FRANKLIN MODERATE ALLOCATION FUND ADVISOR CLASS(FMTZX) USD 13.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.29%USD 0.583USD0.06972022-12-29
USD0.05772022-09-30
USD0.0632022-06-30
USD0.38012022-06-15
USD0.01272022-03-31
202115.61%USD 2.122USD1.76322021-12-30
USD0.04952021-09-28
USD0.30282021-06-28
USD0.00632021-03-29
20205.45%USD 0.741USD0.24652020-12-30
USD0.05062020-09-28
USD0.40442020-06-26
USD0.03932020-03-27
201910.69%USD 1.453USD1.22042019-12-30
USD0.06252019-09-26
USD0.12272019-06-26
USD0.04722019-03-27
20189.78%USD 1.329USD1.01632018-12-28
USD0.1332018-09-26
USD0.17662018-06-27
USD0.00272018-03-27
20177.40%USD 1.006USD0.79042017-12-28
USD0.13782017-06-28
USD0.07752017-03-29
20162.73%USD 0.371USD0.15532016-12-29
USD0.21092016-06-28
USD0.00462016-03-29
20157.21%USD 0.98USD0.43222015-12-30
USD0.07372015-09-28
USD0.43762015-06-26
USD0.03682015-03-27
20145.61%USD 0.762USD0.42042014-12-30
USD0.0422014-09-26
USD0.2612014-06-26
USD0.03882014-03-27
20136.58%USD 0.894USD0.50572013-12-30
USD0.04652013-09-26
USD0.30172013-06-26
USD0.03992013-03-26
20122.92%USD 0.397USD0.23622012-12-28
USD0.04752012-09-26
USD0.04772012-06-27
USD0.06592012-03-28
20112.61%USD 0.355USD0.15922011-12-28
USD0.06652011-09-28
USD0.0472011-06-28
USD0.08182011-03-29
20102.14%USD 0.291USD0.14562010-12-29
USD0.06392010-09-28
USD0.04122010-06-28
USD0.03982010-03-29
20092.70%USD 0.367USD0.10892009-12-29
USD0.07322009-09-28
USD0.13112009-06-30
USD0.05352009-03-31
20081.83%USD 0.249USD0.18722008-12-29
USD0.06212008-09-30