FRANKLIN MUTUAL GLOBAL DISCOVERY FUND CLASS C(TEDSX) USD 28.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.59%USD 2.467USD0.23552022-12-20
USD1.29982022-12-15
USD0.93212022-10-03
20218.11%USD 2.329USD2.06412021-12-17
USD0.26532021-10-01
20202.35%USD 0.675USD0.47142020-12-18
USD0.20322020-10-02
20196.57%USD 1.888USD1.19842019-12-20
USD0.68922019-10-04
20185.13%USD 1.474USD1.44422018-12-21
USD0.032018-10-05
20174.94%USD 1.418USD0.89642017-12-22
USD0.52162017-09-01
20165.77%USD 1.657USD1.17452016-12-22
USD0.48282016-09-02
20158.63%USD 2.479USD2.07912015-12-18
USD0.39982015-09-04
20148.09%USD 2.323USD0.4572014-12-22
USD1.66872014-12-19
USD0.19722014-09-05
20136.65%USD 1.909USD1.73332013-12-20
USD0.17542013-09-06
20127.97%USD 2.288USD1.82982012-12-20
USD0.45772012-09-07
20113.21%USD 0.92USD0.2492011-12-16
USD0.67132011-09-02
20101.01%USD 0.289USD0.28192010-12-17
USD0.00732010-09-03
20090.27%USD 0.076USD0.06852009-12-18
USD0.00782009-09-04
20083.54%USD 1.017USD0.85952008-12-19
USD0.15752008-09-05
20073.99%USD 1.146USD1.12132007-12-21
USD0.02422007-06-15
20065.59%USD 1.604USD1.11082006-12-22
USD0.49292006-06-16
20050.76%USD 0.217USD0.0572005-12-23
USD0.16042005-06-17
20041.32%USD 0.379USD0.00992004-12-23
USD0.22132004-12-17
USD0.0412004-08-27
USD0.10722004-06-18
20030.92%USD 0.263USD0.16652003-12-19
USD0.09652003-06-13
20020.78%USD 0.225USD0.1152002-12-20
USD0.10962002-06-14
20012.73%USD 0.784USD0.52792001-12-14
USD0.25572001-06-22
200015.50%USD 4.451USD3.01392000-12-15
USD1.43732000-06-23