Templeton Institutional Fund International Equity Series Primary Shares (TFEQX) Dividends

Last dividend for Templeton Institutional Fund International Equity Series Primary Shares (TFEQX) as of July 2, 2026 is 3.75 USD. The forward dividend yield for TFEQX as of July 2, 2026 is 69.65%. Average dividend growth rate for stock Templeton Institutional Fund International Equity Series Primary Shares (TFEQX) for past three years is 30.00%.

Dividend history for stock TFEQX (Templeton Institutional Fund International Equity Series Primary Shares) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

Templeton Institutional Fund International Equity Series Primary Shares Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2025-12-22 2025-12-22 3.7471 USD (1372.92%) 9.34 USD 9.34 USD
2025-10-01 2025-10-01 0.2544 USD (-84.10%) 12.65 USD 12.65 USD
2024-12-20 2024-12-20 1.6000 USD (9423.81%) 10.00 USD 10.20 USD
2024-10-01 2024-10-01 0.0168 USD (-98.74%) 10.29 USD 12.16 USD
2023-12-20 2023-12-20 1.3288 USD (540.08%) 9.22 USD 10.91 USD
2023-10-02 2023-10-02 0.2076 USD (105.95%) 8.13 USD 10.82 USD
2022-12-20 2022-12-20 0.1008 USD (-63.25%) 7.51 USD 10.18 USD
2022-12-15 2022-12-15 0.2743 USD (7.36%) 7.52 USD 10.18 USD
2022-10-03 2022-10-03 0.2555 USD (-89.81%) 6.73 USD 9.45 USD
2021-12-17 2021-12-17 2.5064 USD (60.13%) 8.28 USD 11.96 USD
2021-10-01 2021-10-01 1.5652 USD (137.15%) 8.36 USD 14.66 USD
2020-11-25 2020-11-25 0.6600 USD (77.28%) 7.38 USD 14.35 USD
2020-10-02 2020-10-02 0.3723 USD (-60.10%) 6.54 USD 13.28 USD
2019-12-20 2019-12-24 0.9330 USD (823.76%) 7.44 USD 15.54 USD
2019-10-04 2019-10-08 0.1010 USD (-96.87%) 7.14 USD 15.83 USD
2018-12-21 2018-12-26 3.2312 USD (389.58%) 6.67 USD 14.87 USD
2018-10-05 0.6600 USD (-22.83%) 7.03 USD 19.09 USD
2017-12-22 2017-12-27 0.8553 USD (1121.86%) 7.85 USD 21.99 USD
2017-09-01 2017-09-06 0.0700 USD (-84.78%) 7.57 USD 22.05 USD
2016-12-22 2016-12-27 0.4600 USD (142.11%) 6.38 USD 18.65 USD
2016-09-02 2016-09-07 0.1900 USD (-58.05%) 6.32 USD 18.93 USD
2015-12-23 2015-12-28 0.4529 USD (2919.33%) 6.30 USD 19.05 USD
2015-09-04 2015-09-09 0.0150 USD (-98.59%) 6.12 USD 18.95 USD
2014-12-23 2014-12-26 1.0605 USD (1225.63%) 6.47 USD 20.05 USD
2014-09-05 2014-09-09 0.0800 USD (-87.99%) 6.78 USD 22.11 USD
2013-12-23 2013-12-26 0.6662 USD (2120.67%) 6.94 USD 22.72 USD
2013-09-06 2013-09-10 0.0300 USD (-94.69%) 6.53 USD 22.02 USD
2012-12-24 2012-12-27 0.5648 USD (1782.67%) 5.80 USD 19.60 USD
2012-09-07 2012-09-11 0.0300 USD (-96.06%) 5.38 USD 18.70 USD
2011-12-23 2011-12-28 0.7618 USD (988.29%) 4.90 USD 17.04 USD
2011-09-02 2011-09-07 0.0700 USD (-85.44%) 4.61 USD 16.76 USD
2010-12-27 2010-12-29 0.4807 USD (861.40%) 5.49 USD 20.05 USD
2010-09-01 2010-09-03 0.0500 USD (-89.98%) 5.22 USD 19.50 USD
2009-12-15 2009-12-17 0.4992 USD (-59.96%) 5.15 USD 19.30 USD
2008-12-17 2008-12-19 1.2466 USD (78.09%) 3.85 USD 14.82 USD
2008-09-02 2008-09-04 0.7000 USD (-73.88%) 4.83 USD 20.10 USD
2007-12-17 2007-12-19 2.6800 USD (1310.53%) 6.65 USD 28.60 USD
2007-03-02 2007-03-06 0.1900 USD (-89.67%) 5.83 USD 27.45 USD
2006-12-15 2006-12-19 1.8400 USD (776.19%) 5.63 USD 26.67 USD
2006-03-03 2006-03-07 0.2100 USD (-58%) 4.70 USD 23.83 USD
2005-12-16 2005-12-20 0.5000 USD (150%) 4.36 USD 22.31 USD
2005-03-04 2005-03-08 0.2000 USD (17.65%) 3.87 USD 20.27 USD
2004-12-10 2004-12-14 0.1700 USD (88.89%) 3.84 USD 20.27 USD
2004-03-05 2004-03-09 0.0900 USD (-64%) 3.27 USD 17.45 USD
2003-12-12 2003-12-16 0.2500 USD (316.67%) 3.16 USD 16.95 USD
2003-03-07 0.0600 USD (-66.67%) 2.03 USD 11.02 USD
2002-12-13 2002-12-17 0.1800 USD (500%) 2.22 USD 12.13 USD
2002-03-08 2002-03-12 0.0300 USD (-88%) 2.70 USD 14.96 USD
2001-12-07 2001-12-11 0.2500 USD (19.05%) 2.60 USD 14.47 USD
2001-03-02 2001-03-06 0.2100 USD (-93.29%) 2.69 USD 15.20 USD
2000-12-08 2000-12-12 3.1300 USD (2135.71%) 2.96 USD 16.95 USD
2000-03-03 2000-03-08 0.1400 USD (-85.71%) 3.09 USD 21.04 USD
1999-12-10 1999-12-17 0.9800 USD (1860%) 3.14 USD 21.53 USD
1999-03-01 1999-03-10 0.0500 USD (-95.97%) 2.52 USD 18.05 USD
1998-12-14 1998-12-22 1.2400 USD (1671.43%) 2.47 USD 17.76 USD
1998-03-02 1998-03-09 0.0700 USD (-91.36%) 2.59 USD 19.99 USD
1997-12-15 1997-12-26 0.8100 USD (3950%) 2.24 USD 17.36 USD
1997-02-24 1997-02-28 0.0200 USD (-96.77%) 2.08 USD 16.85 USD
1996-12-16 1996-12-27 0.6200 USD (3000%) 2.01 USD 16.34 USD
1996-09-13 0.0200 USD (-66.67%) 1.85 USD 15.59 USD
1996-02-26 1996-02-29 0.0600 USD (-87.23%) 1.73 USD 14.66 USD
1995-12-19 1995-12-29 0.4700 USD (9300%) 1.65 USD 14.04 USD
1995-02-28 1995-03-13 0.0050 USD (-50%) 1.45 USD 12.68 USD
1994-12-28 0.0100 USD (-96.83%) 1.47 USD 12.86 USD
1994-12-20 1994-12-30 0.3150 USD (85.29%) 1.47 USD 12.86 USD
1994-03-01 1994-03-11 0.1700 USD (112.50%) 1.47 USD 13.10 USD
1993-12-21 0.0800 USD (1500%) 1.49 USD 13.32 USD
1993-03-02 0.0050 USD (-97.92%) 1.18 USD 10.56 USD
1992-12-21 0.2400 USD (-25%) 12.74 USD 12.74 USD
1991-12-23 0.3200 USD (146.15%) 12.74 USD 12.74 USD
1991-02-12 0.1300 USD 12.74 USD 12.74 USD

TFEQX

Price: $10.61

52 week price:
9.25
13.00

Dividend Yield: 38.04%

5-year range yield:
0.33%
80.24%

Forward Dividend Yield: 69.65%

Dividend Per Share: 7.49 USD

Earnings Per Share: 0.49 USD

P/E Ratio: 20.66

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 48.5 million

Average Dividend Frequency: 2

Years Paying Dividends: 35

DGR3: 30.00%

DGR5: 30.00%

DGR10: 30.00%

DGR20: 30.00%

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