FIDELITY ADVISOR DIVERSIFIED INTERNATIONAL FUND CLASS T(FADIX) USD 24.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.66%USD 0.4USD0.42022-12-09
202112.74%USD 3.076USD3.0762021-12-03
20191.12%USD 0.271USD0.2712019-12-06
20183.50%USD 0.844USD0.8442018-12-07
20170.66%USD 0.16USD0.162017-12-08
20160.72%USD 0.174USD0.1742016-12-09
20150.29%USD 0.07USD0.072015-12-07
20140.69%USD 0.167USD0.0222014-12-29
USD0.1452014-12-08
20131.85%USD 0.447USD0.3092013-12-09
USD0.1382013-12-06
20121.60%USD 0.387USD0.2242012-12-10
USD0.1632012-12-07
20110.56%USD 0.136USD0.1362011-12-05
20101.26%USD 0.304USD0.0582010-12-31
USD0.13952010-12-06
USD0.1062010-12-03
20091.35%USD 0.325USD0.16742009-12-07
USD0.1582009-12-04
20081.62%USD 0.392USD0.39162008-12-08
200713.79%USD 3.328USD3.16842007-12-10
USD0.162007-12-07
20067.98%USD 1.926USD1.74452006-12-11
USD0.1812006-12-08
20055.05%USD 1.22USD1.0832005-12-12
USD0.1372005-12-09
20040.33%USD 0.08USD0.07982004-12-13
20030.29%USD 0.07USD0.06972003-12-15
20020.08%USD 0.02USD0.01992002-12-07
20001.32%USD 0.319USD0.31882000-12-11