FIDELITY ADVISOR OVERSEAS FUND CLASS I(FAOIX) USD 29.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.11%USD 0.328USD0.3282022-12-02
20212.44%USD 0.719USD0.7192021-12-03
20191.19%USD 0.35USD0.352019-12-06
20183.56%USD 1.048USD1.0482018-12-07
20173.26%USD 0.961USD0.9612017-12-08
20161.03%USD 0.302USD0.3022016-12-09
20150.47%USD 0.137USD0.1372015-12-07
20140.33%USD 0.096USD0.0962014-12-08
20131.90%USD 0.558USD0.3192013-12-09
USD0.2392013-12-06
20121.21%USD 0.355USD0.3552012-12-07
20110.96%USD 0.283USD0.2832011-12-02
20100.97%USD 0.286USD0.2862010-12-03
20091.01%USD 0.298USD0.2982009-12-04
20081.06%USD 0.311USD0.3112008-12-05
20077.43%USD 2.186USD2.1862007-12-07
20064.65%USD 1.368USD1.3682006-12-01
20051.75%USD 0.514USD0.5142005-12-02
20040.54%USD 0.16USD0.162004-12-03
20030.58%USD 0.17USD0.172003-12-05
20007.44%USD 2.19USD2.192000-12-08