FRANKLIN REAL ESTATE SECURITIES FUND ADVISOR CLASS(FRLAX) USD 17.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.07%USD 0.013USD0.01332023-03-20
20223.78%USD 0.671USD0.14432022-12-20
USD0.41062022-12-15
USD0.10352022-09-20
USD0.01262022-06-21
20217.38%USD 1.31USD1.25792021-12-15
USD0.05162021-09-15
20208.72%USD 1.546USD1.38992020-12-15
USD0.07672020-09-15
USD0.07962020-06-15
201919.99%USD 3.547USD3.45412019-12-16
USD0.06612019-09-16
USD0.02662019-06-17
20186.10%USD 1.082USD0.9552018-12-17
USD0.10032018-09-17
USD0.02622018-06-15
201713.34%USD 2.367USD2.25992017-12-15
USD0.08542017-09-15
USD0.02152017-06-15
20165.85%USD 1.038USD0.62382016-12-15
USD0.10212016-09-15
USD0.2222016-06-15
USD0.09052016-03-15
20152.21%USD 0.391USD0.13632015-12-15
USD0.09612015-09-15
USD0.12015-06-15
USD0.0592015-03-16
20141.82%USD 0.324USD0.10732014-12-15
USD0.07972014-09-15
USD0.10042014-06-16
USD0.03612014-03-17
20131.73%USD 0.307USD0.08842013-12-16
USD0.07982013-09-16
USD0.08232013-06-17
USD0.05642013-03-15
20121.18%USD 0.209USD0.06652012-12-17
USD0.04732012-09-17
USD0.09512012-06-15
20110.66%USD 0.117USD0.04762011-09-15
USD0.06932011-06-15
20100.48%USD 0.085USD0.05672010-09-15
USD0.01722010-06-15
USD0.0112010-04-30
20091.24%USD 0.22USD0.12009-12-15
USD0.07592009-09-15
USD0.0442009-06-15
20087.97%USD 1.414USD1.02512008-12-15
USD0.15372008-09-15
USD0.14322008-06-16
USD0.0922008-03-17
200710.00%USD 1.775USD1.39022007-12-17
USD0.1692007-09-17
USD0.14582007-06-15
USD0.06972007-03-15
200627.03%USD 4.795USD4.54762006-12-15
USD0.09462006-09-15
USD0.1532006-06-15
200523.52%USD 4.172USD3.80622005-12-15
USD0.16982005-09-15
USD0.11952005-06-15
USD0.07642005-03-11
200411.38%USD 2.019USD1.66932004-12-15
USD0.12072004-09-15
USD0.21022004-06-15
USD0.01832004-03-15
20033.81%USD 0.676USD0.31062003-12-15
USD0.17112003-09-15
USD0.18222003-06-16
USD0.01232003-03-17
20024.07%USD 0.723USD0.28782002-12-13
USD0.18342002-09-16
USD0.20832002-06-14
USD0.0432002-03-15
20013.73%USD 0.661USD0.26942001-12-14
USD0.18552001-09-17
USD0.18452001-06-15
USD0.02162001-03-15
20004.26%USD 0.755USD0.2672000-12-15
USD0.2122000-09-15
USD0.2012000-06-15
USD0.0752000-03-15