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Franklin Universal Trust (FT)
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Franklin Universal Trust (FT) Dividends CAGR:0.00%(TTM)

Stocks/FT Stock/Performance/dividends cagr
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Over longer horizons, Franklin Universal Trust's Dividends CAGR averages -4.00% over 3 years and 5.84% over 5 years. Dividends CAGR shows the annualized change in Franklin Universal Trust's dividend payments per share over the selected period.

FT Dividends CAGR Chart

Franklin Universal Trust (FT)

FT Dividends CAGR History

YearStart Dividend/ShareEnd Dividend/ShareChange% ChangeCAGR
2025$0.51$0.51+$0.00+0.00%+0.00%
2024$0.51$0.51$-0.00-0.10%-0.10%
2023$0.58$0.51$-0.07-11.45%-11.45%
2022$0.51$0.58+$0.07+12.93%+12.93%
2021$0.38$0.51+$0.13+32.94%+32.94%
2020$0.38$0.38+$0.00+0.00%+0.00%
2019$0.38$0.38+$0.00+0.00%+0.00%
2018$0.38$0.38+$0.00+0.00%+0.00%
2017$0.44$0.38$-0.05-12.03%-12.03%
2016$0.47$0.44$-0.04-7.91%-7.91%
2015$0.51$0.47$-0.04-7.96%-7.96%
2014$0.46$0.51+$0.05+11.83%+11.83%
2013$0.46$0.46+$0.00+0.99%+0.99%
2012$0.46$0.46+$0.00+0.00%+0.00%
2011$0.46$0.46+$0.00+0.00%+0.00%
2010$0.46$0.46+$0.00+0.00%+0.00%
2009$0.46$0.46+$0.00+0.00%+0.00%
2008$0.46$0.46+$0.00+0.00%+0.00%
2007$0.46$0.46+$0.00+0.00%+0.00%
2006$0.42$0.46+$0.04+8.57%+8.57%
2005$0.36$0.42+$0.06+16.67%+16.67%
2004$0.40$0.36$-0.04-9.09%-9.09%
2003$0.74$0.40$-0.35-46.70%-46.70%
2002$0.80$0.74$-0.06-7.59%-7.59%
2001$0.80$0.80+$0.00+0.00%+0.00%
2000$0.86$0.80$-0.06-6.65%-6.65%
1999$0.84$0.86+$0.02+2.05%+2.05%
1998$0.74$0.84+$0.11+14.52%+14.52%
1997$0.84$0.74$-0.11-12.57%-12.57%
1996$0.85$0.84$-0.00-0.35%-0.35%
1995$0.81$0.85+$0.04+4.44%+4.44%
1994$0.82$0.81$-0.01-1.64%-1.64%
1993$0.77$0.82+$0.06+7.37%+7.37%
1992$0.95$0.77$-0.18-19.09%-19.09%
1991$1.02$0.95$-0.08-7.33%-7.33%
1990$1.15$1.02$-0.13-11.34%-11.34%
1989$0.28$1.15+$0.87+313.55%+313.55%

About Franklin Universal Trust

Established on September 23, 1988, Franklin Universal Trust operates as a U.S.-domiciled, closed-end balanced mutual fund. It was initiated by Franklin Resources, Inc. and is actively managed by Franklin Advisers, Inc. The fund directs its capital towards the public equity and fixed income markets throughout the United States, specifically focusing its equity investments on the utility sector. Employing fundamental analysis, it constructs a diverse portfolio comprising corporate debt instruments and dividend-yielding utility stocks. For performance evaluation, the trust measures its equity holdings against the S&P 500 Electric Utilities Index, while its fixed income components are benchmarked against the Credit Suisse High Yield.

Sector
Financial Services
Industry
Asset Management
CEO
Rupert Harris Johnson Jr.