FRANKLIN MUTUAL SHARES FUND CLASS R(TESRX) USD 23.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.07%USD 2.086USD0.24612022-12-20
USD1.10462022-12-15
USD0.73522022-10-03
202112.68%USD 2.917USD2.43132021-12-17
USD0.48532021-10-01
20203.57%USD 0.821USD0.3512020-12-18
USD0.46962020-10-02
20198.95%USD 2.06USD1.23762019-12-20
USD0.82192019-10-04
20187.00%USD 1.61USD1.58442018-12-21
USD0.0262018-10-05
20177.91%USD 1.82USD1.36052017-12-22
USD0.45932017-09-01
20167.58%USD 1.743USD1.30462016-12-22
USD0.43882016-09-02
20159.52%USD 2.19USD1.96092015-12-18
USD0.2292015-09-04
20143.58%USD 0.823USD0.61472014-12-19
USD0.20812014-09-05
20131.28%USD 0.294USD0.18322013-12-20
USD0.11092013-09-06
20121.61%USD 0.37USD0.22052012-12-20
USD0.14942012-09-07
20111.72%USD 0.395USD0.2232011-12-16
USD0.1722011-09-02
20102.33%USD 0.537USD0.35432010-12-17
USD0.18242010-09-03
20091.50%USD 0.346USD0.11862009-12-18
USD0.22762009-09-04
20081.57%USD 0.361USD0.13632008-12-19
USD0.22442008-09-05
20076.53%USD 1.502USD1.43162007-12-21
USD0.07082007-06-15
20069.07%USD 2.086USD1.75912006-12-22
USD0.32732006-06-16
20051.43%USD 0.328USD0.2622005-12-23
USD0.06612005-06-17
20043.10%USD 0.713USD0.01142004-12-23
USD0.62372004-12-17
USD0.07822004-06-18
20031.11%USD 0.255USD0.12342003-12-19
USD0.13192003-06-13
20022.09%USD 0.48USD0.18412002-12-20
USD0.29592002-06-14