TEMPLETON DEVELOPING MARKETS TRUST CLASS A(TEDMX) USD 17.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.86%USD 1.211USD0.36392022-12-20
USD0.10872022-12-15
USD0.73812022-10-03
20218.59%USD 1.516USD1.49072021-12-17
USD0.02492021-10-01
20203.46%USD 0.611USD0.51252020-12-18
USD0.09822020-10-02
20195.65%USD 0.996USD0.99272019-12-20
USD0.00352019-10-04
20181.39%USD 0.246USD0.24552018-12-21
20171.12%USD 0.197USD0.192017-12-22
USD0.00682017-09-01
20161.08%USD 0.19USD0.18722016-12-22
USD0.00292016-09-02
20150.79%USD 0.139USD0.11022015-12-23
USD0.02862015-09-04
201422.38%USD 3.948USD3.58812014-12-23
USD0.35942014-09-05
20132.51%USD 0.442USD0.40812013-12-23
USD0.03422013-09-06
20122.14%USD 0.377USD0.36862012-12-24
USD0.00872012-09-07
20111.57%USD 0.278USD0.25192011-12-23
USD0.02562011-09-02
20101.90%USD 0.336USD0.22292010-12-27
USD0.11312010-09-01
20091.98%USD 0.348USD0.31742009-12-15
USD0.0312009-09-01
20088.44%USD 1.488USD0.75322008-12-17
USD0.73482008-09-02
200730.98%USD 5.465USD4.85992007-12-17
USD0.60492007-03-02
20069.67%USD 1.706USD1.55122006-12-15
USD0.15432006-03-03
20051.64%USD 0.289USD0.13622005-12-16
USD0.15312005-03-04
20041.45%USD 0.256USD0.11862004-12-10
USD0.13722004-03-05
20031.42%USD 0.251USD0.13882003-12-12
USD0.11232003-03-07
20020.28%USD 0.05USD0.04982002-03-08
20010.58%USD 0.103USD0.07372001-12-07
USD0.02892001-03-02
20000.36%USD 0.063USD0.012000-12-08
USD0.05312000-03-03