FIDELITY CONVERTIBLE SECURITIES FUND FIDELITY ADVISOR CONVERTIBLE SECURITIES FUND: CLASS A(FACVX) USD 30.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.098USD0.0982023-04-05
20223.35%USD 1.029USD0.7962022-12-27
USD0.0972022-10-07
USD0.0792022-07-01
USD0.0572022-04-01
202124.13%USD 7.406USD7.1712021-12-28
USD0.0842021-10-01
USD0.0832021-07-02
USD0.0682021-04-05
202013.69%USD 4.202USD3.7152020-12-29
USD0.2152020-10-02
USD0.1782020-07-10
USD0.0942020-04-03
20193.08%USD 0.944USD0.7162019-12-27
USD0.0712019-10-04
USD0.0962019-07-05
USD0.0612019-04-05
20187.78%USD 2.388USD1.682018-12-26
USD0.3412018-10-05
USD0.182018-07-06
USD0.1872018-04-06
20173.98%USD 1.22USD0.7172017-12-26
USD0.1492017-10-06
USD0.1812017-07-07
USD0.1732017-04-07
20164.01%USD 1.23USD0.6242016-12-27
USD0.3692016-10-07
USD0.0812016-07-08
USD0.1562016-04-08
20152.10%USD 0.646USD0.2282015-12-11
USD0.2082015-10-05
USD0.1462015-07-02
USD0.0552015-04-02
USD0.0092015-01-20
20145.98%USD 1.835USD1.2962014-12-15
USD0.2032014-12-12
USD0.1322014-10-06
USD0.0912014-07-07
USD0.1082014-04-07
USD0.0052014-01-13
20132.94%USD 0.902USD0.2052013-12-31
USD0.152013-12-16
USD0.1982013-10-07
USD0.1662013-07-08
USD0.1832013-04-08
20122.12%USD 0.651USD0.1962012-12-17
USD0.1712012-10-08
USD0.122012-07-09
USD0.1642012-04-05
20112.38%USD 0.729USD0.2192011-12-12
USD0.1822011-10-10
USD0.1692011-07-11
USD0.1592011-04-07
20102.48%USD 0.762USD0.2392010-12-13
USD0.192010-10-04
USD0.1622010-07-12
USD0.1712010-04-12
20092.98%USD 0.916USD0.2622009-12-14
USD0.1552009-10-05
USD0.2212009-07-13
USD0.2782009-04-06