FIDELITY ADVISOR FINANCIAL SERVICES FUND CLASS T(FAFSX) USD 23.78
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.95%USD 1.415USD1.4152022-12-16
20214.89%USD 1.163USD1.1632021-12-17
20202.12%USD 0.505USD0.5052020-12-18
20190.96%USD 0.228USD0.2282019-12-20
20182.75%USD 0.653USD0.6532018-12-07
20170.13%USD 0.03USD0.032017-12-08
20160.08%USD 0.02USD0.022016-12-09
20150.26%USD 0.063USD0.0632015-12-18
20140.34%USD 0.08USD0.0082014-12-29
USD0.0522014-12-22
USD0.022014-09-08
20130.28%USD 0.066USD0.022013-12-23
USD0.0112013-12-20
USD0.0352013-09-09
20120.35%USD 0.083USD0.0632012-12-26
USD0.022012-09-10
20110.01%USD 0.003USD0.0032011-12-12
20090.34%USD 0.082USD0.0822009-09-14
20081.36%USD 0.324USD0.092008-12-15
USD0.1272008-09-15
USD0.1072008-09-12
20077.76%USD 1.846USD0.3272007-12-17
USD0.0972007-12-14
USD1.3262007-09-17
USD0.0962007-09-14
200614.98%USD 3.562USD1.642006-12-11
USD0.072006-12-08
USD1.7662006-09-18
USD0.0862006-09-15
20058.19%USD 1.948USD0.2962005-12-12
USD0.0562005-12-09
USD1.482005-09-19
USD0.092005-09-16
USD0.0262005-04-22
20047.82%USD 1.86USD0.332004-12-13
USD0.052004-12-10
USD1.482004-09-13
20030.46%USD 0.11USD0.012003-12-31
USD0.042003-12-15
USD0.062003-09-08
20020.25%USD 0.06USD0.062002-12-14
20010.38%USD 0.09USD0.042001-12-15
USD0.052001-09-10
20000.55%USD 0.13USD0.052000-12-18
USD0.082000-09-11