FRANKLIN MUTUAL EUROPEAN FUND CLASS A(TEMIX) USD 21.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.93%USD 0.645USD0.48322022-12-20
USD0.16162022-10-03
20213.27%USD 0.718USD0.51382021-12-17
USD0.20392021-10-01
20201.79%USD 0.393USD0.25972020-12-18
USD0.13362020-10-02
20192.36%USD 0.519USD0.50652019-12-20
USD0.01212019-10-04
20183.09%USD 0.679USD0.48362018-12-21
USD0.1952018-10-05
20171.00%USD 0.22USD0.15072017-12-22
USD0.06972017-09-01
20163.07%USD 0.675USD0.3892016-12-22
USD0.28572016-09-02
20156.71%USD 1.476USD0.95912015-12-18
USD0.51652015-09-04
201415.48%USD 3.402USD0.5772014-12-22
USD2.80162014-12-19
USD0.02312014-09-05
20138.69%USD 1.91USD1.88172013-12-20
USD0.02782013-09-06
20124.99%USD 1.096USD0.82522012-12-20
USD0.27092012-09-07
20113.21%USD 0.706USD0.29082011-12-16
USD0.41552011-09-02
20102.84%USD 0.624USD0.33782010-12-17
USD0.25742010-09-03
USD0.0292010-04-30
20093.01%USD 0.661USD0.15842009-12-18
USD0.50242009-09-04
20082.91%USD 0.64USD0.64042008-09-05
200710.88%USD 2.391USD2.36192007-12-21
USD0.02912007-06-15
200610.68%USD 2.348USD1.96232006-12-22
USD0.38612006-06-16
20052.22%USD 0.488USD0.3932005-12-23
USD0.09532005-06-17
20042.57%USD 0.565USD0.00732004-12-23
USD0.42352004-12-17
USD0.13412004-06-18
20031.71%USD 0.377USD0.29042003-12-19
USD0.08642003-06-13
20021.41%USD 0.309USD0.18062002-12-20
USD0.12852002-06-14
20011.42%USD 0.311USD0.26442001-12-14
USD0.04692001-06-22
200016.53%USD 3.634USD2.69782000-12-15
USD0.93582000-06-23