TEMPLETON GLOBAL BALANCED FUND CLASS A1(TINCX) USD 2.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.65%USD 0.016USD0.01582023-03-20
20223.00%USD 0.073USD0.01612022-12-20
USD0.01542022-09-20
USD0.0262022-06-21
USD0.0152022-03-21
20212.44%USD 0.059USD0.01432021-12-15
USD0.01472021-09-15
USD0.01462021-06-15
USD0.01542021-03-15
20202.21%USD 0.054USD0.01042020-12-15
USD0.01232020-09-15
USD0.00962020-06-15
USD0.02132020-03-16
20194.94%USD 0.12USD0.02572019-12-16
USD0.02242019-09-16
USD0.04632019-06-17
USD0.02512019-03-15
20184.88%USD 0.118USD0.02412018-12-17
USD0.02792018-09-17
USD0.04082018-06-15
USD0.02542018-03-15
20173.39%USD 0.082USD0.0252017-12-15
USD0.02432017-09-15
USD0.02122017-06-15
USD0.01152017-03-15
20161.06%USD 0.026USD0.01192016-12-15
USD0.00052016-09-15
USD0.01322016-06-15
20158.00%USD 0.194USD0.11392015-12-15
USD0.0292015-09-15
USD0.02972015-06-15
USD0.0212015-03-13
20146.91%USD 0.167USD0.11032014-12-15
USD0.02162014-09-15
USD0.02312014-06-13
USD0.01232014-03-14
20133.93%USD 0.095USD0.02952013-12-13
USD0.0082013-09-13
USD0.02472013-06-14
USD0.03282013-03-15
20125.64%USD 0.137USD0.03772012-12-14
USD0.03082012-09-14
USD0.05912012-06-15
USD0.00892012-03-15
20115.11%USD 0.124USD0.05732011-12-15
USD0.02292011-09-15
USD0.02342011-06-15
USD0.022011-03-15
20106.12%USD 0.148USD0.03072010-12-15
USD0.02152010-09-15
USD0.02282010-06-15
USD0.0592010-04-05
USD0.01412010-03-15
20092.77%USD 0.067USD0.01112009-12-15
USD0.01962009-09-15
USD0.01782009-06-15
USD0.01852009-03-02
20089.80%USD 0.237USD0.14582008-12-01
USD0.03122008-09-02
USD0.04262008-06-02
USD0.01762008-03-03
20079.24%USD 0.224USD0.12592007-12-03
USD0.03242007-09-04
USD0.05282007-06-01
USD0.01242007-03-01
20064.98%USD 0.121USD0.03342006-12-01
USD0.03192006-09-01
USD0.0332006-06-01
USD0.02222006-03-01
20051.00%USD 0.024USD0.02432005-12-01