FIDELITY ADVISOR ENERGY FUND CLASS T(FAGNX) USD 44.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.75%USD 0.774USD0.7742022-12-16
20211.15%USD 0.51USD0.512021-12-17
20201.20%USD 0.53USD0.532020-12-18
20190.80%USD 0.353USD0.3532019-12-20
20180.29%USD 0.13USD0.132018-12-14
20170.88%USD 0.39USD0.392017-12-15
20150.24%USD 0.105USD0.0732015-12-18
USD0.0322015-09-14
20144.60%USD 2.032USD0.0782014-12-22
USD1.9542014-09-08
20133.61%USD 1.595USD1.01952013-12-23
USD0.0782013-12-20
USD0.4972013-09-09
20120.28%USD 0.123USD0.1232012-12-26
20110.39%USD 0.171USD0.1712011-12-12
20100.17%USD 0.073USD0.012010-12-31
USD0.0632010-12-13
200815.60%USD 6.898USD6.89812008-09-15
20077.43%USD 3.286USD1.50862007-12-17
USD1.77752007-09-10
200614.52%USD 6.421USD1.41962006-12-11
USD5.00162006-09-11
200515.03%USD 6.647USD2.83832005-12-12
USD3.8092005-09-12
20040.99%USD 0.44USD0.40992004-12-13
USD0.032004-12-10
20030.18%USD 0.08USD0.022003-12-15
USD0.062003-09-08
20020.14%USD 0.06USD0.042002-12-14
USD0.022002-09-07
20014.18%USD 1.85USD0.072001-12-15
USD1.73952001-09-10
USD0.042001-09-07
20000.29%USD 0.13USD0.092000-12-18
USD0.042000-09-11