
20040.89%USD 0.154USD0.01732004-12-10
USD0.13672004-03-05
20030.66%USD 0.113USD0.072003-12-12
USD0.0432003-03-07
20020.29%USD 0.05USD0.04972002-03-08
20010.01%USD 0.001USD0.00142001-12-07