FIDELITY ADVISOR ENERGY FUND CLASS I(FANIX) USD 45.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.19%USD 0.999USD0.9992022-12-16
20211.44%USD 0.655USD0.6552021-12-17
20201.42%USD 0.646USD0.6462020-12-18
20191.15%USD 0.526USD0.5262019-12-20
20180.75%USD 0.343USD0.3432018-12-14
20171.29%USD 0.588USD0.5882017-12-15
20160.36%USD 0.165USD0.1652016-12-16
20150.64%USD 0.291USD0.1422015-12-18
USD0.1492015-09-14
20145.00%USD 2.282USD0.1672014-12-22
USD2.0912014-09-08
USD0.0242014-09-05
20135.42%USD 2.473USD1.5992013-12-23
USD0.1672013-12-20
USD0.6022013-09-09
USD0.1052013-09-06
20120.44%USD 0.202USD0.2022012-12-26
20110.55%USD 0.252USD0.2522011-12-12
20100.31%USD 0.141USD0.012010-12-31
USD0.1312010-12-13
200815.13%USD 6.898USD6.89822008-09-15
20077.98%USD 3.64USD1.63852007-12-17
USD2.00142007-09-10
200614.43%USD 6.581USD1.41962006-12-11
USD5.16162006-09-11
200515.28%USD 6.966USD2.93722005-12-12
USD4.02892005-09-12
20041.14%USD 0.52USD0.40992004-12-13
USD0.112004-12-10
20030.42%USD 0.19USD0.082003-12-15
USD0.112003-09-08
20020.39%USD 0.18USD0.092002-12-14
USD0.092002-09-07
20014.56%USD 2.08USD0.122001-12-15
USD1.82952001-09-10
USD0.132001-09-07
20000.59%USD 0.27USD0.142000-12-18
USD0.132000-09-11