Franklin Managed Income Fund Class R(FBFQX) USD 12.41
Dividend Yield(TTM) =0.00%
Year |
Yield |
Total |
Amount |
Ex Date |
2023 | 1.06% | USD 0.131 | USD0.0437 | 2023-03-28 |
USD0.0437 | 2023-02-23 |
USD0.0437 | 2023-01-26 |
2022 | 3.84% | USD 0.476 | USD0.0397 | 2022-12-27 |
USD0.0397 | 2022-11-25 |
USD0.0397 | 2022-10-26 |
USD0.0397 | 2022-09-27 |
USD0.0397 | 2022-08-26 |
USD0.0397 | 2022-07-26 |
USD0.0397 | 2022-06-27 |
USD0.0397 | 2022-05-25 |
USD0.0397 | 2022-04-26 |
USD0.0397 | 2022-03-28 |
USD0.0397 | 2022-02-23 |
USD0.0397 | 2022-01-26 |
2021 | 7.82% | USD 0.97 | USD0.5262 | 2021-12-15 |
USD0.037 | 2021-11-15 |
USD0.037 | 2021-10-15 |
USD0.037 | 2021-09-15 |
USD0.037 | 2021-08-16 |
USD0.037 | 2021-07-15 |
USD0.037 | 2021-06-15 |
USD0.037 | 2021-05-17 |
USD0.037 | 2021-04-15 |
USD0.037 | 2021-03-15 |
USD0.037 | 2021-02-17 |
USD0.037 | 2021-02-16 |
USD0.037 | 2021-01-15 |
2020 | 4.25% | USD 0.528 | USD0.1228 | 2020-12-15 |
USD0.0368 | 2020-11-16 |
USD0.0368 | 2020-10-15 |
USD0.0368 | 2020-09-15 |
USD0.0368 | 2020-08-17 |
USD0.0368 | 2020-07-15 |
USD0.0368 | 2020-06-15 |
USD0.0368 | 2020-05-15 |
USD0.0368 | 2020-04-15 |
USD0.0368 | 2020-03-16 |
USD0.0368 | 2020-02-18 |
USD0.0368 | 2020-01-15 |
2019 | 7.02% | USD 0.871 | USD0.5155 | 2019-12-16 |
USD0.0334 | 2019-11-15 |
USD0.0334 | 2019-10-15 |
USD0.0334 | 2019-09-16 |
USD0.0334 | 2019-08-15 |
USD0.0334 | 2019-07-15 |
USD0.0334 | 2019-06-17 |
USD0.0334 | 2019-05-15 |
USD0.0334 | 2019-04-15 |
USD0.0334 | 2019-03-15 |
USD0.0275 | 2019-02-15 |
USD0.0275 | 2019-01-15 |
2018 | 1.36% | USD 0.169 | USD0.1693 | 2018-12-17 |