FRANKLIN MUTUAL BEACON FUND CLASS C(TEMEX) USD 15.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.23%USD 1.251USD0.05932022-12-20
USD0.78492022-12-15
USD0.40692022-10-03
20216.59%USD 1.002USD0.892021-12-17
USD0.11212021-10-01
20202.45%USD 0.372USD0.25882020-12-18
USD0.11342020-10-02
20193.77%USD 0.573USD0.16672019-12-20
USD0.40672019-10-04
20187.06%USD 1.073USD1.05792018-12-21
USD0.0152018-10-05
20174.61%USD 0.701USD0.46962017-12-22
USD0.23152017-09-01
20167.54%USD 1.147USD0.97982016-12-22
USD0.16682016-09-02
20159.31%USD 1.416USD1.03822015-12-18
USD0.37742015-09-04
201410.81%USD 1.644USD0.3412014-12-22
USD1.13292014-12-19
USD0.16972014-09-05
20131.09%USD 0.166USD0.02662013-12-20
USD0.13892013-09-06
20120.67%USD 0.102USD0.00972012-12-20
USD0.09262012-09-07
20111.44%USD 0.219USD0.0682011-12-16
USD0.15092011-09-02
20101.67%USD 0.254USD0.16482010-12-17
USD0.08932010-09-03
20090.44%USD 0.066USD0.02082009-12-18
USD0.04562009-09-04
20082.88%USD 0.437USD0.43722008-09-05
20078.68%USD 1.32USD1.16592007-12-21
USD0.15372007-06-15
200612.00%USD 1.824USD1.39322006-12-22
USD0.43052006-06-16
20051.77%USD 0.269USD0.1162005-12-23
USD0.1532005-06-17
20042.61%USD 0.397USD0.00732004-12-23
USD0.28292004-12-17
USD0.0242004-08-27
USD0.08282004-06-18
20030.74%USD 0.112USD0.0272003-12-19
USD0.08492003-06-13
20021.27%USD 0.193USD0.062002-12-20
USD0.13262002-06-14
20016.59%USD 1.002USD0.70242001-12-14
USD0.29922001-06-22
200014.18%USD 2.156USD1.27742000-12-15
USD0.87822000-06-23