FIDELITY BALANCED FUND CLASS K(FBAKX) USD 24.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.091USD0.0912023-04-05
20227.55%USD 1.868USD0.112022-12-22
USD1.612022-10-14
USD0.0832022-07-01
USD0.0652022-04-01
202111.96%USD 2.958USD0.3632021-12-17
USD2.4672021-10-08
USD0.0552021-07-02
USD0.0732021-04-05
20206.83%USD 1.689USD0.3972020-12-11
USD1.0882020-10-09
USD0.0862020-07-10
USD0.1182020-04-03
20196.35%USD 1.571USD1.1312019-12-13
USD0.2342019-10-11
USD0.1092019-07-05
USD0.0972019-04-05
20189.26%USD 2.29USD0.3452018-12-07
USD1.7572018-10-12
USD0.1052018-07-06
USD0.0832018-04-06
20177.66%USD 1.894USD0.4462017-12-08
USD1.2552017-10-13
USD0.0972017-07-07
USD0.0962017-04-07
20162.81%USD 0.696USD0.2182016-12-09
USD0.2972016-10-14
USD0.0912016-07-08
USD0.092016-04-08
20157.28%USD 1.8USD0.0912015-12-11
USD1.3272015-10-12
USD0.1122015-10-09
USD0.0842015-07-02
USD0.1022015-04-02
USD0.0842015-01-29
20149.85%USD 2.436USD0.5292014-12-15
USD0.0872014-12-12
USD1.5192014-10-13
USD0.0992014-10-10
USD0.0922014-07-07
USD0.112014-04-07
20136.87%USD 1.699USD0.3672013-12-16
USD0.0842013-12-13
USD0.9662013-10-14
USD0.1152013-10-11
USD0.0842013-07-08
USD0.0832013-04-08
20121.50%USD 0.37USD0.1012012-12-17
USD0.0932012-10-15
USD0.0922012-07-09
USD0.0842012-04-05
20111.51%USD 0.374USD0.1032011-12-19
USD0.0972011-10-17
USD0.1082011-07-11
USD0.0662011-04-07
20101.98%USD 0.49USD0.012010-12-31
USD0.0852010-12-20
USD0.11492010-10-18
USD0.1072010-10-15
USD0.0862010-07-12
USD0.0872010-04-12
20092.06%USD 0.509USD0.10292009-12-21
USD0.0932009-12-18
USD0.11692009-10-05
USD0.10592009-07-13
USD0.092009-04-06
20081.85%USD 0.459USD0.09192008-12-22
USD0.14392008-10-06
USD0.1142008-10-03
USD0.10892008-07-14