TEMPLETON GLOBAL BALANCED FUND ADVISOR CLASS(TZINX) USD 2.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.71%USD 0.017USD0.01732023-03-20
20223.23%USD 0.079USD0.01752022-12-20
USD0.01682022-09-20
USD0.02762022-06-21
USD0.01662022-03-21
20212.72%USD 0.066USD0.01612021-12-15
USD0.01652021-09-15
USD0.01642021-06-15
USD0.01712021-03-15
20202.47%USD 0.06USD0.01212020-12-15
USD0.01392020-09-15
USD0.01112020-06-15
USD0.0232020-03-16
20195.21%USD 0.127USD0.02752019-12-16
USD0.02422019-09-16
USD0.04812019-06-17
USD0.02692019-03-15
20185.19%USD 0.126USD0.02592018-12-17
USD0.02992018-09-17
USD0.04352018-06-15
USD0.02672018-03-15
20173.70%USD 0.09USD0.02772017-12-15
USD0.02632017-09-15
USD0.02322017-06-15
USD0.01282017-03-15
20161.34%USD 0.033USD0.01432016-12-15
USD0.00232016-09-15
USD0.0162016-06-15
20158.28%USD 0.201USD0.11632015-12-15
USD0.03112015-09-15
USD0.03172015-06-15
USD0.02222015-03-13
20147.23%USD 0.176USD0.1132014-12-15
USD0.02392014-09-15
USD0.02522014-06-13
USD0.01372014-03-14
20134.24%USD 0.103USD0.03232013-12-13
USD0.01012013-09-13
USD0.02672013-06-14
USD0.0342013-03-15
20125.90%USD 0.143USD0.042012-12-14
USD0.03252012-09-14
USD0.06092012-06-15
USD0.00992012-03-15
20115.38%USD 0.131USD0.05972011-12-15
USD0.02472011-09-15
USD0.02522011-06-15
USD0.02112011-03-15
20103.95%USD 0.096USD0.0332010-12-15
USD0.02322010-09-15
USD0.02452010-06-15
USD0.01522010-03-15
20092.99%USD 0.073USD0.01322009-12-15
USD0.0212009-09-15
USD0.01912009-06-15
USD0.01932009-03-02
200810.04%USD 0.244USD0.14792008-12-01
USD0.03292008-09-02
USD0.04442008-06-02
USD0.01882008-03-03
20073.29%USD 0.08USD0.082007-12-03