FRANKLIN RISING DIVIDENDS FUND CLASS A(FRDPX) USD 86.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.74%USD 4.101USD0.15062022-12-20
USD3.33522022-12-15
USD0.21162022-10-20
USD0.21292022-07-20
USD0.19022022-04-20
20214.95%USD 4.282USD3.82762021-12-01
USD0.14642021-10-01
USD0.14722021-07-01
USD0.16092021-04-01
20200.76%USD 0.658USD0.16992020-12-01
USD0.15112020-10-01
USD0.16772020-07-01
USD0.1692020-04-01
20192.42%USD 2.096USD1.58212019-12-02
USD0.17382019-10-01
USD0.17752019-07-01
USD0.16252019-04-01
20183.32%USD 2.876USD2.37742018-12-03
USD0.1912018-10-01
USD0.16312018-07-02
USD0.14482018-04-02
20172.39%USD 2.073USD1.60382017-12-01
USD0.14222017-10-02
USD0.17332017-07-03
USD0.15332017-04-03
20162.27%USD 1.964USD1.4472016-12-01
USD0.15762016-10-03
USD0.17042016-07-01
USD0.18862016-04-01
20152.93%USD 2.533USD2.13112015-12-01
USD0.1582015-09-01
USD0.16862015-06-01
USD0.07542015-03-02
20140.69%USD 0.598USD0.23132014-12-01
USD0.15192014-09-02
USD0.14322014-06-02
USD0.07162014-03-03
20130.49%USD 0.425USD0.42482013-12-02
20120.64%USD 0.554USD0.55362012-12-03
20110.47%USD 0.41USD0.40952011-12-01
20100.43%USD 0.373USD0.3732010-12-01
20090.14%USD 0.123USD0.12312009-12-01
20080.59%USD 0.515USD0.51452008-12-01
20071.29%USD 1.12USD1.11992007-12-03
20062.43%USD 2.106USD2.1062006-12-01
20050.61%USD 0.527USD0.03012005-12-28
USD0.49662005-12-01
20040.62%USD 0.54USD0.53982004-12-01
20030.23%USD 0.199USD0.052003-12-19
USD0.14872003-12-01
20020.43%USD 0.374USD0.15542002-12-02
USD0.02462002-09-03
USD0.1652002-06-14
USD0.02442002-06-03
USD0.00422002-03-01
20011.04%USD 0.898USD0.7872001-12-03
USD0.04152001-09-04
USD0.05072001-06-01
USD0.01912001-03-01
20000.23%USD 0.196USD0.08222000-12-01
USD0.04682000-09-01
USD0.02522000-06-01
USD0.04212000-03-01