TEMPLETON WORLD FUND CLASS A(TEMWX) USD 13.06
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.40%USD 0.182USD0.04662022-12-20
USD0.13562022-12-15
20211.76%USD 0.23USD0.23032021-12-17
20195.03%USD 0.656USD0.65632019-12-20
201819.90%USD 2.599USD2.59872018-12-21
20177.72%USD 1.008USD1.00762017-12-22
20167.76%USD 1.013USD1.01332016-12-22
20158.64%USD 1.129USD1.12892015-12-18
201416.25%USD 2.123USD0.5192014-12-22
USD1.60392014-12-19
20137.76%USD 1.013USD1.01332013-12-20
20125.13%USD 0.67USD0.67022012-12-20
20112.12%USD 0.277USD0.27742011-12-16
20101.85%USD 0.242USD0.23952010-12-17
USD0.00262010-05-07
20091.94%USD 0.254USD0.25372009-12-18
20084.86%USD 0.635USD0.63472008-12-19
200717.48%USD 2.283USD0.1342007-12-14
USD2.14892007-10-19
200614.86%USD 1.941USD0.38542006-12-15
USD1.55512006-10-20
200515.10%USD 1.972USD0.35462005-12-16
USD1.61742005-10-21
200412.05%USD 1.574USD0.18642004-12-10
USD1.38732004-10-22
20032.28%USD 0.298USD0.05852003-12-12
USD0.2392003-10-24
20021.25%USD 0.163USD0.04782002-12-13
USD0.11482002-10-18
20012.04%USD 0.266USD0.05392001-12-07
USD0.21232001-10-19
200010.88%USD 1.421USD0.3282000-12-08
USD1.0932000-10-20