FIDELITY ADVISOR FREEDOM 2025 FUND CLASS A(FATWX) USD 11.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.97%USD 1.039USD0.3562022-12-29
USD0.6832022-05-13
202111.39%USD 1.319USD0.7182021-12-30
USD0.6012021-05-14
20207.54%USD 0.873USD0.4382020-12-30
USD0.4352020-05-08
20197.44%USD 0.861USD0.4042019-12-30
USD0.4572019-05-10
20189.84%USD 1.139USD0.6552018-12-28
USD0.4842018-05-11
20176.20%USD 0.718USD0.512017-12-28
USD0.2082017-05-12
20164.78%USD 0.554USD0.2242016-12-28
USD0.332016-05-13
20155.45%USD 0.631USD0.3482015-12-29
USD0.2662015-05-11
USD0.0172015-05-08
20149.56%USD 1.107USD0.6462014-12-30
USD0.1952014-12-29
USD0.2442014-05-05
USD0.0222014-05-02
20138.39%USD 0.971USD0.4232013-12-30
USD0.142013-12-27
USD0.3912013-05-06
USD0.0172013-05-03
20123.51%USD 0.406USD0.2262012-12-31
USD0.162012-12-28
USD0.022012-05-07
20114.45%USD 0.515USD0.3092011-12-30
USD0.1522011-12-29
USD0.0382011-05-09
USD0.0162011-05-06
20103.59%USD 0.416USD0.2082010-12-31
USD0.1362010-12-30
USD0.0532010-05-10
USD0.0192010-05-07
20093.45%USD 0.399USD0.232009-12-29
USD0.1452009-12-28
USD0.0242009-05-18
20087.32%USD 0.848USD0.2232008-12-29
USD0.1932008-12-26
USD0.4012008-05-12
USD0.0312008-05-09
20076.29%USD 0.728USD0.2642007-12-31
USD0.1942007-12-28
USD0.2452007-05-07
USD0.0252007-05-04
20065.48%USD 0.635USD0.2282006-12-29
USD0.1682006-12-28
USD0.2212006-05-15
USD0.0182006-05-12
20052.69%USD 0.312USD0.1472005-12-30
USD0.1272005-12-29
USD0.0342005-05-16
USD0.0042005-05-13
20041.23%USD 0.142USD0.1252004-12-30
USD0.0092004-05-17
USD0.0082004-05-14
20030.52%USD 0.06USD0.062003-12-29