FIDELITY ADVISOR CONSUMER DISCRETIONARY FUND CLASS I(FCNIX) USD 35.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.77%USD 1.352USD1.3522022-12-02
20218.50%USD 3.045USD3.0452021-12-17
20201.62%USD 0.582USD0.5822020-12-18
20192.28%USD 0.817USD0.8172019-12-20
20180.75%USD 0.268USD0.2682018-12-07
20160.38%USD 0.137USD0.1372016-12-09
20151.59%USD 0.568USD0.0322015-12-18
USD0.4872015-09-14
USD0.0492015-09-11
20146.47%USD 2.317USD0.2572014-12-22
USD2.062014-09-08
20134.45%USD 1.593USD0.5222013-12-23
USD1.0712013-09-09
20124.69%USD 1.679USD0.8682012-12-26
USD0.8112012-09-10
20112.45%USD 0.877USD0.0462011-12-12
USD0.8312011-09-12
20090.03%USD 0.012USD0.0122009-09-14
20080.10%USD 0.036USD0.0362008-12-15
20073.94%USD 1.412USD0.092007-12-17
USD1.3222007-09-17
20066.78%USD 2.428USD0.8642006-12-11
USD0.0642006-12-08
USD1.52006-09-18
20050.32%USD 0.115USD0.0952005-12-12
USD0.022005-09-19
20041.48%USD 0.53USD0.532004-09-13
20010.98%USD 0.35USD0.352001-09-10