FIDELITY BALANCED FUND FIDELITY BALANCED FUND(FBALX) USD 24.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.089USD0.0892023-04-05
20227.47%USD 1.848USD0.1052022-12-22
USD1.6052022-10-14
USD0.0782022-07-01
USD0.062022-04-01
202111.86%USD 2.935USD0.3572021-12-17
USD2.4612021-10-08
USD0.0492021-07-02
USD0.0682021-04-05
20206.75%USD 1.669USD0.3922020-12-11
USD1.0832020-10-09
USD0.0812020-07-10
USD0.1132020-04-03
20194.21%USD 1.042USD0.6152019-12-13
USD0.2292019-10-11
USD0.1052019-07-05
USD0.0932019-04-05
20189.17%USD 2.269USD0.342018-12-07
USD1.7512018-10-12
USD0.12018-07-06
USD0.0782018-04-06
20177.57%USD 1.874USD0.4412017-12-08
USD1.252017-10-13
USD0.0922017-07-07
USD0.0912017-04-07
20162.73%USD 0.675USD0.2132016-12-09
USD0.2912016-10-14
USD0.0862016-07-08
USD0.0852016-04-08
20156.83%USD 1.69USD0.0872015-12-11
USD1.3212015-10-12
USD0.1062015-10-09
USD0.0792015-07-02
USD0.0972015-04-02
20149.71%USD 2.403USD0.5242014-12-15
USD0.0822014-12-12
USD1.5132014-10-13
USD0.0932014-10-10
USD0.0862014-07-07
USD0.1052014-04-07
20136.72%USD 1.663USD0.3622013-12-16
USD0.0792013-12-13
USD0.9592013-10-14
USD0.1082013-10-11
USD0.0782013-07-08
USD0.0772013-04-08
20121.40%USD 0.347USD0.0952012-12-17
USD0.0872012-10-15
USD0.0862012-07-09
USD0.0792012-04-05
20111.41%USD 0.349USD0.0972011-12-19
USD0.0912011-10-17
USD0.1012011-07-11
USD0.062011-04-07
20101.86%USD 0.46USD0.012010-12-31
USD0.0792010-12-20
USD0.10892010-10-18
USD0.1012010-10-15
USD0.0792010-07-12
USD0.0822010-04-12
20091.92%USD 0.476USD0.0972009-12-21
USD0.0872009-12-18
USD0.10992009-10-05
USD0.09892009-07-13
USD0.0832009-04-06
20082.11%USD 0.522USD0.0842008-12-22
USD0.13592008-10-06
USD0.1062008-10-03
USD0.10592008-07-14
USD0.092008-04-07
20077.39%USD 1.829USD0.29982007-12-24
USD0.122007-12-21
USD1.10942007-10-08
USD0.112007-10-05
USD0.09992007-07-09
USD0.092007-04-05
20066.34%USD 1.569USD0.30982006-12-11
USD0.132006-12-08
USD0.10992006-10-09
USD0.85962006-09-11
USD0.082006-07-10
USD0.082006-04-10
20054.08%USD 1.01USD0.162005-12-12
USD0.082005-12-09
USD0.072005-10-10
USD0.54972005-09-12
USD0.082005-07-05
USD0.072005-04-04
20042.83%USD 0.7USD0.072004-12-13
USD0.072004-10-11
USD0.43982004-09-07
USD0.062004-06-21
USD0.062004-03-08
20031.05%USD 0.26USD0.082003-12-15
USD0.062003-09-08
USD0.062003-06-09
USD0.062003-03-07
20021.74%USD 0.43USD0.082002-12-14
USD0.032002-10-04
USD0.092002-09-07
USD0.042002-07-05
USD0.092002-06-08
USD0.09992002-03-09
20012.91%USD 0.72USD0.11992001-12-15
USD0.26982001-09-10
USD0.112001-09-07
USD0.10992001-06-11
USD0.10992001-03-12
20004.93%USD 1.219USD0.35982000-12-18
USD0.152000-12-15
USD0.37972000-09-11
USD0.12000-09-08
USD0.10992000-06-12
USD0.11992000-03-13