$2.23
+ $0.01 (0.45%)
End-of-day quote: 05/01/2024
MutualFund:FISR.X

Franklin Custodian Funds - Franklin Income Fund Dividend

Date Amount Div Yld
04/01/2024 $0.01 0.44% -
03/01/2024 $0.01 0.45% -
02/01/2024 $0.01 0.44% -
01/03/2024 $0.01 0.44% -
12/01/2023 $0.01 0.46% -
11/01/2023 $0.01 0.48% -
10/02/2023 $0.01 0.47% -
09/01/2023 $0.01 0.45% -
08/01/2023 $0.01 0.44% -
07/03/2023 $0.01 0.45% -
06/01/2023 $0.01 0.45% -
05/01/2023 $0.01 0.44% -
04/03/2023 $0.01 0.44% -
03/01/2023 $0.01 0.45% -
02/01/2023 $0.01 0.43% -
more