FRANKLIN MUTUAL FINANCIAL SERVICES FUND CLASS A(TFSIX) USD 23.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.18%USD 0.505USD0.50522022-12-20
20211.36%USD 0.316USD0.27652021-12-17
USD0.03912021-10-01
20201.31%USD 0.304USD0.28832020-12-18
USD0.01542020-10-02
20191.63%USD 0.378USD0.35922019-12-20
USD0.01862019-10-04
20182.75%USD 0.637USD0.57762018-12-21
USD0.0592018-10-05
20171.85%USD 0.428USD0.37652017-12-22
USD0.05192017-09-01
20161.04%USD 0.241USD0.19312016-12-22
USD0.04782016-09-02
20151.08%USD 0.25USD0.1872015-12-18
USD0.06312015-09-04
20141.35%USD 0.313USD0.26822014-12-19
USD0.04522014-09-05
20130.56%USD 0.13USD0.10912013-12-20
USD0.02092013-09-06
20120.82%USD 0.19USD0.14992012-12-20
USD0.04032012-09-07
20111.03%USD 0.238USD0.23792011-12-16
20102.27%USD 0.527USD0.47972010-12-17
USD0.04692010-09-03
20091.32%USD 0.307USD0.30242009-12-18
USD0.00432009-09-04
20081.53%USD 0.355USD0.3082008-12-19
USD0.04732008-09-05
20078.36%USD 1.937USD1.4272007-12-21
USD0.51012007-06-15
200613.35%USD 3.092USD2.21742006-12-22
USD0.42362006-12-20
USD0.45132006-06-16
20054.05%USD 0.939USD0.3992005-12-23
USD0.53992005-06-17
200411.11%USD 2.575USD2.21362004-12-17
USD0.36162004-06-18
20030.77%USD 0.178USD0.15192003-12-19
USD0.0262003-06-13
20022.80%USD 0.649USD0.24772002-12-20
USD0.40172002-06-14
20012.10%USD 0.486USD0.14742001-12-14
USD0.33852001-06-22
20003.31%USD 0.768USD0.4792000-12-15
USD0.2892000-06-23