FRANKLIN FOUNDING FUNDS ALLOCATION FUND ADVISOR CLASS(FFAAX) USD 13.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.42%USD 0.592USD0.25862022-12-20
USD0.33382022-06-21
20211.01%USD 0.135USD0.13532021-06-28
20207.76%USD 1.039USD0.27752020-12-30
USD0.76152020-06-26
20193.52%USD 0.471USD0.27442019-12-30
USD0.19672019-06-26
20184.02%USD 0.539USD0.24912018-12-28
USD0.28942018-06-27
20173.48%USD 0.466USD0.18872017-12-28
USD0.27752017-06-28
20162.42%USD 0.324USD0.17312016-12-29
USD0.15132016-06-28
20152.93%USD 0.392USD0.26292015-12-30
USD0.12952015-06-26
20143.68%USD 0.493USD0.3812014-12-30
USD0.11152014-06-26
20133.09%USD 0.414USD0.24952013-12-30
USD0.16472013-06-26
20122.99%USD 0.4USD0.22732012-12-28
USD0.17312012-06-27
20113.08%USD 0.412USD0.23732011-12-28
USD0.17452011-06-28
20103.29%USD 0.44USD0.23732010-12-29
USD0.16962010-06-28
USD0.0332010-04-23
20093.14%USD 0.421USD0.20622009-12-29
USD0.21492009-06-30
20085.22%USD 0.698USD0.40652008-12-29
USD0.29182008-03-17
20077.12%USD 0.953USD0.71892007-12-28
USD0.23432007-03-15
20067.07%USD 0.946USD0.71772006-12-28
USD0.22842006-03-16
20053.46%USD 0.463USD0.46342005-12-29