Templeton Emerging Markets Income Closed Fund(TEI) USD 5.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.64%USD 0.191USD0.04642023-04-19
USD0.04822023-03-16
USD0.04972023-02-16
USD0.0472023-01-18
202212.42%USD 0.652USD0.04392022-12-16
USD0.0422022-11-16
USD0.04562022-10-14
USD0.0482022-09-16
USD0.04632022-08-12
USD0.05262022-07-15
USD0.0592022-06-16
USD0.062022-05-13
USD0.06352022-04-14
USD0.06322022-03-16
USD0.06332022-02-16
USD0.06482022-01-14
202114.50%USD 0.761USD0.06632021-12-14
USD0.06842021-11-12
USD0.06852021-10-14
USD0.06912021-09-14
USD0.07162021-08-13
USD0.06062021-07-14
USD0.05972021-06-14
USD0.08522021-05-14
USD0.07472021-04-14
USD0.05112021-03-12
USD0.03962021-02-12
USD0.04662021-01-14
202010.87%USD 0.571USD0.04122020-12-14
USD0.04422020-11-13
USD0.04372020-10-14
USD0.03992020-09-14
USD0.03552020-08-14
USD0.05062020-07-14
USD0.04712020-06-12
USD0.04542020-05-14
USD0.04142020-04-14
USD0.05972020-03-13
USD0.0612020-02-14
USD0.06092020-01-14
201914.90%USD 0.782USD0.07112019-12-13
USD0.05422019-11-14
USD0.05792019-10-11
USD0.05682019-09-13
USD0.06552019-08-14
USD0.06552019-07-12
USD0.0672019-06-13
USD0.06692019-05-14
USD0.07012019-04-12
USD0.07032019-03-14
USD0.07132019-02-14
USD0.06552019-01-14
201816.98%USD 0.892USD0.06512018-12-14
USD0.06632018-11-14
USD0.0682018-10-12
USD0.07452018-09-13
USD0.07482018-08-14
USD0.07192018-07-12
USD0.21352018-06-27
USD0.25742018-03-27
201711.82%USD 0.621USD0.29532017-12-14
USD0.11192017-09-27
USD0.10682017-06-27
USD0.10682017-03-27
201615.24%USD 0.8USD0.22016-12-13
USD0.22016-09-27
USD0.22016-06-27
USD0.22016-03-28
201515.65%USD 0.822USD0.22182015-12-14
USD0.22015-09-25
USD0.22015-06-26
USD0.22015-03-25
201422.75%USD 1.194USD0.54432014-12-12
USD0.22014-09-26
USD0.22014-06-25
USD0.252014-03-26
201327.26%USD 1.431USD0.69412013-12-11
USD0.24572013-09-25
USD0.24572013-06-26
USD0.24572013-03-26
201234.62%USD 1.817USD1.09882012-12-12
USD0.23952012-09-26
USD0.23952012-06-27
USD0.23952012-03-27
201125.30%USD 1.329USD0.62562011-12-13
USD0.23432011-09-27
USD0.23432011-06-27
USD0.23432011-03-25
201022.18%USD 1.164USD0.46152010-12-14
USD0.23432010-09-28
USD0.23432010-06-28
USD0.23432010-03-29
200920.08%USD 1.054USD0.35132009-12-14
USD0.23432009-09-28
USD0.23432009-06-26
USD0.23432009-03-27
200825.72%USD 1.35USD0.64722008-12-12
USD0.23432008-09-26
USD0.23432008-06-26
USD0.23432008-03-27
200723.58%USD 1.238USD0.55252007-12-19
USD0.22842007-09-26
USD0.22842007-06-27
USD0.22842007-03-28
200618.27%USD 0.959USD0.36242006-12-27
USD0.19892006-09-27
USD0.19892006-06-28
USD0.19892006-03-29
200516.70%USD 0.877USD0.19892005-12-28
USD0.2262005-09-28
USD0.2262005-06-28
USD0.2262005-03-29
200417.22%USD 0.904USD0.2262004-12-29
USD0.2262004-09-28
USD0.2262004-06-28
USD0.2262004-03-29
200317.22%USD 0.904USD0.2262003-12-29
USD0.2262003-09-26
USD0.2262003-06-26
USD0.2262003-03-27
200221.35%USD 1.121USD0.28022002-12-27
USD0.28022002-09-26
USD0.28022002-06-26
USD0.28022002-03-26
200121.35%USD 1.121USD0.28022001-12-27
USD0.28022001-09-26
USD0.28022001-06-27
USD0.28022001-03-28
200016.79%USD 0.881USD0.04072000-12-27
USD0.28022000-09-27
USD0.28022000-06-28
USD0.28022000-03-29