FIDELITY ADVISOR ENERGY FUND CLASS A(FANAX) USD 43.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.09%USD 0.899USD0.8992022-12-16
20211.35%USD 0.581USD0.5812021-12-17
20201.37%USD 0.59USD0.592020-12-18
20191.02%USD 0.439USD0.4392019-12-20
20180.53%USD 0.23USD0.232018-12-14
20171.12%USD 0.482USD0.4822017-12-15
20160.18%USD 0.076USD0.0762016-12-16
20150.47%USD 0.201USD0.1082015-12-18
USD0.0932015-09-14
20144.97%USD 2.138USD0.122014-12-22
USD2.0182014-09-08
20135.25%USD 2.259USD1.5522013-12-23
USD0.122013-12-20
USD0.5422013-09-09
USD0.0452013-09-06
20120.37%USD 0.157USD0.1572012-12-26
20110.48%USD 0.206USD0.2062011-12-12
20100.25%USD 0.106USD0.012010-12-31
USD0.0962010-12-13
200816.04%USD 6.898USD6.89812008-09-15
20078.04%USD 3.46USD1.56252007-12-17
USD1.89752007-09-10
200615.13%USD 6.509USD1.41962006-12-11
USD5.08962006-09-11
200515.84%USD 6.812USD2.88322005-12-12
USD3.92892005-09-12
20041.33%USD 0.574USD0.46992004-12-13
USD0.062004-12-10
USD0.0442004-01-30
20030.23%USD 0.1USD0.032003-12-15
USD0.072003-09-08
20020.57%USD 0.246USD0.062002-12-14
USD0.0462002-10-31
USD0.052002-09-07
USD0.0462002-07-31
USD0.0442002-06-28
20010.42%USD 0.18USD0.082001-12-15
USD0.12001-09-10
20000.44%USD 0.19USD0.112000-12-18
USD0.082000-09-11